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INVESTMENTS
9 Months Ended
Sep. 30, 2021
INVESTMENTS  
INVESTMENTS

5.

INVESTMENTS

The following table summarizes the Company’s investments at:

Continuous

Continuous

Gross

Gross

Unrealized

Unrealized

Unrealized

Unrealized

Loss Position

Loss Position

Amortized

Holding

Holding

Fair

less than 12

greater than 12

September 30, 2021

    

Cost

    

Gains

    

Losses

    

Value

    

Months

    

Months

Available-for-sale

Short-term:

Commercial paper

$

292,094

$

$

$

292,094

$

$

Certificates of deposit

47,616

47,616

U.S. government agency securities

 

70,202

 

10

 

2

 

70,210

 

2

 

U.S. treasuries

814,178

 

30

 

62

 

814,146

 

62

 

Long-term:

U.S. government agency securities

1,416

1,416

U.S. treasuries

26,840

1

2

26,839

2

Total

$

1,252,346

$

41

$

66

$

1,252,321

$

66

$

Continuous

Continuous

Gross

Gross

Unrealized

Unrealized

Unrealized

Unrealized

Loss Position

Loss Position

Amortized

Holding

Holding

Fair

less than 12

greater than 12

December 31, 2020

    

Cost

    

Gains

    

Losses

    

Value

    

Months

    

Months

Available-for-sale

Short-term:

Commercial paper

$

119,886

$

$

$

119,886

$

$

Certificates of deposit

20,387

20,387

Municipal securities

 

9,083

 

 

 

9,083

 

 

U.S. government agency securities

 

81,521

 

13

 

3

 

81,531

 

3

 

U.S. treasuries

650,386

150

69

650,467

69

Long-term:

U.S. government agency securities

10,350

1

10,351

U.S. treasuries

33,946

1

7

33,940

7

Total

$

925,559

$

165

$

79

$

925,645

$

79

$

During the three- and nine-months ended September 30, 2021 and 2020, realized gains or losses recognized on the sale of investments were not significant.

The Company’s investments at September 30, 2021 and December 31, 2020 carried investment grade credit ratings.

The following table summarizes the underlying contractual maturities of the Company’s investments at:

September 30, 2021

December 31, 2020

    

Amortized Cost

    

Fair Value

    

Amortized Cost

    

Fair Value

Less than 1 year:

Commercial paper

$

292,094

$

292,094

 

$

119,886

$

119,886

Municipal securities

 

 

 

 

9,083

 

9,083

U.S. government agency securities

 

70,202

 

70,210

 

 

81,521

 

81,531

Certificates of deposit

 

47,616

 

47,616

 

 

20,387

 

20,387

U.S. treasuries

814,178

814,146

650,386

650,467

Due 1 - 10 years:

U.S. treasuries

26,840

26,839

33,946

33,940

U.S. government agency securities

 

1,416

 

1,416

 

 

10,350

 

10,351

Total

$

1,252,346

$

1,252,321

 

$

925,559

$

925,645