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Investments, Summary of Investments (Details) - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Mar. 31, 2020
Dec. 31, 2019
Summary of Investments [Abstract]    
Cost $ 2,023,902 $ 1,846,074
Gross unrealized gains 7,007 5,007
Gross unrealized losses (7,463) (1,166)
Estimated fair value 2,023,446 1,849,915
Available-for-sale Securities [Member]    
Summary of Investments [Abstract]    
Cost [1] 2,004,171 1,831,362
Gross unrealized gains 7,007 5,007
Gross unrealized losses (4,840) (296)
Estimated fair value 2,006,338 1,836,073
Available-for-sale Securities [Member] | Securities with Maturity of One Year or Less [Member]    
Summary of Investments [Abstract]    
Cost [1] 1,256,452 1,206,616
Gross unrealized gains 2,781 2,012
Gross unrealized losses (1,922) (118)
Estimated fair value 1,257,311 1,208,510
Available-for-sale Securities [Member] | Securities with Maturity of More than One Year [Member]    
Summary of Investments [Abstract]    
Cost [1] 747,719 624,746
Gross unrealized gains 4,226 2,995
Gross unrealized losses (2,918) (178)
Estimated fair value 749,027 627,563
Corporate Debt Securities [Member] | Securities with Maturity of One Year or Less [Member]    
Summary of Investments [Abstract]    
Cost [1],[2] 717,739 669,665
Gross unrealized gains 545 1,451
Gross unrealized losses (1,890) (43)
Estimated fair value 716,394 671,073
Corporate Debt Securities [Member] | Securities with Maturity of More than One Year [Member]    
Summary of Investments [Abstract]    
Cost [1] 500,378 428,627
Gross unrealized gains 2,318 2,911
Gross unrealized losses (2,903) (43)
Estimated fair value 499,793 431,495
Debt Securities issued by U.S. Government Agencies [Member] | Securities with Maturity of One Year or Less [Member]    
Summary of Investments [Abstract]    
Cost [1] 167,333 188,216
Gross unrealized gains 572 303
Gross unrealized losses (28) (43)
Estimated fair value 167,877 188,476
Debt Securities issued by U.S. Government Agencies [Member] | Securities with Maturity of More than One Year [Member]    
Summary of Investments [Abstract]    
Cost [1] 165,369 140,988
Gross unrealized gains 994 57
Gross unrealized losses (15) (117)
Estimated fair value 166,348 140,928
Debt Securities issued by the U.S. Treasury [Member] | Securities with Maturity of One Year or Less [Member]    
Summary of Investments [Abstract]    
Cost [1],[2] 355,634 327,670
Gross unrealized gains 1,621 232
Gross unrealized losses (2) (27)
Estimated fair value 357,253 327,875
Debt Securities issued by the U.S. Treasury [Member] | Securities with Maturity of More than One Year [Member]    
Summary of Investments [Abstract]    
Cost [1] 62,382 35,822
Gross unrealized gains 810 9
Gross unrealized losses 0 (12)
Estimated fair value 63,192 35,819
Debt Securities issued by States of the U.S. and Political Subdivisions of the States [Member] | Securities with Maturity of One Year or Less [Member]    
Summary of Investments [Abstract]    
Cost [1] 15,746 21,065 [2]
Gross unrealized gains 43 26
Gross unrealized losses (2) (5)
Estimated fair value 15,787 21,086
Debt Securities issued by States of the U.S. and Political Subdivisions of the States [Member] | Securities with Maturity of More than One Year [Member]    
Summary of Investments [Abstract]    
Cost [1] 18,687 19,309
Gross unrealized gains 100 18
Gross unrealized losses 0 (6)
Estimated fair value 18,787 19,321
Other Municipal Debt Securities [Member] | Securities with Maturity of More than One Year [Member]    
Summary of Investments [Abstract]    
Cost [1] 903  
Gross unrealized gains 4  
Gross unrealized losses 0  
Estimated fair value 907  
Equity Securities [Member]    
Summary of Investments [Abstract]    
Cost 19,731 14,712
Gross unrealized gains 0 0
Gross unrealized losses (2,623) (870)
Estimated fair value 17,108 13,842
Equity Securities [Member] | Other Current Assets [Member]    
Summary of Investments [Abstract]    
Cost [3] 4,712 4,712
Gross unrealized gains 0 0
Gross unrealized losses (2,623) (870)
Estimated fair value 2,089 3,842
Equity Securities [Member] | Deposits and Other Assets [Member]    
Summary of Investments [Abstract]    
Cost [4] 15,019 10,000
Gross unrealized gains 0 0
Gross unrealized losses 0 0
Estimated fair value $ 15,019 $ 10,000
[1] We hold our available-for-sale securities at amortized cost.
[2] Includes investments classified as cash equivalents on our condensed consolidated balance sheet.
[3] Our equity securities included in other current assets consisted of our investment in ProQR, which is a public company. We recognize our public company equity securities at fair value.
[4] Our equity securities included in deposits and other assets consisted of our investments in Empirico and Dynacure SAS, which are private companies. We recognize our private company equity securities at cost minus impairments, plus or minus changes resulting from observable price changes in orderly transactions for the identical or similar investment of the same issuer on our condensed consolidated balance sheet.