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Fair Value of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2025
Fair Value of Financial Instruments  
Schedule of financial instruments measured at fair value by level within fair value hierarchy

Significant

Quoted Prices

other

Significant

in active

observable

unobservable

markets

inputs

inputs

    

Total

    

(Level 1)

    

(Level 2)

    

(Level 3)

September 30, 2025

Assets

Cash equivalents:

Money market funds

$

33,410

$

33,410

$

$

Commercial paper

3,977

3,977

Marketable securities:

Corporate debt securities

125,313

125,313

Government-sponsored securities

6,999

6,999

Commercial paper

3,455

3,455

Total assets measured at fair value

$

173,154

$

33,410

$

139,744

$

Liabilities

Contingent consideration

19

19

Total liabilities measured at fair value

$

19

$

$

$

19

December 31, 2024

Cash equivalents:

Money market funds

$

36,153

$

36,153

$

$

Commercial paper

1,993

1,993

Marketable securities:

Corporate debt securities

82,679

82,679

Government-sponsored securities

6,560

6,560

Commercial paper

2,959

2,959

Total assets measured at fair value

$

130,344

$

36,153

$

94,191

$

Liabilities

Contingent consideration

1,182

1,182

Total liabilities measured at fair value

$

1,182

$

$

$

1,182

Schedule of a reconciliation of the beginning and ending balances related to the contingent consideration

The following tables provide a reconciliation of the beginning and ending balances related to the contingent consideration for the Ironshore Acquisition:

Ironshore Acquisition

Contingent Consideration

Balance as of December 31, 2024

$

1,182

Gain on fair value remeasurement of contingent consideration

(1,163)

Balance as of September 30, 2025

$

19