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Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2022
Investments, All Other Investments [Abstract]  
Summary of financial assets with maturities of less than 90 days included within cash and cash equivalents
The following table summarizes our financial assets with maturities of less than three months from the date of purchase included in cash and cash equivalents in our consolidated balance sheets:
 As of December 31,
(In millions)20222021
Commercial paper$177.2 $247.6 
Overnight reverse repurchase agreements59.0 200.0 
Money market funds2,581.5 901.6 
Short-term debt securities29.9 283.0 
Total$2,847.6 $1,632.2 
Marketable debt and equity securities The following tables summarize our marketable debt and equity securities, classified as available for sale:
As of December 31, 2022
(In millions)Amortized
Cost
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Fair
Value
Marketable debt securities:
Corporate debt securities:
Current$936.2 $— $(4.9)$931.3 
Non-current305.3 0.1 (5.1)300.3 
Government securities:
Current547.1 0.1 (5.0)542.2 
Non-current271.4 — (3.3)268.1 
Mortgage and other asset backed securities:
Current— — — — 
Non-current139.1 0.1 (1.9)137.3 
Total marketable debt securities$2,199.1 $0.3 $(20.2)$2,179.2 
Marketable equity securities:
Marketable equity securities, current$1,133.8 $— $(342.7)$791.1 
Total marketable equity securities$1,133.8 $— $(342.7)$791.1 
As of December 31, 2021
(In millions)Amortized
Cost
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Fair
Value
Marketable debt securities:
Corporate debt securities:
Current$723.6 $0.1 $(0.3)$723.4 
Non-current385.4 0.2 (0.8)384.8 
Government securities:
Current817.0 — (0.4)816.6 
Non-current377.0 0.1 (1.0)376.1 
Mortgage and other asset backed securities:
Current1.1 — — 1.1 
Non-current131.8 — (0.7)131.1 
Total marketable debt securities$2,435.9 $0.4 $(3.2)$2,433.1 
Marketable equity securities:
Marketable equity securities, current$33.9 $9.9 $— $43.8 
Marketable equity securities, non-current1,133.1 151.0 (279.4)1,004.7 
Total marketable equity securities$1,167.0 $160.9 $(279.4)$1,048.5 
Summary of contractual maturities: available-for-sale securities
The estimated fair value and amortized cost of our marketable debt securities classified as available-for-sale by contractual maturity are summarized as follows:
As of December 31,
 20222021
(In millions)Estimated
Fair Value
Amortized
Cost
Estimated
Fair Value
Amortized
Cost
Due in one year or less$1,473.5 $1,483.3 $1,541.1 $1,541.7 
Due after one year through five years694.4 703.7 868.2 870.2 
Due after five years11.3 12.1 23.8 24.0 
Total marketable debt securities$2,179.2 $2,199.1 $2,433.1 $2,435.9 
Proceeds from marketable securities, excluding strategic investments
The proceeds from maturities and sales of marketable debt securities and resulting realized gains and losses are summarized as follows:
 For the Years Ended December 31,
(In millions)202220212020
Proceeds from maturities and sales$3,671.0 $3,405.4 $7,299.4 
Realized gains— 0.2 17.7 
Realized losses12.6 4.0 26.0