XML 35 R24.htm IDEA: XBRL DOCUMENT v3.21.2
Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2021
Fair Value Disclosures [Abstract]  
Schedule of Marketable Securities
The following is a summary of available-for-sale marketable securities held as of September 30, 2021 and December 31, 2020 (in thousands):

Gross UnrealizedClassification on Balance Sheet
Amortized CostGainsLossesAggregate
Fair Value
Short-Term
Marketable
Securities
Long-Term
Marketable
Securities
As of September 30, 2021
Commercial paper$79,744 $$(9)$79,737 $79,737 $— 
Corporate bonds1,097,056 3,100 (378)1,099,778 507,238 592,540 
U.S. government agency obligations285,903 44 (122)285,825 64,951 220,874 
$1,462,703 $3,146 $(509)$1,465,340 $651,926 $813,414 
As of December 31, 2020
Commercial paper$46,931 $13 $(8)$46,936 $46,936 $— 
Corporate bonds1,628,462 9,482 (262)1,637,682 607,403 1,030,279 
Municipal securities3,495 — (6)3,489 — 3,489 
U.S. government agency obligations435,653 329 (63)435,919 89,951 345,968 
$2,114,541 $9,824 $(339)$2,124,026 $744,290 $1,379,736 
Schedule of Fair Value Measurement
The following table details the fair value measurements within the fair value hierarchy of the Company’s financial assets as of September 30, 2021 and December 31, 2020 (in thousands):

Total Fair ValueFair Value Measurements at
Reporting Date Using
 Level 1Level 2
As of September 30, 2021
Cash Equivalents and Marketable Securities:
Money market funds$1,784 $1,784 $— 
Commercial paper121,537 — 121,537 
Corporate bonds1,099,778 — 1,099,778 
U.S. government agency obligations302,525 — 302,525 
Mutual funds22,429 22,429 — 
$1,548,053 $24,213 $1,523,840 
As of December 31, 2020
Cash Equivalents and Marketable Securities:
Money market funds$74,417 $74,417 $— 
Commercial paper75,785 — 75,785 
Corporate bonds1,637,682 — 1,637,682 
Municipal securities3,489 — 3,489 
U.S. government agency obligations435,919 — 435,919 
Mutual funds19,932 19,932 — 
$2,247,224 $94,349 $2,152,875 
Schedule of Contractual Maturities of Marketable Securities and Other Investment Related Assets
Contractual maturities of the Company’s available-for-sale marketable securities held as of September 30, 2021 and December 31, 2020 were as follows (in thousands):

September 30,
2021
December 31,
2020
Due in 1 year or less$651,926 $744,290 
Due after 1 year through 5 years813,414 1,379,736 
$1,465,340 $2,124,026