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Marketable and Other Securities (Tables)
6 Months Ended
Jun. 30, 2025
Marketable Securities [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis
The following table summarizes the fair value of cash equivalents and marketable debt securities, which approximates cost:
Fair Value LevelJune 30, 2025December 31, 2024
Cash and cash equivalents
Cash and time deposits$12,547 $12,471 
Available-for-sale debt securities
U.S. government and agencies2498 26 
Corporate debt22,193 1,541 
Sovereign debt2378 785 
Total available-for-sale debt securities – cash equivalents3,068 2,351 
Money market funds16,766 5,050 
Total cash and cash equivalents$22,381 $19,872 
Marketable debt securities
U.S. government and agencies2$2,610 $3,082 
Corporate debt and other23,840 3,592 
Mortgage and asset-backed2509 591 
Total available-for-sale debt securities – marketable securities$6,958 $7,265 
Restricted cash
Cash and cash equivalents $370 $294 
Money market funds13,048 2,798 
Total restricted cash$3,418 $3,092 
Available-for-sale debt securities included above with contractual maturities(a)
Due in one year or less$4,216 
Due between one and five years5,188 
Total available-for-sale debt securities with contractual maturities$9,403 
__________
(a)Excludes mortgage and asset-backed securities of $509 million at June 30, 2025 as these securities are not due at a single maturity date.
Schedule of Investments Classified by Contractual Maturity Date
The following table summarizes the fair value of cash equivalents and marketable debt securities, which approximates cost:
Fair Value LevelJune 30, 2025December 31, 2024
Cash and cash equivalents
Cash and time deposits$12,547 $12,471 
Available-for-sale debt securities
U.S. government and agencies2498 26 
Corporate debt22,193 1,541 
Sovereign debt2378 785 
Total available-for-sale debt securities – cash equivalents3,068 2,351 
Money market funds16,766 5,050 
Total cash and cash equivalents$22,381 $19,872 
Marketable debt securities
U.S. government and agencies2$2,610 $3,082 
Corporate debt and other23,840 3,592 
Mortgage and asset-backed2509 591 
Total available-for-sale debt securities – marketable securities$6,958 $7,265 
Restricted cash
Cash and cash equivalents $370 $294 
Money market funds13,048 2,798 
Total restricted cash$3,418 $3,092 
Available-for-sale debt securities included above with contractual maturities(a)
Due in one year or less$4,216 
Due between one and five years5,188 
Total available-for-sale debt securities with contractual maturities$9,403 
__________
(a)Excludes mortgage and asset-backed securities of $509 million at June 30, 2025 as these securities are not due at a single maturity date.
Schedule of Reconciliation of Cash, Cash Equivalents and Restricted Cash
The following table provides a reconciliation of cash, cash equivalents and restricted cash reported within the condensed consolidated balance sheet to the total shown in the condensed consolidated statement of cash flows:
June 30, 2025
Cash and cash equivalents$22,381 
Restricted cash included in Other current assets2,943 
Restricted cash included in Other assets476 
Total$25,800