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Significant Accounting Policies - Estimated Fair Value of Assets and Liability (Detail) - Fair Value, Measurements, Recurring - USD ($)
$ in Thousands
Mar. 31, 2021
Dec. 31, 2020
Asset:    
Asset, fair value $ 434,207 $ 473,882
Money Market Fund    
Asset:    
Asset, fair value 177,426 88,266
U.S. Treasury Shares    
Asset:    
Asset, fair value 31,673 48,356
Corporate Bonds    
Asset:    
Asset, fair value 130,114 179,864
Commercial Paper    
Asset:    
Asset, fair value 47,517 106,650
Agency Securities    
Asset:    
Asset, fair value 20,708 20,782
Repo Securities    
Asset:    
Asset, fair value 10,000 10,000
Asset Backed Securities    
Asset:    
Asset, fair value 5,411 8,599
Certificates of Deposit    
Asset:    
Asset, fair value 6,124 6,125
Non-US Government    
Asset:    
Asset, fair value 5,234 5,240
Level 1    
Asset:    
Asset, fair value 209,099 136,622
Level 1 | Money Market Fund    
Asset:    
Asset, fair value 177,426 88,266
Level 1 | U.S. Treasury Shares    
Asset:    
Asset, fair value 31,673 48,356
Level 2    
Asset:    
Asset, fair value 225,108 337,260
Level 2 | Corporate Bonds    
Asset:    
Asset, fair value 130,114 179,864
Level 2 | Commercial Paper    
Asset:    
Asset, fair value 47,517 106,650
Level 2 | Agency Securities    
Asset:    
Asset, fair value 20,708 20,782
Level 2 | Repo Securities    
Asset:    
Asset, fair value 10,000 10,000
Level 2 | Asset Backed Securities    
Asset:    
Asset, fair value 5,411 8,599
Level 2 | Certificates of Deposit    
Asset:    
Asset, fair value 6,124 6,125
Level 2 | Non-US Government    
Asset:    
Asset, fair value $ 5,234 $ 5,240