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CASH, MONEY MARKET FUNDS, AND SHORT-TERM INVESTMENTS (Tables)
9 Months Ended
Sep. 30, 2015
CASH, MONEY MARKET FUNDS, AND SHORT-TERM INVESTMENTS [Abstract]  
Schedule of Cash, Money Market Funds and Short-Term Investments


 

September 30,
2015

   

December 31,

2014

 

       
Checking and savings accounts (reported as cash and cash equivalents) $ 10,210     $ 45  
Money market funds   20,562       -  
Corporate debt securities (reported as short-term investments)     79,374       -  
    $ 110,146     $ 45  


Schedule of Unrealized Gains and Losses


 

  Gross     Gross        
  Unrealized     Unrealized        
September 30, 2015 Cost   Gains     Gains     Fair Value  
Money market funds $ 20,562     $ -     $ -     $ 20,562  
Corporate debt securities     79,336       38       -       79,374  
                                 
Total   $ 99,897     $ 38     $ -     $ 99,936  

  

Schedule of Contractual Maturities


 

Within One  
Year  
Money market funds $ 20,562  
Corporate debt securities   79,374  
    $ 99,936