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Fair Value - Summary of the Company's Assets and Liabilities Measured at Fair Value on a Recurring Basis (Details) - USD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Fair value    
Debt securities $ 445,782  
Recurring Basis    
Fair value    
Cash equivalents 19,857  
Contingent consideration   $ 23,048
Assets, Total 465,639 449,425
Recurring Basis | Level 1    
Fair value    
Cash equivalents 19,857  
Assets, Total 188,496 96,597
Recurring Basis | Level 2    
Fair value    
Assets, Total 277,143 329,780
Recurring Basis | Level 3    
Fair value    
Contingent consideration   23,048
Assets, Total   23,048
U.S. government and agency debt securities | Recurring Basis    
Fair value    
Debt securities 202,050 126,139
U.S. government and agency debt securities | Recurring Basis | Level 1    
Fair value    
Debt securities 168,639 96,597
U.S. government and agency debt securities | Recurring Basis | Level 2    
Fair value    
Debt securities 33,411 29,542
Corporate debt securities | Recurring Basis    
Fair value    
Debt securities 208,938 196,478
Corporate debt securities | Recurring Basis | Level 2    
Fair value    
Debt securities 208,938 196,478
Non-U.S. government debt securities | Recurring Basis    
Fair value    
Debt securities 34,794 103,760
Non-U.S. government debt securities | Recurring Basis | Level 2    
Fair value    
Debt securities $ 34,794 $ 103,760