Marketable Securities |
The following is a summary of the Company’s investing portfolio (in thousands):
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AS OF JUNE 30, 2025 |
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UNREALIZED |
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COST |
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GAINS |
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LOSSES |
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FAIR VALUE |
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Marketable securities |
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Maturities within one year: |
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U.S. treasury securities |
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$ |
186,447 |
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$ |
192 |
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$ |
(32 |
) |
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$ |
186,607 |
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Debt securities issued by U.S. government agencies |
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90,048 |
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316 |
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(11 |
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90,353 |
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Commercial paper |
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34,306 |
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— |
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(10 |
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34,296 |
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Corporate debt securities |
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69,981 |
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16 |
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(25 |
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69,972 |
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Total maturities within one year |
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380,782 |
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524 |
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(78 |
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381,228 |
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Maturities between one and two years: |
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U.S. treasury securities |
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$ |
67,914 |
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$ |
156 |
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$ |
(32 |
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$ |
68,038 |
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Debt securities issued by U.S. government agencies |
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26,409 |
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92 |
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— |
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26,501 |
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Corporate debt securities |
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21,207 |
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32 |
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(9 |
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21,230 |
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Total maturities between one and two years |
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115,530 |
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280 |
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(41 |
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115,769 |
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Total marketable securities |
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$ |
496,312 |
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$ |
804 |
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$ |
(119 |
) |
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$ |
496,997 |
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AS OF DECEMBER 31, 2024 |
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UNREALIZED |
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COST |
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GAINS |
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LOSSES |
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FAIR VALUE |
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Marketable securities: |
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Maturities within one year: |
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U.S. treasury securities |
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$ |
158,332 |
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$ |
469 |
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$ |
(34 |
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$ |
158,767 |
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Debt securities issued by U.S. government agencies |
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115,425 |
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169 |
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— |
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115,594 |
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Commercial paper |
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35,508 |
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49 |
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— |
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35,557 |
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Corporate debt securities |
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68,831 |
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146 |
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(31 |
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68,946 |
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Total maturities within one year |
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378,096 |
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833 |
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(65 |
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378,864 |
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Maturities between one and two years: |
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U.S. treasury securities |
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$ |
90,330 |
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$ |
109 |
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$ |
(271 |
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$ |
90,168 |
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Debt securities issued by U.S. government agencies |
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102,707 |
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470 |
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(75 |
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103,102 |
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Corporate debt securities |
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17,232 |
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— |
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(86 |
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17,146 |
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Total maturities between one and two years |
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210,269 |
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579 |
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(432 |
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210,416 |
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Total marketable securities |
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$ |
588,365 |
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$ |
1,412 |
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$ |
(497 |
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$ |
589,280 |
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As of June 30, 2025, the Company had 57 securities with a total fair market value of $182.2 million in an unrealized loss position. The Company does not intend to sell its investments before recovery of the amortized cost basis of its debt securities at maturity and no allowance for credit losses was recorded as of June 30, 2025 and December 31, 2024. Securities are evaluated at the end of each reporting period. The Company did not record any impairment related to its marketable securities during the six months ended June 30, 2025 and 2024.
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