JOHNSON & JOHNSON | 2013 | FY | 3


At the end of 2013 and 2012, cash, cash equivalents and current marketable securities were comprised of:
(Dollars in Millions)
 
2013
 
2012
Cash
 
$
2,789

 
3,032

Government securities and obligations
 
7,632

 
7,622

Reverse repurchase agreements
 
15,006

 
7,701

Corporate debt securities
 
1,467

 
622

Money market funds
 
1,886

 
1,406

Time deposits
 
426

 
706

Total cash, cash equivalents and current marketable securities
 
$
29,206

 
21,089


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