Schedule of Marketable Securities |
The amortized cost and fair value of our fixed income marketable securities as of the dates indicated below were as follows:
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As of December 31, 2024 (In thousands) |
Amortized Cost |
|
Gross Unrealized Gains |
|
Gross Unrealized Losses |
|
Fair Value |
Corporate debt securities |
$ |
874,139 |
|
|
$ |
3,086 |
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|
$ |
(523) |
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|
$ |
876,702 |
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Money market funds and other |
1,215,402 |
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|
— |
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|
— |
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|
1,215,402 |
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Municipal securities |
55,911 |
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|
148 |
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(41) |
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|
56,018 |
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|
|
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U.S. Government agency securities |
92,412 |
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|
340 |
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(89) |
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|
92,663 |
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U.S. Treasury securities |
721,084 |
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|
1,383 |
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(1,352) |
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|
721,115 |
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Subtotal |
2,958,948 |
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4,957 |
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(2,005) |
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2,961,900 |
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Add: Time deposits(1)
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265,122 |
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— |
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— |
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265,122 |
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Less: Cash equivalents |
1,300,828 |
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5 |
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— |
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1,300,833 |
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Marketable securities(2)
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$ |
1,923,242 |
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|
$ |
4,952 |
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|
$ |
(2,005) |
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$ |
1,926,189 |
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As of June 30, 2024 (In thousands) |
Amortized Cost |
|
Gross Unrealized Gains |
|
Gross Unrealized Losses |
|
Fair Value |
Corporate debt securities |
$ |
775,277 |
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|
$ |
973 |
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$ |
(2,018) |
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|
$ |
774,232 |
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Money market funds and other |
1,585,832 |
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— |
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— |
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|
1,585,832 |
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Municipal securities |
41,343 |
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13 |
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(197) |
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|
41,159 |
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U.S. Government agency securities |
106,101 |
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26 |
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(253) |
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|
105,874 |
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U.S. Treasury securities |
754,505 |
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|
209 |
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(3,408) |
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|
751,306 |
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Subtotal |
3,263,058 |
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1,221 |
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(5,876) |
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3,258,403 |
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Add: Time deposits(1)
|
932,436 |
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— |
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— |
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|
932,436 |
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Less: Cash equivalents |
1,689,540 |
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— |
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(1) |
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1,689,539 |
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Marketable securities(2)
|
$ |
2,505,954 |
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|
$ |
1,221 |
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|
$ |
(5,875) |
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$ |
2,501,300 |
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________________
(1) Time deposits excluded from fair value measurements.
(2) Excludes equity marketable securities.
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Schedule of Debt Securities, Available-for-Sale, Unrealized Loss Position, Fair Value |
The following table summarizes the fair value and gross unrealized losses of our investments that were in an unrealized loss position as of the dates indicated below.
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As of December 31, 2024 |
Less than 12 Months |
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12 Months or Greater |
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Total |
(In thousands) |
Fair Value |
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Gross Unrealized Losses |
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Fair Value |
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Gross Unrealized Losses |
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Fair Value |
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Gross Unrealized Losses |
Corporate debt securities |
$ |
172,297 |
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|
$ |
(410) |
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$ |
41,908 |
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|
$ |
(113) |
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$ |
214,205 |
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$ |
(523) |
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Municipal securities |
15,675 |
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(33) |
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|
2,453 |
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(8) |
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18,128 |
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(41) |
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U.S. Government agency securities |
17,245 |
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(89) |
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|
— |
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— |
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|
17,245 |
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(89) |
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U.S. Treasury securities |
268,818 |
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(1,109) |
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54,030 |
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(243) |
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|
322,848 |
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(1,352) |
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Total |
$ |
474,035 |
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|
$ |
(1,641) |
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|
$ |
98,391 |
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$ |
(364) |
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$ |
572,426 |
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$ |
(2,005) |
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As of June 30, 2024 |
Less than 12 Months |
|
12 Months or Greater |
|
Total |
(In thousands) |
Fair Value |
|
Gross Unrealized Losses |
|
Fair Value |
|
Gross Unrealized Losses |
|
Fair Value |
|
Gross Unrealized Losses |
Corporate debt securities |
$ |
355,882 |
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|
$ |
(942) |
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$ |
100,957 |
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$ |
(1,076) |
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$ |
456,839 |
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$ |
(2,018) |
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Municipal securities |
17,364 |
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(81) |
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|
10,788 |
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(116) |
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|
28,152 |
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(197) |
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U.S. Government agency securities |
58,598 |
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(137) |
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|
17,197 |
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(116) |
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|
75,795 |
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(253) |
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U.S. Treasury securities |
466,144 |
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(1,040) |
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|
166,867 |
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(2,368) |
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|
633,011 |
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(3,408) |
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Total |
$ |
897,988 |
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$ |
(2,200) |
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$ |
295,809 |
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|
$ |
(3,676) |
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$ |
1,193,797 |
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$ |
(5,876) |
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|
Schedule of Contractual Maturities of Securities |
The contractual maturities of securities classified as available-for-sale, regardless of their classification on our Condensed Consolidated Balance Sheets, as of the date indicated below were as follows:
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As of December 31, 2024 (In thousands) |
Amortized Cost |
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Fair Value |
Due within one year |
$ |
954,567 |
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|
$ |
955,495 |
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Due after one year through three years |
968,675 |
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|
970,694 |
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Total |
$ |
1,923,242 |
|
|
$ |
1,926,189 |
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