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Investments (Tables)
3 Months Ended
Mar. 31, 2014
Investments [Abstract]  
Summary of contract maturity of available-for-sale securities
The following table summarizes the contract maturity of the available-for-sale securities we held as of March 31, 2014:

One year or less
  
48
%
After one year but within two years
  
35
%
After two years but within three years
  
17
%
Total
  
100
%
Summary of investments

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

 
 
  
  
  
Other-Than-
  
 
 
 
  
  
  
Temporary
  
 
 
 
Amortized
  
Unrealized
  
Impairment
  
Estimated
 
March 31, 2014
 
Cost
  
Gains
  
Losses
  
Loss
  
Fair Value
 
Available-for-sale securities:
 
  
  
  
  
 
Corporate debt securities(1)
 
$
176,874
  
$
104
  
$
(32
)
 
$
  
$
176,946
 
Debt securities issued by U.S. government agencies (1)
  
18,427
   
17
   
   
   
18,444
 
Debt securities issued by the U.S. Treasury
  
9,272
   
14
   
   
   
9,286
 
Debt securities issued by states of the United States and political subdivisions of the states
  
23,211
   
9
   
(29
)
  
   
23,191
 
Total securities with a maturity of one year or less
  
227,784
   
144
   
(61
)
  
   
227,867
 
Corporate debt securities
  
173,937
   
101
   
(177
)
  
   
173,861
 
Debt securities issued by U.S. government agencies
  
49,303
   
4
   
(153
)
  
   
49,154
 
Debt securities issued by the U.S. Treasury
  
5,998
   
14
   
   
   
6,012
 
Debt securities issued by states of the United States and political subdivisions of the states
  
21,559
   
48
   
(55
)
  
   
21,552
 
Total securities with a maturity of more than one year
  
250,797
   
167
   
(385
)
  
   
250,579
 
Total available-for-sale securities
 
$
478,581
  
$
311
  
$
(446
)
 
$
  
$
478,446
 

 
 
  
  
  
Other-Than-
  
 
 
 
  
  
  
Temporary
  
 
 
 
Cost
  
Unrealized
  
Impairment
  
Estimated
 
March 31, 2014
 
Basis
  
Gains
  
Losses
  
Loss
  
Fair Value
 
Equity securities:
 
  
  
  
  
 
Regulus Therapeutics Inc.
 
$
15,526
  
$
48,060
  
$
  
$
  
$
63,586
 
Securities included in other current assets
  
1,426
   
2,357
   
   
(880
)
  
2,903
 
Securities included in deposits and other assets
  
625
   
   
   
   
625
 
Total equity securities
 
$
17,577
  
$
50,417
  
$
  
$
(880
)
 
$
67,114
 
Total available-for-sale and equity securities
 
$
496,158
  
$
50,728
  
$
(446
)
 
$
(880
)
 
$
545,560
 

 
 
  
  
  
Other-Than-
  
 
 
 
  
  
  
Temporary
  
 
 
 
Amortized
  
Unrealized
  
Impairment
  
Estimated
 
December 31, 2013
 
Cost
  
Gains
  
Losses
  
Loss
  
Fair Value
 
Available-for-sale securities:
 
  
  
  
  
 
Corporate debt securities(1)
 
$
142,096
  
$
75
  
$
(27
)
 
$
  
$
142,144
 
Debt securities issued by U.S. government agencies (1)
  
23,242
   
22
   
(16
)
  
   
23,248
 
Debt securities issued by the U.S. Treasury
  
6,239
   
6
   
   
   
6,245
 
Debt securities issued by states of the United States and political subdivisions of the states
  
8,082
   
6
   
(28
)
  
   
8,060
 
Total securities with a maturity of one year or less
  
179,659
   
109
   
(71
)
  
   
179,697
 
Corporate debt securities
  
265,969
   
177
   
(393
)
  
   
265,753
 
Debt securities issued by U.S. government agencies
  
41,308
   
3
   
(127
)
  
   
41,184
 
Debt securities issued by the U.S. Treasury
  
9,062
   
21
   
   
   
9,083
 
Debt securities issued by states of the United States and political subdivisions of the states
  
14,186
   
37
   
(28
)
  
   
14,195
 
Total securities with a maturity of more than one year
  
330,525
   
238
   
(548
)
  
   
330,215
 
Total available-for-sale securities
 
$
510,184
  
$
347
  
$
(619
)
 
$
  
$
509,912
 

 
 
  
  
  
Other-Than-
  
 
 
 
  
  
  
Temporary
  
 
 
 
Cost
  
Unrealized
  
Impairment
  
Estimated
 
December 31, 2013
 
Basis
  
Gains
  
Losses
  
Loss
  
Fair Value
 
Equity securities:
 
  
  
  
  
 
Regulus Therapeutics Inc.
 
$
15,526
  
$
36,570
  
$
  
$
  
$
52,096
 
Securities included in other current assets
  
1,538
   
618
   
   
(880
)
  
1,276
 
Securities included in deposits and other assets
  
625
   
   
   
   
625
 
Total equity securities
 
$
17,689
  
$
37,188
  
$
  
$
(880
)
 
$
53,997
 
Total available-for-sale and equity securities
 
$
527,873
  
$
37,535
  
$
(619
)
 
$
(880
)
 
$
563,909
 
Schedule of investments temporarily impaired
Investments we considered to be temporarily impaired at March 31, 2014 were as follows (in thousands):

 
 
  
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
  
124
  
$
144,662
  
$
(207
)
 
$
6,057
  
$
(2
)
 
$
150,719
  
$
(209
)
Debt securities issued by U.S. government agencies
  
7
   
47,622
   
(153
)
  
   
   
47,622
   
(153
)
Debt securities issued by states of the United States and political subdivisions of the states
  
19
   
14,860
   
(84
)
  
   
   
14,860
   
(84
)
Total temporarily impaired securities
  
150
  
$
207,144
  
$
(444
)
 
$
6,057
  
$
(2
)
 
$
213,201
  
$
(446
)