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Investments
9 Months Ended
Sep. 30, 2021
Investments, Debt and Equity Securities [Abstract]  
Investments Investments
All of our available-for-sale debt investments as of September 30, 2021 are available to fund current operations and are recorded at fair value (Note 14).
The following table summarizes our cash equivalents and available-for-sale debt investments:
September 30, 2021
Fair Value Level
Amortized CostGross Unrealized GainsGross Unrealized Losses (1)Total Fair ValueLevel 1Level 2
 (In thousands)
Cash equivalents
Asset-backed securities$$— $— $$— $
Commercial paper16,757 — — 16,757 — 16,757 
Corporate bonds5,908 — (1)5,907 — 5,907 
Money market funds143,262 — — 143,262 143,262 — 
Total cash equivalents165,931 — (1)165,930 143,262 22,668 
Short-term investments
Asset-backed securities23,155 (4)23,153 — 23,153 
Certificate of deposits18,381 — — 18,381 18,381 — 
Commercial paper23,112 — — 23,112 — 23,112 
Corporate bonds156,405 11 (165)156,251 — 156,251 
Municipal bonds14,072 (1)14,072 — 14,072 
U.S. government bonds4,120 — (1)4,119 4,119 — 
Variable rate demand notes700 — — 700 — 700 
Total short-term investments239,945 14 (171)239,788 22,500 217,288 
Total$405,876 $14 $(172)$405,718 $165,762 $239,956 
December 31, 2020
Fair Value Level
Amortized CostGross Unrealized GainsGross Unrealized Losses (1)Total Fair ValueLevel 1Level 2
 (In thousands)
Cash equivalents
Certificate of deposits$976 $— $— $976 $976 $— 
Commercial paper5,293 — — 5,293 — 5,293 
Corporate bonds1,744 — — 1,744 — 1,744 
Money market funds138,290 — — 138,290 138,290 — 
Municipal bonds400 — — 400 — 400 
Total cash equivalents146,703 — — 146,703 139,266 7,437 
Short-term investments
Asset-backed securities19,111 18 (9)19,120 — 19,120 
Certificate of deposits5,046 — — 5,046 5,046 — 
Commercial paper15,148 — — 15,148 — 15,148 
Corporate bonds50,771 16 (12)50,775 — 50,775 
Municipal bonds12,702 (2)12,708 — 12,708 
U.S. government agency bonds8,415 — 8,418 — 8,418 
U.S. government bonds17,605 — 17,608 17,608 — 
Variable rate demand notes300 — — 300 — 300 
Total short-term investments129,098 48 (23)129,123 22,654 106,469 
Total$275,801 $48 $(23)$275,826 $161,920 $113,906 
(1)All unrealized losses have been in a continuous loss position for less than 12 months. We do not intend to sell the investments in an unrealized loss position, and it is not more likely than not that we will be required to sell these investments before recovery of their amortized cost bases.
The following table summarizes the contractual maturities of our cash equivalents and available-for-sale debt investments as of September 30, 2021:
Amortized CostFair Value
(In thousands)
Within 1 year$320,948 $320,877 
After 1 year through 5 years82,992 82,905 
After 5 years through 10 years406 406 
After 10 years1,530 1,530 
Total$405,876 $405,718 
Actual maturities can differ from contractual maturities due to various factors including the issuers may have the right to call or prepay obligations without call or prepayment penalties. We view our available-for-sale debt investments as available for current operations.
As of September 30, 2021, the amortized cost and the fair market value of our held-to-maturity government bond (Level 1) maturing within a year was $4.7 million. As of December 31, 2020, the amortized cost and the fair market value of our held-to-maturity government bond (Level 1) maturing within a year was $4.7 million.