As of December 31, | |||||||
2013 | 2012 | ||||||
(In thousands) | |||||||
Cash | $ | 72,232 | $ | 63,578 | |||
Money market funds | 246,492 | 38,054 | |||||
Time deposits | 3,978 | 3,614 | |||||
Debt securities issued by the U.S. Treasury and other U.S. government corporations and agencies | 1,409,062 | 1,452,358 | |||||
Equity securities of a public company | — | 3,341 | |||||
Total | $ | 1,731,764 | $ | 1,560,945 | |||
Included in Cash and cash equivalents | $ | 339,223 | $ | 130,736 | |||
Included in Marketable securities | $ | 1,384,062 | $ | 1,425,700 | |||
Included in Other long-term assets (Restricted cash) | $ | 8,479 | $ | 4,509 |