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Investments (Tables)
9 Months Ended
Sep. 30, 2024
Investments [Abstract]  
Contract Maturity of Available-for-Sale Securities

The following table summarizes the contract maturity of the available-for-sale securities we held as of September 30, 2024:

One year or less
   
70
%
After one year but within two years
   
23
%
After two years but within three and a half years
   
7
%
Total
   
100
%
Summary of Investments

The following is a summary of our investments (in thousands):

 
Amortized
   
Gross Unrealized
   
Estimated
 
September 30, 2024
 
Cost
   
Gains
   
Losses
   
Fair Value
 
Available-for-sale debt securities:
                       
Corporate debt securities (1)
 
$
653,028
   
$
1,120
   
$
(213
)
 
$
653,935
 
Debt securities issued by U.S. government agencies
   
149,658
     
464
     
(20
)
   
150,102
 
Debt securities issued by the U.S. Treasury (1)
   
678,977
     
1,283
     
(114
)
   
680,146
 
Debt securities issued by states of the U.S. and political subdivisions of the states
   
10,652
     
18
     
(2
)
   
10,668
 
Total debt securities with a maturity of one year or less
   
1,492,315
     
2,885
     
(349
)
   
1,494,851
 
Corporate debt securities
   
433,542
     
1,813
     
(312
)
   
435,043
 
Debt securities issued by U.S. government agencies
   
78,241
     
526
     
(51
)
   
78,716
 
Debt securities issued by the U.S. Treasury
   
175,390
     
847
     
(50
)
   
176,187
 
Total debt securities with a maturity of more than one year
   
687,173
     
3,186
     
(413
)
   
689,946
 
Total available-for-sale debt securities
 
$
2,179,488
   
$
6,071
   
$
(762
)
 
$
2,184,797
 
Equity securities:
                               
Publicly traded equity securities included in other current assets (2)
 
$
11,897
   
$
426
   
$
(4,624
)
 
$
7,699
 
Privately held equity securities included in deposits and other assets (3)
   
23,115
     
25,001
     
(7,093
)
   
41,023
 
Total equity securities
   
35,012
     
25,427
     
(11,717
)
   
48,722
 
Total available-for-sale debt and equity securities
 
$
2,214,500
   
$
31,498
   
$
(12,479
)
 
$
2,233,519
 

 
Amortized
   
Gross Unrealized
   
Estimated
 
December 31, 2023
 
Cost
   
Gains
   
Losses
   
Fair Value
 
Available-for-sale debt securities:
                       
Corporate debt securities (1)
 
$
559,967
   
$
157
   
$
(2,625
)
 
$
557,499
 
Debt securities issued by U.S. government agencies
   
224,711
     
64
     
(611
)
   
224,164
 
Debt securities issued by the U.S. Treasury (1)
   
513,784
     
152
     
(1,889
)
   
512,047
 
Debt securities issued by states of the U.S. and political subdivisions of the states
   
17,757
     
42
     
(113
)
   
17,686
 
Total debt securities with a maturity of one year or less
   
1,316,219
     
415
     
(5,238
)
   
1,311,396
 
Corporate debt securities
   
243,151
     
1,270
     
(692
)
   
243,729
 
Debt securities issued by U.S. government agencies
   
110,138
     
547
     
(21
)
   
110,664
 
Debt securities issued by the U.S. Treasury
   
294,873
     
1,239
     
(480
)
   
295,632
 
Debt securities issued by states of the U.S. and political subdivisions of the states
   
3,466
     
7
     
(4
)
   
3,469
 
Total debt securities with a maturity of more than one year
   
651,628
     
3,063
     
(1,197
)
   
653,494
 
Total available-for-sale debt securities
 
$
1,967,847
   
$
3,478
   
$
(6,435
)
 
$
1,964,890
 
Equity securities:
                               
Publicly traded equity securities included in other current assets (2)
 
$
11,897
   
$
236
   
$
(5,832
)
 
$
6,301
 
Privately held equity securities included in deposits and other assets (3)
   
23,115
     
25,001
     
(5,125
)
   
42,991
 
Total equity securities
   
35,012
     
25,237
     
(10,957
)
   
49,292
 
Total available-for-sale debt and equity securities
 
$
2,002,859
   
$
28,715
   
$
(17,392
)
 
$
2,014,182
 

(1)
Includes investments classified as cash equivalents in our condensed consolidated balance sheets.

(2)
Our publicly traded equity securities are included in other current assets. We recognize publicly traded equity securities at fair value. In the nine months ended September 30, 2024, we recorded a $1.4 million net unrealized gain in our condensed consolidated statements of operations related to changes in the fair value of our investments in publicly traded companies.

(3)
Our privately held equity securities are included in deposits and other assets. We recognize our privately held equity securities at cost minus impairments, plus or minus changes resulting from observable price changes in orderly transactions for the identical or similar investment of the same issuer, which are Level 3 inputs. In the nine months ended September 30, 2024, we recorded a loss of $2.0 million in our condensed consolidated statements of operations related to observable price changes of our investments in privately held companies.
Temporarily Impaired Investments

The following is a summary of our investments we consider to be temporarily impaired at September 30, 2024 (in thousands, except for number of investments):

       
Less than 12 Months of
Temporary Impairment
   
More than 12 Months of
Temporary Impairment
   
Total Temporary
Impairment
 
   
Number of
Investments
   
Estimated
Fair Value
   
Unrealized
Losses
   
Estimated
Fair Value
   
Unrealized
Losses
   
Estimated
Fair Value
   
Unrealized
Losses
 
Corporate debt securities
   
209
   
$
331,968
   
$
(351
)
 
$
47,159
   
$
(174
)
 
$
379,127
   
$
(525
)
Debt securities issued by U.S. government agencies
   
26
     
49,966
     
(70
)
   
3,068
     
(1
)
   
53,034
     
(71
)
Debt securities issued by the U.S. Treasury
   
12
     
48,664
     
(30
)
   
59,416
     
(134
)
   
108,080
     
(164
)
Debt securities issued by states of the U.S. and political subdivisions of the states
   
8
     
534
     
     
919
     
(2
)
   
1,453
     
(2
)
Total temporarily impaired securities
   
255
   
$
431,132
   
$
(451
)
 
$
110,562
   
$
(311
)
 
$
541,694
   
$
(762
)