v3.26.1
Note 2 - Investments and Fair Value Measurements - Schedule of Cash, Cash Equivalents, and Investments (Details) - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Jun. 30, 2026
Dec. 31, 2025
Cash, restricted cash and cash equivalents, amortized cost $ 445,217 $ 128,366
Cash, restricted cash and cash equivalents, unrealized gain 0 0
Cash, restricted cash and cash equivalents, unrealized loss 0 0
Cash, restricted cash and cash equivalents, fair value 445,217 128,366
Investments, amortized cost 305,487 0
Investments, unrealized gain 58 0
Investments, unrealized loss (1,914) 0
Investments, fair value 303,631 0
Total cash, restricted cash, cash equivalents and investments, amortized cost 750,704 128,366
Total cash, restricted cash, cash equivalents and investments, unrealized gain 58 0
Total cash, restricted cash, cash equivalents and investments (1,914) 0
Total cash, restricted cash, cash equivalents and investments 748,848 128,366
Due within 1 year, amortized cost [1] 5,040 0
Due within 1 year, fair value [1] 5,031 0
Due after 1 through 5 years, amortized cost [2] 300,447 0
Due after 1 through 5 years, fair value [2] 298,600 0
Investments, amortized cost 305,487 0
Investments, fair value 303,631 0
Certificates of Deposit [Member]    
Investments, amortized cost [3] 7,880 0
Investments, unrealized gain [3] 0 0
Investments, unrealized loss [3] (34) 0
Investments, fair value [3] 7,846 0
Investments, amortized cost [3] 7,880 0
Investments, fair value [3] 7,846 0
Corporate Bond Securities [Member]    
Investments, amortized cost 57,901 0
Investments, unrealized gain 58 0
Investments, unrealized loss (521) 0
Investments, fair value 57,438 0
Investments, amortized cost 57,901 0
Investments, fair value 57,438 0
US Treasury Securities [Member]    
Investments, amortized cost 239,706 0
Investments, unrealized gain 0 0
Investments, unrealized loss (1,359) 0
Investments, fair value 238,347 0
Investments, amortized cost 239,706 0
Investments, fair value $ 238,347 $ 0
[1] Classified as “Short-term investments” in our condensed consolidated balance sheets.
[2] Classified as “Long-term investments” in our condensed consolidated balance sheets.
[3] Certificates of deposit with original maturities of more than three months.