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Fair value measurements (Tables)
6 Months Ended
Jun. 30, 2025
Fair Value Disclosures [Abstract]  
Schedule of financial assets measured at fair value on a recurring basis
The following table presents information about the Company’s financial assets measured at fair value on a recurring basis and indicates the level of the fair value hierarchy utilized to determine such fair values as of June 30, 2025 (in thousands):
Fair ValueLevel 1Level 2Level 3
Cash equivalents:    
Money market funds$69,461 $69,461 $— $— 
Corporate debt securities8,471 — 8,471 — 
Marketable securities:    
Corporate debt securities125,255 — 125,255 — 
U.S. Treasury securities17,363 — 17,363 — 
U.S. government debt securities2,198 — 2,198 — 
Total cash equivalents and marketable securities$222,748 $69,461 $153,287 $— 
There have been no transfers between fair value levels during the six months ended June 30, 2025.
The following table sets forth the fair value of the Company’s financial assets by level within the fair value hierarchy at December 31, 2024 (in thousands):
Fair ValueLevel 1Level 2Level 3
Cash equivalents:    
Money market funds$46,219 $46,219 $— $— 
U.S. Treasury securities9,043 — 9,043 — 
Marketable securities:    
Corporate debt securities186,931 — 186,931 — 
U.S. Treasury securities18,302 — 18,302 — 
U.S. government debt securities6,531 — 6,531 — 
Total cash equivalents and marketable securities$267,026 $46,219 $220,807 $—