
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 | FY2019 | FY2018 |
|---|---|---|---|---|---|---|---|---|
| Cash and cash equivalents | $12.7M-66.7% | $38.1M+121.6% | $17.2M-91.1% | $193.7M-5.8% | $205.5M+7.1% | $191.9M+1.8% | $188.4M-23.9% | $247.6M |
| Short-term investments | $124.4M+98.8% | $62.6M-60.2% | $157.3M | $0-100.0% | $99.7M-19.8% | $124.3M+15.4% | $107.7M-42.9% | $188.6M |
| Accounts receivable | $2.0M-35.1% | $3.1M-9.6% | $3.4M-90.5% | $36.0M+4455.2% | $790K-1.0% | $798K+6038.5% | $13K-86.6% | $97K |
| Prepaid expenses and other current assets | $4.9M+35.7% | $3.6M-28.3% | $5.0M-33.1% | $7.5M+74.2% | $4.3M-39.6% | $7.1M-1.1% | $7.2M-22.4% | $9.3M |
| Total current assets | $143.9M+34.1% | $107.3M-41.3% | $182.9M-22.8% | $237.1M-23.6% | $310.3M-4.2% | $324.0M+6.8% | $303.3M-31.9% | $445.5M |
| Property and equipment, net | $1.3M-47.1% | $2.5M-37.7% | $4.0M-22.0% | $5.1M-14.9% | $6.0M-14.2% | $7.0M-5.7% | $7.4M+6.3% | $6.9M |
| Intangible assets, net | $438K-24.9% | $583K-20.0% | $729K-16.7% | $875K-14.3% | $1.0M-12.5% | $1.2M-11.1% | $1.3M-10.0% | $1.5M |
| Goodwill | $949K+0.0% | $949K+0.0% | $949K+0.0% | $949K+0.0% | $949K+0.0% | $949K+0.0% | $949K+0.0% | $949K |
| Restricted cash | $1.5M+48.7% | $1.0M+12.0% | $917K+0.0% | $917K+0.0% | $917K+0.0% | $917K+0.0% | $917K+0.0% | $917K |
| Operating lease right-of-use asset | $3.4M-58.3% | $8.1M-33.4% | $12.2M-23.4% | $15.9M-17.6% | $19.4M-13.9% | $22.5M-11.4% | $25.4M | — |
| Other assets | $31K-53.0% | $66K-20.5% | $83K+207.4% | $27K-97.0% | $901K-58.5% | $2.2M+7.8% | $2.0M+46.5% | $1.4M |
| Total assets | $151.6M+25.7% | $120.5M-40.3% | $201.8M-22.7% | $260.9M-23.1% | $339.4M-5.4% | $358.7M+5.1% | $341.3M-25.3% | $457.1M |
| Accounts payable | $1.3M+19.6% | $1.1M-25.4% | $1.5M-48.1% | $2.8M-0.3% | $2.8M-5.9% | $3.0M-27.9% | $4.2M-19.0% | $5.1M |
| Accrued liabilities | $14.2M+15.1% | $12.3M-29.9% | $17.6M-28.0% | $24.4M-28.6% | $34.2M+48.5% | $23.1M-23.3% | $30.1M+12.4% | $26.7M |
| Operating lease liabilities - short term | $4.2M-17.6% | $5.1M+12.1% | $4.6M+12.4% | $4.1M | — | — | — | — |
| Deferred revenue, current portion | $26.9M-60.0% | $67.2M-49.2% | $132.3M+9.1% | $121.3M+197.1% | $40.8M-45.5% | $74.9M+45.7% | $51.4M-2.5% | $52.7M |
| Total current liabilities | $46.6M-45.7% | $85.8M-45.0% | $155.9M+2.2% | $152.6M+96.0% | $77.9M-22.8% | $100.9M+17.9% | $85.6M-12.6% | $97.9M |
| Deferred revenue, net of current portion | $1.6M-94.1% | $26.9M-66.4% | $80.0M-55.5% | $180.1M-26.2% | $243.9M+31.0% | $186.3M+4.1% | $178.9M-20.6% | $225.3M |
| Operating lease liabilities - long term | $0-100.0% | $4.2M-54.8% | $9.4M-32.8% | $14.0M-22.6% | $18.1M-16.7% | $21.7M-12.9% | $24.9M | — |
| Other long-term liabilities | $4.4M+5.8% | $4.1M+5.7% | $3.9M | $0 | — | — | — | $3.0M |
| Total liabilities | $52.6M-56.6% | $121.0M-51.5% | $249.2M-28.1% | $346.6M+2.0% | $339.9M+10.0% | $308.9M+6.4% | $290.2M-11.1% | $326.2M |
| Convertible preferred stock, $0.00001 par value; 10,000,000 shares authorized and no shares issued and outstanding | $0 | $0 | $0 | $0 | $0 | $0 | — | — |
| Common stock, $0.00001 par value; 300,000,000 and 150,000,000 shares authorized, and 170,186,365 and 80,099,889 shares issued and outstanding at December 31, 2025 and 2024, respectively | $2K+100.0% | $1K+0.0% | $1K+0.0% | $1K+0.0% | $1K+0.0% | $1K+0.0% | $1K+0.0% | $1K |
| Additional paid-in capital | $810.8M+17.3% | $691.1M+2.2% | $675.9M+6.1% | $637.1M+2.2% | $623.3M+24.7% | $500.0M+6.8% | $468.3M+5.0% | $446.0M |
| Accumulated other comprehensive income | $111K+311.1% | $27K-71.6% | $95K+850.0% | $10K+104.1% | -$242K-414.9% | -$47K-182.5% | $57K+161.3% | -$93K |
| Accumulated deficit | -$711.9M-2.9% | -$691.6M+4.4% | -$723.4M-0.1% | -$722.9M-15.9% | -$623.6M-38.5% | -$450.1M-7.9% | -$417.2M-32.5% | -$315.0M |
| Total stockholders' equity (deficit) | $99.0M+21812.3% | -$456K+99.0% | -$47.4M+44.7% | -$85.8M-18582.1% | -$459K-100.9% | $49.8M-2.6% | $51.1M-60.9% | $130.9M |
| Total liabilities and stockholders' equity (deficit) | $151.6M+25.7% | $120.5M-40.3% | $201.8M-22.7% | $260.9M-23.1% | $339.4M-5.4% | $358.7M+5.1% | $341.3M-25.3% | $457.1M |
Source: SEC EDGAR XBRL. % change vs prior period shown where available.
Source: SEC EDGAR 10-K and 10-Q filings. Up to 10 years annual / 16 quarters shown.