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Fair Value Measurements Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2022
Fair Value Disclosures [Abstract]  
Fair Value, Assets Measured on Recurring and Nonrecurring Basis [Table Text Block]
The following table summarizes the levels of fair value measurements of our financial assets:
September 30, 2022December 31, 2021
(in thousands)TotalLevel 1Level 2TotalLevel 1Level 2
Money market funds$546,717 $546,717 $— $579,105 $579,105 $— 
U.S. Treasury bills23,929 23,929 — 5,782 5,782 — 
Municipal bonds10,564 — 10,564 26,009 — 26,009 
Total$581,210 $570,646 $10,564 $610,896 $584,887 $26,009 
Investments Classified by Contractual Maturity Date [Table Text Block] As of September 30, 2022, the contractual maturities of the marketable securities in our portfolio were less than one year.
Debt Securities, Available-for-sale
The following is a summary of our available-for-sale marketable securities:
(in thousands)Amortized CostGross Unrealized GainsGross Unrealized LossesEstimated Fair Value
September 30, 2022
U.S. Treasury bills$23,991 $— $(62)$23,929 
Municipal bonds10,596 — (32)10,564 
December 31, 2021
U.S. Treasury bills$5,783 $— $(1)$5,782 
Municipal bonds26,017 — (8)26,009