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Assets (Tables)
6 Months Ended
Jun. 30, 2021
Assets  
Schedule of portion of Veeco's assets (excluding cash balances) that are measured at fair value on a recurring basis

    

Level 1

    

Level 2

    

Level 3

    

Total

(in thousands)

June 30, 2021

Cash equivalents

Certificate of deposits and time deposits

$

60,479

$

$

$

60,479

Corporate debt

Commercial paper

Money market cash

320

320

Total

$

60,799

$

$

$

60,799

Short-term investments

U.S. treasuries

$

124,129

$

$

$

124,129

Government agency securities

7,255

7,255

Corporate debt

65,666

65,666

Commercial paper

17,585

17,585

Total

$

124,129

$

90,506

$

$

214,635

December 31, 2020

Cash equivalents

Certificate of deposits and time deposits

$

59,168

$

$

$

59,168

Commercial paper

2,000

2,000

U.S. treasuries

24,997

24,997

Total

$

84,165

$

2,000

$

$

86,165

Short-term investments

U.S. treasuries

$

149,219

$

$

$

149,219

Corporate debt

32,554

32,554

Commercial paper

7,998

7,998

Total

$

149,219

$

40,552

$

$

189,771

Schedule of amortized cost and fair value of available-for-sale securities

    

    

Gross

    

Gross

    

Amortized

Unrealized

Unrealized

Estimated

Cost

Gains

Losses

Fair Value

(in thousands)

June 30, 2021

U.S. treasuries

$

124,140

$

4

$

(15)

$

124,129

Government agency securities

7,258

(3)

7,255

Corporate debt

65,676

26

(36)

65,666

Commercial paper

17,585

17,585

Total

$

214,659

$

30

$

(54)

$

214,635

December 31, 2020

U.S. treasuries

$

149,206

$

14

$

(1)

$

149,219

Corporate debt

 

32,588

(34)

 

32,554

Commercial paper

7,997

1

7,998

Total

$

189,791

$

15

$

(35)

$

189,771

Schedule of fair value and unrealized losses of available-for-sale securities in a loss position

June 30, 2021

December 31, 2020

    

    

Gross

    

    

Gross

Estimated

Unrealized

Estimated

Unrealized

Fair Value

Losses

Fair Value

Losses

(in thousands)

U.S. treasuries

$

61,520

$

(15)

$

19,991

$

(1)

Government agency securities

7,255

(3)

Corporate debt

 

41,569

 

(36)

 

32,554

 

(34)

Total

$

110,344

$

(54)

$

52,545

$

(35)

Schedule of contractual maturities of securities classified as available-for-sale

June 30, 2021

Amortized

Estimated

Cost

Fair Value

(in thousands)

Due in one year or less

$

152,949

$

152,932

Due after one year through two years

55,693

 

55,679

Due after two years through three years

6,017

6,024

Total

$

214,659

$

214,635

Schedule of inventories

June 30,

December 31,

    

2021

    

2020

(in thousands)

Materials

$

91,389

$

82,679

Work-in-process

 

59,769

 

53,979

Finished goods

 

12,883

 

9,248

Total

$

164,041

$

145,906

Schedule of property, plant, and equipment

June 30,

December 31,

    

2021

    

2020

(in thousands)

Land

$

5,061

$

5,061

Building and improvements

 

63,117

 

62,865

Machinery and equipment (1)

 

144,585

 

140,493

Leasehold improvements

 

26,036

 

6,671

Gross property, plant, and equipment

 

238,799

 

215,090

Less: accumulated depreciation and amortization

 

156,591

 

149,819

Net property, plant, and equipment

$

82,208

$

65,271

(1)Machinery and equipment also includes software, furniture and fixtures

Schedule of intangible assets excluding goodwill

June 30, 2021

December 31, 2020

Accumulated

Accumulated

    

Gross

    

Amortization

    

    

Gross

    

Amortization

    

Carrying

and

Net

Carrying

and

Net

Amount

Impairment

Amount

Amount

Impairment

Amount

(in thousands)

Technology

$

327,908

$

306,624

$

21,284

$

327,908

$

302,358

$

25,550

Customer relationships

146,465

131,552

14,913

146,465

130,131

16,334

Trademarks and tradenames

30,910

27,254

3,656

30,910

26,614

4,296

Other

 

3,686

 

3,684

 

2

 

3,686

 

3,681

 

5

Total

$

508,969

$

469,114

$

39,855

$

508,969

$

462,784

$

46,185