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Note 8 - Fair Value Measurement (Tables)
9 Months Ended
Sep. 30, 2025
Notes Tables  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]

Description

 

September

30, 2025

(unaudited)

   

Level I

(unaudited)

   

Level II

(unaudited)

   

Level III

(unaudited)

 

Assets:

                               

Marketable securities:

                               

Corporate bonds

  $ 131,981     $     $ 131,981     $  

Foreign exchange contracts

  $ 203     $     $ 203     $  

Investments in marketable equity securities

  $ 51     $ 51     $     $  

Description

 

December

31, 2024

   

Level I

   

Level II

   

Level III

 

Assets:

                               

Marketable securities:

                               

Corporate bonds

  $ 143,117     $     $ 143,117     $  

Investments in marketable equity securities

  $ 312     $ 312     $     $