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Financial Instruments and Fair Value (Tables)
3 Months Ended
Mar. 31, 2025
Financial Instruments and Fair Value [Abstract]  
Summary of Investments The following tables summarize our short-term and long-term investments (in millions):
 
 March 31, 2025
 Amortized
Cost
Unrealized
Gains
Unrealized
Losses
Fair
Value
U.S. government and agency securities$486.5 $0.2 $— $486.7 
Commercial paper432.8 0.1 (0.1)432.8 
Corporate debt securities158.2 — (0.1)158.1 
Certificates of deposit and term deposits73.9 — — 73.9 
Total available-for-sale investments
1,151.4 0.3 (0.2)1,151.5 
Marketable equity securities
67.6 
Total short-term and long-term investments
$1,151.4 $0.3 $(0.2)$1,219.1 
 December 31, 2024
 Amortized
Cost
Unrealized
Gains
Unrealized
Losses
Fair
Value
U.S. government and agency securities$469.1 $0.4 $— $469.5 
Commercial paper428.7 0.2 (0.2)428.7 
Corporate debt securities166.4 0.1 (0.1)166.4 
Certificates of deposit and term deposits61.8 — — 61.8 
Total available-for-sale investments
1,126.0 0.7 (0.3)1,126.4 
Marketable equity securities
64.2 
Total short-term and long-term investments
$1,126.0 $0.7 $(0.3)$1,190.6 
Schedule of Unrealized Loss on Investments
The following tables show the gross unrealized losses and the related fair values of our available-for-sale investments that have been in a continuous unrealized loss position (in millions):
March 31, 2025
 Less Than 12 Months12 Months or GreaterTotal
Fair
Value
Unrealized
Losses
Fair
Value
Unrealized
Losses
Fair
Value
Unrealized
Losses
U.S. government and agency securities$119.7 $— $— $— $119.7 $— 
Commercial paper260.5 (0.1)— — 260.5 (0.1)
Corporate debt securities83.8 (0.1)— — 83.8 (0.1)
Certificates of deposit and term deposits9.5 — — — 9.5 — 
Total available-for-sale investments
$473.5 $(0.2)$— $— $473.5 $(0.2)

December 31, 2024
 Less Than 12 Months12 Months or GreaterTotal
 Fair
Value
Unrealized
Losses
Fair
Value
Unrealized
Losses
Fair
Value
Unrealized
Losses
U.S. government and agency securities$27.8 $— $— $— $27.8 $— 
Commercial paper149.4 (0.2)— — 149.4 (0.2)
Corporate debt securities63.5 (0.1)— — 63.5 (0.1)
Certificates of deposit and term deposits10.9 — — — 10.9 — 
Total available-for-sale investments
$251.6 $(0.3)$— $— $251.6 $(0.3)
Investments Classified by Contractual Maturity Date
The contractual maturities of our available-for-sale investments were (in millions):
 March 31,
2025
December 31,
2024
Due within one year$1,116.3 $1,126.4 
Due within one to three years35.2 — 
Total$1,151.5 $1,126.4 
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis
The following tables present the fair value of our financial assets measured at fair value on a recurring basis (in millions):
 March 31, 2025December 31, 2024
 Aggregate
Fair
Value
Quoted
Prices in
Active
Markets For
Identical
Assets
Significant
Other
Observable
Remaining
Inputs
Significant
Other
Unobservable
Remaining
Inputs
Aggregate
Fair
Value
Quoted
Prices in
Active
Markets For
Identical
Assets
Significant
Other
Observable
Remaining
Inputs
Significant
Other
Unobservable
Remaining
Inputs
  (Level 1)(Level 2)(Level 3) (Level 1)(Level 2)(Level 3)
Cash equivalents:
Money market funds$260.3 $260.3 $— $— $296.1 $296.1 $— $— 
Commercial paper86.5 — 86.5 — 59.7 — 59.7 — 
Total cash equivalents
346.8 260.3 86.5 — 355.8 296.1 59.7 — 
Short-term investments:
U.S. government and agency securities451.5 446.5 5.0 — 469.5 464.5 5.0 — 
Commercial paper432.8 — 432.8 — 428.7 — 428.7 — 
Corporate debt securities158.1 — 158.1 — 166.4 — 166.4 — 
Certificates of deposit and term deposits73.9 — 73.9 — 61.8 — 61.8 — 
Marketable equity securities67.6 67.6 — — 64.2 64.2 — — 
Total short-term investments
1,183.9 514.1 669.8 — 1,190.6 528.7 661.9 — 
Long-term investments:
U.S. government and agency securities35.2 35.2 — — — — — — 
Total
$1,565.9 $809.6 $756.3 $— $1,546.4 $824.8 $721.6 $—