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CASH AND CASH EQUIVALENTS, SHORT-TERM BANK DEPOSITS AND MARKETABLE SECURITIES (Tables)
9 Months Ended
Sep. 30, 2025
Cash, Cash Equivalents, and Short-term Investments [Abstract]  
Schedule of Cash Cash Equivalents and Investments
 
 
September 30, 2025
   
December 31, 2024
 
Cash and cash equivalents:
           
Cash
 
$
65.3
   
$
54.5
 
Money market funds
   
356.3
     
158.1
 
Short term deposits
   
198.3
     
293.6
 
Total Cash and cash equivalents
   
619.9
     
506.2
 
 
               
Short-term bank deposits:
   
176.9
     
134.0
 
Marketable securities:
               
Debt securities issued by the U.S. Treasury and other U.S. government agencies
   
480.9
     
518.4
 
Debt securities issued by other governments
   
40.3
     
55.4
 
Corporate debt securities
   
1,499.2
     
1,569.8
 
Total Marketable securities
   
2,020.4
     
2,143.6
 
Total Cash and cash equivalents, short-term bank deposits and marketable securities
 
$
2,817.2
   
$
2,783.8
 
Schedule of Contractual Obligation Fiscal Year Maturity
 
 
September 30, 2025
 
 
 
Amortized
Cost
   
Gross
unrealized
gain
   
Gross
unrealized
loss
   
Fair
Value
 
Contractual maturity year:
                       
Within one year          
 
$
674.1
   
$
1.0
   
$
(2.9
)
 
$
672.2
 
After one year through five years
   
1,334.8
     
14.6
     
(1.2
)
   
1,348.2
 
 
                               
Total
 
$
2,008.9
   
$
15.6
   
$
(4.1
)
 
$
2,020.4
 
 
 
 
December 31, 2024
 
 
 
Amortized
Cost
   
Gross
unrealized
gain
   
Gross
unrealized
loss
   
Fair
Value
 
Contractual maturity year:
                       
Within one year          
 
$
736.3
   
$
0.3
   
$
(4.9
)
 
$
731.7
 
After one year through five years
   
1,424.5
     
2.8
     
(15.4
)
   
1,411.9
 
 
                               
Total
 
$
2,160.8
   
$
3.1
   
$
(20.3
)
 
$
2,143.6