Quarterly report [Sections 13 or 15(d)]

Note 3 - Cash Equivalents and Investments (Tables)

v3.26.1
Note 3 - Cash Equivalents and Investments (Tables)
6 Months Ended
Jun. 30, 2026
Notes Tables  
Investments Classified by Contractual Maturity Date [Table Text Block]

As of June 30, 2026

 

Cost Basis

   

Unrealized Gains

   

Unrealized Losses

   

Aggregate Fair Value

 
                                 

U.S. Treasury Securities

  $ 1,992,333     $ 3,667     $     $ 1,996,000  

Commercial Paper

    47,275,691       113,252             47,388,943  

Money Market Accounts

    3,227,756                   3,227,756  

Total

  $ 52,495,781     $ 116,918     $     $ 52,612,699  

As of December 31, 2025

 

Cost Basis

   

Unrealized Gains

   

Unrealized Losses

   

Aggregate Fair Value

 
                                 

U.S. Treasury Securities

  $ 12,730,543     $ 25,314     $     $ 12,755,857  

Commercial Paper

    41,703,814       132,003             41,835,818  

Money Market Accounts

    6,284,294                   6,284,294  

Total

  $ 60,718,652     $ 157,317     $     $ 60,875,969  
Debt Securities, Held-to-Maturity [Table Text Block]

As of June 30, 2026

 

Amortized Cost

   

Unrealized Gains

   

Unrealized Losses

   

Fair Market Value

 
                                 

U.S. Treasury Securities

  $ 21,775,564     $     $ (19,624 )   $ 21,755,940  

Commercial Paper

    59,765,652       261       (17,158 )     59,748,755  

Total

  $ 81,541,216     $ 261     $ (36,782 )   $ 81,504,695  

As of December 31, 2025

 

Amortized Cost

   

Unrealized Gains

   

Unrealized Losses

   

Fair Market Value

 
                                 

U.S. Treasury Securities

  $ 30,147,733     $ 18,931     $     $ 30,166,664  

Commercial Paper

    48,417,758       3,616       (2,284 )     48,419,090  

Total

  $ 78,565,491     $ 22,547     $ (2,284 )   $ 78,585,754