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Marketable Securities (Details) - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2020
Dec. 31, 2019
Cash equivalents and marketable securities    
Maximum maturity period of available-for-sale securities (in years) 3 years  
Fair value $ 441,422 $ 363,542
Amortized cost 441,429 363,587
Gross unrealized gains 95 19
Gross unrealized losses (102) (64)
Cash, cash equivalents and marketable securities    
Cash, fair value 44,655 44,122
Cash, amortized cost 44,655 44,122
Fair value 486,077 407,664
Amortized cost 486,084 407,709
Gross unrealized gains 95 19
Gross unrealized losses (102) (64)
Money market funds    
Cash equivalents and marketable securities    
Fair value 50,414 10,065
Amortized cost 50,414 10,065
Gross unrealized gains 0 0
Gross unrealized losses $ 0 $ 0
Weighted rate of return (as a percentage) 0.05% 1.48%
US Government bonds and notes    
Cash equivalents and marketable securities    
Fair value $ 145,236 $ 39,086
Amortized cost 145,242 39,087
Gross unrealized gains 19 0
Gross unrealized losses $ (25) $ (1)
Weighted rate of return (as a percentage) 0.22% 1.49%
Corporate notes, bonds and commercial paper and other    
Cash equivalents and marketable securities    
Fair value $ 245,772 $ 314,391
Amortized cost 245,773 314,435
Gross unrealized gains 76 19
Gross unrealized losses $ (77) $ (63)
Weighted rate of return (as a percentage) 0.59% 1.81%