Schedule of Cash Equivalents and Available-for-Sale Securities |
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March 31, 2021
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Amortized Cost
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Gross Unrealized Gains
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Gross Unrealized Losses
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Fair Value
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Cash Equivalents
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Short-Term Investments
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Long-Term Investments
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Cash equivalents:
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Money Market funds
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$
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11,530,000
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$
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-
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$
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-
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$
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11,530,000
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$
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11,530,000
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$
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-
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$
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-
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Subtotal
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11,530,000
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-
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-
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11,530,000
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11,530,000
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-
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-
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Investments:
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Corporate Notes/Bonds
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6,257,000
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-
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(3,000)
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6,254,000
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-
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693,000
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5,561,000
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Convertible Debt
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605,000
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-
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-
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605,000
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-
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-
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605,000
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Subtotal
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6,862,000
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-
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(3,000)
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6,859,000
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-
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693,000
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6,166,000
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Total
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$
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18,392,000
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$
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-
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$
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(3,000)
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$
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18,389,000
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$
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11,530,000
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$
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693,000
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$
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6,166,000
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December 31, 2020
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Amortized Cost
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Gross Unrealized Gains
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Gross Unrealized Losses
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Fair Value
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Cash Equivalents
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Short-Term Investments
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Long-Term Investments
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Cash equivalents:
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Money Market funds
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$
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9,424,000
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$
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-
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$
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-
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$
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9,424,000
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$
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9,424,000
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$
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-
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$
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-
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Subtotal
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9,424,000
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-
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-
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9,424,000
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9,424,000
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-
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-
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Investments:
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Commercial Paper
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700,000
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-
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-
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700,000
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-
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700,000
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-
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Corporate Notes/Bonds
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7,658,000
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7,000
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(1,000)
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7,664,000
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-
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2,059,000
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5,605,000
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Convertible Debt
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605,000
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-
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-
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605,000
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-
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-
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605,000
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Subtotal
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8,963,000
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7,000
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(1,000)
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8,969,000
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-
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2,759,000
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6,210,000
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Total
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$
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18,387,000
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$
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7,000
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$
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(1,000)
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$
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18,393,000
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$
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9,424,000
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$
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2,759,000
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$
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6,210,000
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