Cash, Cash Equivalents, Restricted Cash And Investments (Tables)
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6 Months Ended |
Jun. 30, 2026 |
| Cash and Cash Equivalents [Abstract] |
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| Summary of Unrealized Gains and Losses and Estimated Fair Value of Cash Equivalents and Investments |
The following table summarizes the Company’s unrealized gains and losses and estimated fair value of cash, cash equivalents, restricted cash, and investments in available-for-sale securities recorded in the condensed consolidated balance sheets (in thousands):
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As of June 30, 2026 |
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As of December 31, 2025 |
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Amortized Cost |
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Gross Unrealized Gains |
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Gross Unrealized Losses |
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Estimated Fair Value |
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Amortized Cost |
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Gross Unrealized Gains |
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Gross Unrealized Losses |
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Estimated Fair Value |
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Cash and money market funds |
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$ |
1,243,290 |
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$ |
— |
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$ |
— |
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$ |
1,243,290 |
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$ |
538,195 |
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$ |
— |
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$ |
— |
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$ |
538,195 |
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Certificates of deposit |
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531 |
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— |
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— |
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531 |
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— |
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— |
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— |
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— |
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Corporate notes and bonds |
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— |
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— |
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— |
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— |
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1,999 |
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— |
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— |
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1,999 |
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U.S. government and agency |
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1,732,561 |
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31 |
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(9,518 |
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1,723,074 |
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2,801,589 |
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2,334 |
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(435 |
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2,803,488 |
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Total cash, cash equivalents, restricted cash and investments |
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$ |
2,976,382 |
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$ |
31 |
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$ |
(9,518 |
) |
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$ |
2,966,895 |
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$ |
3,341,783 |
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$ |
2,334 |
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$ |
(435 |
) |
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$ |
3,343,682 |
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| Summary of Debt Securities, Available-for-Sale, Unrealized Loss Position, Fair Value |
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As of June 30, 2026 |
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Less than 12 Months |
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12 Months or Longer |
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Total |
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Fair Value |
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Gross Unrealized Losses |
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Fair Value |
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Gross Unrealized Losses |
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Fair Value |
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Gross Unrealized Loses |
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U.S. government and agency |
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$ |
1,499,232 |
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$ |
(9,464 |
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$ |
41,963 |
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$ |
(54 |
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$ |
1,541,195 |
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$ |
(9,518 |
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Total |
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$ |
1,499,232 |
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$ |
(9,464 |
) |
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$ |
41,963 |
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$ |
(54 |
) |
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$ |
1,541,195 |
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$ |
(9,518 |
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As of December 31, 2025 |
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Less than 12 Months |
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12 Months or Longer |
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Total |
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Fair Value |
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Gross Unrealized Losses |
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Fair Value |
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Gross Unrealized Losses |
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Fair Value |
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Gross Unrealized Loses |
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U.S. government and agency |
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$ |
914,652 |
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$ |
(435 |
) |
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$ |
— |
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$ |
— |
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$ |
914,652 |
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$ |
(435 |
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Total |
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$ |
914,652 |
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$ |
(435 |
) |
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$ |
— |
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$ |
— |
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$ |
914,652 |
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$ |
(435 |
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| Schedule of Contractual Maturity Date of Cash Cash Equivalents, Restricted Cash and Investments in Available-for-Sale Securities |
The estimated fair value of the Company’s cash, cash equivalents, restricted cash, and investments in available-for-sale securities as of June 30, 2026, aggregated by investment category and classified by contractual maturity date, is as follows (in thousands):
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1 Year or Less |
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Greater than 1 Year |
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Total |
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Cash and money market funds |
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$ |
1,236,253 |
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$ |
7,037 |
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$ |
1,243,290 |
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Certificates of deposit |
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531 |
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— |
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531 |
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U.S. government and agency |
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882,709 |
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840,365 |
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1,723,074 |
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Total |
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$ |
2,119,493 |
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$ |
847,402 |
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$ |
2,966,895 |
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