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Fair Value Measurements - Schedule of Fair Value Measurements by Level for Assets and Liabilities Measured at Fair Value on a Recurring Basis (Details) - USD ($)
$ in Millions
Dec. 31, 2024
Dec. 31, 2023
Assets    
Cash and cash equivalents $ 14,063 $ 17,193
Investments:    
Equity securities 14 17
Total assets at fair value 34,457 36,317
Total liabilities at fair value   13
Accounts payable and accrued expenses: | Foreign currency swap agreement    
Investments:    
Derivative liability fair value   13
U.S. Treasury securities and obligations of U.S. government corporations and agencies    
Investments:    
Fair value 591 395
Corporate securities    
Investments:    
Fair value 10,507 9,601
Municipal securities    
Investments:    
Fair value 4,030 3,985
Short-term time deposits    
Investments:    
Fair value 425 746
Asset-backed securities    
Investments:    
Fair value 1,812 1,638
Residential mortgage-backed securities    
Investments:    
Fair value 1,679 1,407
Commercial mortgage-backed securities    
Investments:    
Fair value 1,239 1,072
Level I    
Assets    
Cash and cash equivalents 14,063 17,193
Investments:    
Total assets at fair value 14,760 17,862
Total liabilities at fair value   0
Level I | Accounts payable and accrued expenses: | Foreign currency swap agreement    
Investments:    
Derivative liability fair value   0
Level II    
Assets    
Cash and cash equivalents 0 0
Investments:    
Total assets at fair value 19,697 18,455
Total liabilities at fair value   13
Level II | Accounts payable and accrued expenses: | Foreign currency swap agreement    
Investments:    
Derivative liability fair value   13
Level III    
Assets    
Cash and cash equivalents 0 0
Investments:    
Total assets at fair value 0 0
Total liabilities at fair value   0
Level III | Accounts payable and accrued expenses: | Foreign currency swap agreement    
Investments:    
Derivative liability fair value   0
Investments:    
Investments:    
Fair value 18,990 17,721
Total investments 19,004 17,738
Investments: | U.S. Treasury securities and obligations of U.S. government corporations and agencies    
Investments:    
Fair value 58 62
Investments: | Corporate securities    
Investments:    
Fair value 10,505 9,564
Investments: | Municipal securities    
Investments:    
Fair value 3,272 3,232
Investments: | Short-term time deposits    
Investments:    
Fair value 425 746
Investments: | Asset-backed securities    
Investments:    
Fair value 1,812 1,638
Investments: | Residential mortgage-backed securities    
Investments:    
Fair value 1,679 1,407
Investments: | Commercial mortgage-backed securities    
Investments:    
Fair value 1,239 1,072
Investments: | Equity Securities    
Investments:    
Equity securities 14 17
Investments: | Level I    
Investments:    
Total investments 71 77
Investments: | Level I | U.S. Treasury securities and obligations of U.S. government corporations and agencies    
Investments:    
Fair value 58 62
Investments: | Level I | Corporate securities    
Investments:    
Fair value 0 0
Investments: | Level I | Municipal securities    
Investments:    
Fair value 0 0
Investments: | Level I | Short-term time deposits    
Investments:    
Fair value 0 0
Investments: | Level I | Asset-backed securities    
Investments:    
Fair value 0 0
Investments: | Level I | Residential mortgage-backed securities    
Investments:    
Fair value 0 0
Investments: | Level I | Commercial mortgage-backed securities    
Investments:    
Fair value 0 0
Investments: | Level I | Equity Securities    
Investments:    
Equity securities 13 15
Investments: | Level II    
Investments:    
Total investments 18,933 17,661
Investments: | Level II | U.S. Treasury securities and obligations of U.S. government corporations and agencies    
Investments:    
Fair value 0 0
Investments: | Level II | Corporate securities    
Investments:    
Fair value 10,505 9,564
Investments: | Level II | Municipal securities    
Investments:    
Fair value 3,272 3,232
Investments: | Level II | Short-term time deposits    
Investments:    
Fair value 425 746
Investments: | Level II | Asset-backed securities    
Investments:    
Fair value 1,812 1,638
Investments: | Level II | Residential mortgage-backed securities    
Investments:    
Fair value 1,679 1,407
Investments: | Level II | Commercial mortgage-backed securities    
Investments:    
Fair value 1,239 1,072
Investments: | Level II | Equity Securities    
Investments:    
Equity securities 1 2
Investments: | Level III    
Investments:    
Total investments 0 0
Investments: | Level III | U.S. Treasury securities and obligations of U.S. government corporations and agencies    
Investments:    
Fair value 0 0
Investments: | Level III | Corporate securities    
Investments:    
Fair value 0 0
Investments: | Level III | Municipal securities    
Investments:    
Fair value 0 0
Investments: | Level III | Short-term time deposits    
Investments:    
Fair value 0 0
Investments: | Level III | Asset-backed securities    
Investments:    
Fair value 0 0
Investments: | Level III | Residential mortgage-backed securities    
Investments:    
Fair value 0 0
Investments: | Level III | Commercial mortgage-backed securities    
Investments:    
Fair value 0 0
Investments: | Level III | Equity Securities    
Investments:    
Equity securities 0 0
Restricted deposits:    
Investments:    
Fair value 1,390 1,386
Restricted deposits: | U.S. Treasury securities and obligations of U.S. government corporations and agencies    
Investments:    
Fair value 533 333
Restricted deposits: | Corporate securities    
Investments:    
Fair value 2 37
Restricted deposits: | Municipal securities    
Investments:    
Fair value 758 753
Restricted deposits: | Cash and cash equivalents    
Investments:    
Fair value 93 259
Restricted deposits: | Certificates of deposit    
Investments:    
Fair value 4 4
Restricted deposits: | Level I    
Investments:    
Fair value 626 592
Restricted deposits: | Level I | U.S. Treasury securities and obligations of U.S. government corporations and agencies    
Investments:    
Fair value 533 333
Restricted deposits: | Level I | Corporate securities    
Investments:    
Fair value 0 0
Restricted deposits: | Level I | Municipal securities    
Investments:    
Fair value 0 0
Restricted deposits: | Level I | Cash and cash equivalents    
Investments:    
Fair value 93 259
Restricted deposits: | Level I | Certificates of deposit    
Investments:    
Fair value 0 0
Restricted deposits: | Level II    
Investments:    
Fair value 764 794
Restricted deposits: | Level II | U.S. Treasury securities and obligations of U.S. government corporations and agencies    
Investments:    
Fair value 0
Restricted deposits: | Level II | Corporate securities    
Investments:    
Fair value 2 37
Restricted deposits: | Level II | Municipal securities    
Investments:    
Fair value 758 753
Restricted deposits: | Level II | Cash and cash equivalents    
Investments:    
Fair value 0 0
Restricted deposits: | Level II | Certificates of deposit    
Investments:    
Fair value 4 4
Restricted deposits: | Level III    
Investments:    
Fair value 0 0
Restricted deposits: | Level III | U.S. Treasury securities and obligations of U.S. government corporations and agencies    
Investments:    
Fair value 0 0
Restricted deposits: | Level III | Corporate securities    
Investments:    
Fair value 0 0
Restricted deposits: | Level III | Municipal securities    
Investments:    
Fair value 0 0
Restricted deposits: | Level III | Cash and cash equivalents    
Investments:    
Fair value 0 0
Restricted deposits: | Level III | Certificates of deposit    
Investments:    
Fair value $ 0 $ 0