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Fair Value Measurement (Tables)
6 Months Ended
Jun. 30, 2020
Fair Value Disclosures [Abstract]  
Schedule Of Assets And Liabilites Measured At Fair Value
The following tables present information about our assets and liabilities that are measured at fair value on a recurring basis as of June 30, 2020 and December 31, 2019, and indicate the fair value hierarchy of the valuation techniques we utilized to determine such fair value.
  Fair Value Measurement at
June 30, 2020
Balance Sheet
Classification
Type of InstrumentTotalLevel 1Level 2Level 3
Cash equivalentsMoney market funds$1,212.8  $—  $1,212.8  $—  
Marketable securitiesMutual funds$26.8  $26.8  $—  $—  
Other assetsEquity securities$123.6  $98.9  $24.7  $—  
Prepaid expenses and other current assetsForeign exchange forward contracts$43.5  $—  $43.5  $—  
Other current liabilitiesForeign exchange forward contracts$24.2  $—  $24.2  $—  
Other liabilitiesForeign exchange forward contracts$0.4  $—  $0.4  $—  
Other current liabilitiesInterest rate contracts$45.5  $—  $45.5  $—  
Other liabilitiesInterest rate contracts$69.6  $—  $69.6  $—  
Contingent considerationAcquisition-related contingent consideration$374.7  $—  $—  $374.7  
Other current liabilitiesOther contingent payments$11.4  $—  $—  $11.4  
 
  Fair Value Measurement at
December 31, 2019
Balance Sheet
Classification
Type of InstrumentTotalLevel 1Level 2Level 3
Cash equivalentsMoney market funds$635.9  $—  $635.9  $—  
Cash equivalentsCommercial paper$227.9  $—  $227.9  $—  
Cash equivalentsCorporate bonds$20.6  $—  $20.6  $—  
Cash equivalentsBank certificates of deposit$19.2  $—  $19.2  $—  
Cash equivalentsOther government-related obligations$60.4  $—  $60.4  $—  
Marketable securitiesMutual funds$23.1  $23.1  $—  $—  
Marketable securitiesCommercial paper$19.0  $—  $19.0  $—  
Marketable securitiesCorporate bonds$3.7  $—  $3.7  $—  
Marketable securitiesOther government-related obligations$10.0  $—  $10.0  $—  
Marketable securitiesBank certificates of deposit$8.2  $—  $8.2  $—  
Other assetsEquity securities$79.0  $51.2  $27.8  $—  
Prepaid expenses and other current assetsForeign exchange forward contracts$29.9  $—  $29.9  $—  
Other assetsForeign exchange forward contracts$0.6  $—  $0.6  $—  
Other current liabilitiesForeign exchange forward contracts$26.6  $—  $26.6  $—  
Other liabilitiesForeign exchange forward contracts$1.1  $—  $1.1  $—  
Other current liabilitiesInterest rate contracts$19.5  $—  $19.5  $—  
Other liabilitiesInterest rate contracts$41.9  $—  $41.9  $—  
Contingent considerationAcquisition-related contingent consideration$192.4  $—  $—  $192.4  
Other current liabilitiesOther contingent payments$24.0  $—  $—  $24.0  
Schedule Of Acquisition-Related Contingent Consideration he following table represents a roll-forward of our acquisition-related contingent consideration:
Six Months Ended June 30, 2020
Balance at beginning of period$192.4  
Amounts issued160.7  
Changes in fair value21.6  
Balance at end of period$374.7