| Summary of Investments |
The following is a summary of our investments (in thousands):
| | | | | | | | | | | | | | | | | | | Amortized | | | Gross Unrealized | | | Estimated | | | June 30, 2026 | | Cost | | | | Gains | | | | Losses | | | | Fair Value | | | Available-for-sale debt securities: | | | | | | | | | | | | | | | | | Corporate debt securities (1) | $ | 638,688 | | | $ | 311 | | | $ | (474 | ) | | $ | 638,525 | | | Debt securities issued by U.S. government agencies | | 26,439 | | | | 26 | | | | (20 | ) | | | 26,445 | | | Debt securities issued by the U.S. Treasury (1) | | 467,565 | | | | 88 | | | | (604 | ) | | | 467,049 | | | Debt securities issued by states of the U.S. and political subdivisions of the states | | 5,025 | | | | - | | | | (3 | ) | | | 5,022 | | | Total debt securities with a maturity of one year or less | | 1,137,717 | | | | 425 | | | | (1,101 | ) | | | 1,137,041 | | | Corporate debt securities | | 349,545 | | | | 87 | | | | (1,692 | ) | | | 347,940 | | | Debt securities issued by U.S. government agencies | | 119,701 | | | | 4 | | | | (878 | ) | | | 118,827 | | | Debt securities issued by the U.S. Treasury | | 181,168 | | | | - | | | | (1,340 | ) | | | 179,828 | | | Debt securities issued by states of the U.S. and political subdivisions of the states | | 731 | | | | - | | | | (1 | ) | | | 730 | | | Total debt securities with a maturity of more than one year | | 651,145 | | | | 91 | | | | (3,911 | ) | | | 647,325 | | | Total available-for-sale debt securities | $ | 1,788,862 | | | $ | 516 | | | $ | (5,012 | ) | | $ | 1,784,366 | | | Equity securities: | | | | | | | | | | | | | | | | | Publicly traded equity securities included in other current assets (2) | $ | 11,897 | | | $ | 45,670 | | | $ | (9,799 | ) | | $ | 47,768 | | | Privately held equity securities included in deposits and other assets (3) | | 10,000 | | | | 9,816 | | | | - | | | | 19,816 | | | Total equity securities | | 21,897 | | | | 55,486 | | | | (9,799 | ) | | | 67,584 | | | Total available-for-sale debt and equity securities | $ | 1,810,759 | | | $ | 56,002 | | | $ | (14,811 | ) | | $ | 1,851,950 | |
| | | | | | | | | | | | | | | | | | | Amortized | | | Gross Unrealized | | | Estimated | | | December 31, 2025 | | Cost | | | | Gains | | | | Losses | | | | Fair Value | | | Available-for-sale debt securities: | | | | | | | | | | | | | | | | | Corporate debt securities (1) | $ | 746,814 | | | $ | 991 | | | $ | (27 | ) | | $ | 747,778 | | | Debt securities issued by U.S. government agencies | | 55,768 | | | | 92 | | | | (5 | ) | | | 55,855 | | | Debt securities issued by the U.S. Treasury (1) | | 769,034 | | | | 843 | | | | (13 | ) | | | 769,864 | | | Debt securities issued by states of the U.S. and political subdivisions of the states | | 5,709 | | | | 11 | | | | - | | | | 5,720 | | | Total debt securities with a maturity of one year or less | | 1,577,325 | | | | 1,937 | | | | (45 | ) | | | 1,579,217 | | | Corporate debt securities | | 435,350 | | | | 1,586 | | | | (106 | ) | | | 436,830 | | | Debt securities issued by U.S. government agencies | | 92,770 | | | | 100 | | | | (94 | ) | | | 92,776 | | | Debt securities issued by the U.S. Treasury | | 242,288 | | | | 595 | | | | (1 | ) | | | 242,882 | | | Other municipal debt securities | | 1,219 | | | | 4 | | | | - | | | | 1,223 | | | Total debt securities with a maturity of more than one year | | 771,627 | | | | 2,285 | | | | (201 | ) | | | 773,711 | | | Total available-for-sale debt securities | $ | 2,348,952 | | | $ | 4,222 | | | $ | (246 | ) | | $ | 2,352,928 | | | Equity securities: | | | | | | | | | | | | | | | | | Publicly traded equity securities included in other current assets (2) | $ | 11,897 | | | $ | 35 | | | $ | (8,920 | ) | | $ | 3,012 | | | Privately held equity securities included in deposits and other assets (3) (2) | | 4,905 | | | | 54,395 | | | | (7,091 | ) | | | 52,209 | | | Total equity securities | | 16,802 | | | | 54,430 | | | | (16,011 | ) | | | 55,221 | | | Total available-for-sale debt and equity securities | $ | 2,365,754 | | | $ | 58,652 | | | $ | (16,257 | ) | | $ | 2,408,149 | |
(1) Includes investments classified as cash equivalents in our condensed consolidated balance sheets.
(2) Our publicly traded equity securities are included in other current assets. We recognize publicly traded equity securities at fair value. In the first quarter of 2026, one of our privately held investees became a publicly traded entity after completing an initial public offering. As a result, we recorded a $23.4 million unrealized gain in our condensed consolidated statements of operations in the first quarter of 2026, which reflected the difference between the carrying value of this investment as of December 31, 2025 and its fair value of $55.8 million as of March 31, 2026. In the second quarter of 2026, we recorded an unrealized loss of $10.2 million, which reflected the difference between the carrying value of this investment as of March 31, 2026 and its fair value of $45.7 million as of June 30, 2026. This investment is subject to a 12-month contractual sale restriction that ends in January 2027. In the six months ended June 30, 2026, we recorded a $0.9 million net unrealized loss in our condensed consolidated statements of operations related to changes in the fair value of our other investments in publicly traded companies.
(3) Our privately held equity securities are included in deposits and other assets. We recognize our privately held 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, which are Level 3 inputs. In the six months ended June 30, 2026, there were no changes to the carrying value of our privately held equity securities.
|
| Temporarily Impaired Investments |
The following is a summary of our investments we consider to be temporarily impaired at June 30, 2026 (in thousands, except for number of investments):
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | Less than 12 Months of Temporary Impairment | | More than 12 Months of Temporary Impairment | | Total Temporary Impairment | | | | Number of Investments | | | | Estimated Fair Value | | | | Unrealized Losses | | | | Estimated Fair Value | | | | Unrealized Losses | | | | Estimated Fair Value | | | | Unrealized Losses | | | Corporate debt securities | | 303 | | | $ | 659,038 | | | $ | (2,154 | ) | | $ | 3,984 | | | $ | (12 | ) | | $ | 663,022 | | | $ | (2,166 | ) | | Debt securities issued by U.S. government agencies | | 62 | | | | 125,253 | | | | (885 | ) | | | 2,866 | | | | (13 | ) | | | 128,119 | | | | (898 | ) | | Debt securities issued by the U.S. Treasury | | 75 | | | | 510,400 | | | | (1,944 | ) | | | - | | | | - | | | | 510,400 | | | | (1,944 | ) | | Debt securities issued by states of the U.S. and political subdivisions of the states | | 8 | | | | 5,002 | | | | (4 | ) | | | - | | | | - | | | | 5,002 | | | | (4 | ) | | Total temporarily impaired debt securities | | 448 | | | $ | 1,299,693 | | | $ | (4,987 | ) | | $ | 6,850 | | | $ | (25 | ) | | $ | 1,306,543 | | | $ | (5,012 | ) |
|