Annual report pursuant to Section 13 and 15(d)

Restricted Cash Equivalents and Investments (Tables)

v3.24.1
Restricted Cash Equivalents and Investments (Tables)
12 Months Ended
Dec. 31, 2023
Restricted Cash Equivalents and Investments [Abstract]  
Schedule of Cash Equivalents and Available-for-Sale Securities

December 31, 2023

Amortized Cost

Gross Unrealized Gains

Gross Unrealized Losses

Fair Value

Restricted Cash Equivalents

Short-Term Investments

Long-Term Investments

Cash equivalents:

Money Market funds

$

1,799,357

$

$

$

1,799,357

$

1,799,357

$

$

Total

$

1,799,357

$

$

$

1,799,357

$

1,799,357

$

$

December 31, 2022

Amortized Cost

Gross Unrealized Gains

Gross Unrealized Losses

Fair Value

Cash Equivalents

Short-Term Investments

Long-Term Investments

Cash equivalents:

Money Market funds

$

978,462

$

$

$

978,462

$

978,462

$

$

Subtotal

978,462

978,462

978,462

Investments:

Corporate Notes/Bonds

2,715,607

(48,841)

2,666,766

2,666,766

Subtotal

2,715,607

(48,841)

2,666,766

2,666,766

Total

$

3,694,069

$

$

(48,841)

$

3,645,228

$

978,462

$

2,666,766

$