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Investments (Tables)
6 Months Ended
Jun. 30, 2020
Investments, Debt and Equity Securities [Abstract]  
Amortized cost, gross unrealized gains, gross unrealized losses and estimated fair values of available-for-sale investments by type of security
The amortized cost, gross unrealized gains, gross unrealized losses and fair values of interest-bearing securities, which are considered available-for-sale, by type of security were as follows (in millions):
Types of securities as of June 30, 2020Amortized
cost
Gross
unrealized
gains
Gross
unrealized
losses
Fair
values
U.S. Treasury notes$172  $ $—  $175  
U.S. Treasury bills3,399  —  —  3,399  
Corporate debt securities:
Financial—  —  —  —  
Industrial —  (1)  
Other—  —  —  —  
Residential-mortgage-backed securities—  —  —  —  
Money market mutual funds7,158  —  —  7,158  
Other short-term interest-bearing securities—  —  —  —  
Total interest-bearing securities$10,732  $ $(1) $10,734  

Types of securities as of December 31, 2019Amortized
cost
Gross
unrealized
gains
Gross
unrealized
losses
Fair
values
U.S. Treasury notes$359  $ $—  $360  
U.S. Treasury bills—  —  —  —  
Corporate debt securities:
Financial1,108  13  —  1,121  
Industrial824  10  —  834  
Other195   —  198  
Residential-mortgage-backed securities181   —  182  
Money market mutual funds5,250  —  —  5,250  
Other short-term interest-bearing securities289  —  —  289  
Total interest-bearing securities$8,206  $28  $—  $8,234  
Fair values of available-for-sale investments by classification in the Consolidated Balance Sheets
The fair values of interest-bearing securities by location in the Condensed Consolidated Balance Sheets were as follows (in millions):
Condensed Consolidated Balance Sheets locationsJune 30, 2020December 31, 2019
Cash and cash equivalents$8,458  $5,360  
Marketable securities2,276  2,874  
Total interest-bearing securities$10,734  $8,234  
Fair values of available-for-sale interest-bearing security investments by contractual maturity
The fair values of interest-bearing securities by contractual maturity, except for residential-mortgage-backed securities that do not have a single maturity date, were as follows (in millions):
Contractual maturitiesJune 30, 2020December 31, 2019
Maturing in one year or less$10,681  $5,629  
Maturing after one year through three years53  2,304  
Maturing after three years through five years—  119  
Residential-mortgage-backed securities—  182  
Total interest-bearing securities$10,734  $8,234