XML 41 R25.htm IDEA: XBRL DOCUMENT v3.20.2
Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2020
Fair Value Disclosures [Abstract]  
Schedule of assets measured at fair value on a recurring basis
The table below summarizes the Company's assets which are measured at fair value on a recurring basis. The following fair value hierarchy is used to classify assets, based on inputs to valuation techniques utilized to measure fair value:
Level 1 - Quoted prices in active markets for identical assets
Level 2 - Significant other observable inputs, such as quoted market prices for similar instruments in active markets, quoted prices for identical or similar instruments in markets that are not active, or model-based valuations in which significant inputs used are observable
Level 3 - Significant other unobservable inputs
Fair Value Measurements at Reporting Date
As of September 30, 2020Fair ValueLevel 1Level 2
Available-for-sale debt securities:
Corporate bonds$2,836.0 — $2,836.0 
U.S. government and government agency obligations134.7 — 134.7 
Sovereign bonds66.6 — 66.6 
Commercial paper390.6 — 390.6 
Certificates of deposit122.5 — 122.5 
Equity securities (unrestricted)41.3 $41.3 — 
Equity securities (restricted)736.3 720.0 16.3 
$4,328.0 $761.3 $3,566.7 
As of December 31, 2019
Available-for-sale debt securities:
Corporate bonds$3,988.1 — $3,988.1 
U.S. government and government agency obligations54.4 — 54.4 
Sovereign bonds27.3 — 27.3 
Commercial paper92.3 — 92.3 
Certificates of deposit72.4 — 72.4 
Equity securities (unrestricted)61.6 $61.6 — 
Equity securities (restricted)557.2 557.2 — 
$4,853.3 $618.8 $4,234.5