Quarterly report pursuant to Section 13 or 15(d)

Cash, Cash Equivalents and Investments (Tables)

v3.24.2
Cash, Cash Equivalents and Investments (Tables)
6 Months Ended
Jun. 30, 2024
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Cash, Cash Equivalents and Restricted Cash
Cash, cash equivalents and restricted cash were as follows (in millions):
As of
June 30,
2024
December 31,
2023
Cash and cash equivalents $ 402  $ 501 
Restricted cash, current (a)
Restricted cash, long-term (b)
16  16 
Total cash, cash equivalents and restricted cash
$ 419  $ 518 
(a) Included in other current assets on the condensed consolidated balance sheets
(b) Included in other assets on the condensed consolidated balance sheets
Schedule of Cash, Cash Equivalents and Restricted Cash
Cash, cash equivalents and restricted cash were as follows (in millions):
As of
June 30,
2024
December 31,
2023
Cash and cash equivalents $ 402  $ 501 
Restricted cash, current (a)
Restricted cash, long-term (b)
16  16 
Total cash, cash equivalents and restricted cash
$ 419  $ 518 
(a) Included in other current assets on the condensed consolidated balance sheets
(b) Included in other assets on the condensed consolidated balance sheets
Schedule of Fair Value, Assets Measured on Recurring Basis
The components of cash, cash equivalents, short-term investments and long-term investments measured at fair value on a recurring basis were as follows (in millions):
As of
Fair value level June 30,
2024
December 31,
2023
Cash and cash equivalents:
Bank deposits Level 1 $ 21  $ — 
Money market funds
Level 1 376  220 
U.S. Treasury securities
Level 2 251 
Commercial paper
Level 2 —  30 
Total cash and cash equivalents
$ 402  $ 501 
Short-term and long-term investments:
U.S. Treasury securities
Level 2 $ 558  $ 769 
Commercial paper
Level 2
34  54 
Corporate bonds and notes
Level 2 26  24 
Total short-term and long-term investments
$ 618  $ 847 
Schedule of Debt Securities, Available-for-Sale
The amortized cost, unrealized gains, and fair value of available-for-sale debt securities were as follows (in millions):
As of June 30, 2024
Amortized cost
Unrealized gains
Fair value
U.S. Treasury securities $ 559  $ (1) $ 558 
Commercial paper
34  —  34 
Corporate bonds and notes
26  —  26 
  Total short-term investments
$ 619  $ (1) $ 618 
As of December 31, 2023
Amortized cost
Unrealized gains
Fair value
U.S. Treasury securities $ 768  $ $ 769 
Commercial paper
54  —  54 
Corporate bonds and notes
24  —  24 
  Total short-term and long-term investments
$ 846  $ $ 847