
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2022 | FY2022 | FY2022 | FY2021 | FY2021 | FY2021 |
|---|---|---|---|---|---|---|---|---|---|---|
| Cash and cash equivalents | $34.6M-50.7% | $70.2M-25.8% | $94.7M-13.8% | $109.8M-2.2% | $112.3M+39.4% | $80.6M-11.4% | $91.0M-27.1% | $124.8M-48.1% | $240.3M-49.1% | $472.0M |
| Available-for-sale securities | $0-100.0% | $5.2M-93.9% | $84.9M-29.4% | $120.2M-12.1% | $136.8M-21.8% | $174.9M+1.1% | $173.0M+8.8% | $159.0M+80.4% | $88.1M | — |
| Accounts receivable, net | $8.0M-19.3% | $9.9M+64.4% | $6.0M-14.6% | $7.0M-7.6% | $7.6M-39.6% | $12.6M-19.9% | $15.7M+32.2% | $11.9M+44.3% | $8.2M+78.8% | $4.6M |
| Inventories, net current | $15.3M+6.1% | $14.4M-13.2% | $16.6M-43.7% | $29.4M-11.1% | $33.1M+15.3% | $28.7M+9.1% | $26.3M+14.0% | $23.1M+30.7% | $17.7M+25.9% | $14.0M |
| Prepaid expenses and other current assets | $7.1M-76.7% | $30.5M-12.2% | $34.8M+181.8% | $12.3M-4.7% | $12.9M-11.6% | $14.6M+10.9% | $13.2M+4.0% | $12.7M+14.5% | $11.1M+245.2% | $3.2M |
| Total current assets | $64.9M-50.1% | $130.2M-45.0% | $236.9M-15.1% | $278.9M-7.9% | $302.8M-2.8% | $311.5M-2.4% | $319.2M-3.7% | $331.4M-9.3% | $365.4M-26.0% | $493.9M |
| Property and equipment, net | $835K-22.2% | $1.1M-26.8% | $1.5M-40.6% | $2.5M-10.0% | $2.7M-7.0% | $2.9M+5.9% | $2.8M+36.5% | $2.0M+23.4% | $1.7M+42.9% | $1.2M |
| Internally-developed software, net | $8.4M-22.0% | $10.7M+10.2% | $9.8M-29.1% | $13.8M-3.6% | $14.3M-0.5% | $14.3M+14.2% | $12.6M+14.2% | $11.0M-6.0% | $11.7M+28.5% | $9.1M |
| Inventories, net non-current | $12.1M-24.9% | $16.1M+58.6% | $10.1M-25.4% | $13.6M+29.4% | $10.5M+24.7% | $8.4M+260.4% | $2.3M | $0 | — | — |
| Goodwill | $13.6M-55.0% | $30.2M+19.3% | $25.3M | $0 | — | — | — | — | — | — |
| Intangible assets, net | $2.3M-11.1% | $2.6M-46.1% | $4.8M+3502.3% | $133K | — | — | — | — | — | — |
| Other non-current assets | $4.7M-16.3% | $5.6M-8.6% | $6.1M+101.8% | $3.0M+9.7% | $2.8M-6.0% | $2.9M+2.5% | $2.9M+26.9% | $2.3M+57.0% | $1.4M+27.6% | $1.1M |
| Total assets | $106.8M-45.6% | $196.4M-33.3% | $294.4M-7.0% | $316.7M-7.1% | $340.7M-8.5% | $372.6M-9.3% | $410.8M-8.6% | $449.6M-7.2% | $484.4M-4.1% | $505.2M |
| Accounts payable | $4.4M-43.1% | $7.8M+114.7% | $3.6M-39.4% | $6.0M-4.0% | $6.3M-22.8% | $8.1M+37.5% | $5.9M-9.6% | $6.5M+8.7% | $6.0M+33.3% | $4.5M |
| Current portion of long-term debt | $1.3M+0.0% | $1.3M-94.0% | $22.0M | — | — | — | — | — | — | — |
| Accrued expenses | $10.5M-70.2% | $35.1M-36.2% | $55.0M+114.3% | $25.6M-5.5% | $27.1M-7.6% | $29.4M+15.7% | $25.4M+4.4% | $24.3M+99.3% | $12.2M+7.5% | $11.3M |
| Deferred revenue, current | $11.2M-5.6% | $11.9M+9.8% | $10.8M+1.4% | $10.7M+2.3% | $10.4M+5.3% | $9.9M+16.1% | $8.5M+17.7% | $7.3M+29.3% | $5.6M+35.6% | $4.1M |
| Other current liabilities | $790K-27.7% | $1.1M-62.3% | $2.9M+50.2% | $1.9M+1.0% | $1.9M+38.8% | $1.4M-56.2% | $3.1M-30.8% | $4.5M+66.2% | $2.7M+147.4% | $1.1M |
| Total current liabilities | $28.2M-50.6% | $57.2M-39.4% | $94.3M+113.1% | $44.3M-3.2% | $45.7M-6.2% | $48.8M+13.5% | $43.0M+0.8% | $42.6M+60.6% | $26.5M+25.9% | $21.1M |
| Deferred revenue, non-current | $15.1M-28.9% | $21.3M-26.0% | $28.7M-8.0% | $31.2M+0.1% | $31.2M+1.3% | $30.8M+15.4% | $26.7M+15.0% | $23.2M+27.1% | $18.3M+12.9% | $16.2M |
| Long-term debt | $3.3M-26.2% | $4.5M | $0 | — | — | — | — | — | — | — |
| Other non-current liabilities | $2.1M-7.7% | $2.3M+1.6% | $2.2M+1158.5% | $176K-22.8% | $228K+61.7% | $141K-20.8% | $178K | $0-100.0% | $559K+0.0% | $559K |
| Total liabilities | $48.8M-42.8% | $85.2M-32.0% | $125.3M+65.1% | $75.9M-2.2% | $77.6M-3.6% | $80.5M+9.8% | $73.4M-3.0% | $75.6M+20.1% | $62.9M+11.4% | $56.5M |
| Common stock, $0.0001 par value, 1,000,000,000 shares authorized, and 163,519,801 and 164,087,277 shares issued and outstanding as of December 31, 2025 and 2024, respectively | $19K+0.0% | $19K+0.0% | $19K+18.8% | $16K+0.0% | $16K+0.0% | $16K+6.7% | $15K+0.0% | $15K+0.0% | $15K+0.0% | $15K |
| Treasury stock | -$1K+0.0% | -$1K | $0 | — | — | — | — | — | — | — |
| Additional paid-in capital | $770.4M+0.1% | $769.9M-0.0% | $770.2M+4.7% | $735.8M+0.8% | $729.9M+0.8% | $724.3M+0.9% | $717.8M+1.7% | $705.9M+1.0% | $699.0M+0.9% | $692.9M |
| Accumulated other comprehensive income | $39K+85.7% | $21K-56.3% | $48K+103.3% | -$1.5M+36.7% | -$2.3M+10.5% | -$2.6M-12.3% | -$2.3M-239.1% | -$676K-1086.0% | -$57K-1525.0% | $4K |
| Accumulated deficit | -$712.5M-8.2% | -$658.7M-9.6% | -$601.1M-21.8% | -$493.6M-6.3% | -$464.5M-8.1% | -$429.7M-13.7% | -$378.1M-14.2% | -$331.2M-19.3% | -$277.6M-13.7% | -$244.1M |
| Total stockholders’ equity | $58.0M-47.8% | $111.2M-34.3% | $169.1M-29.7% | $240.8M-8.5% | $263.1M-9.9% | $292.0M-13.5% | $337.4M-9.8% | $374.0M-11.3% | $421.4M-6.1% | $448.8M |
| Total liabilities and stockholders’ equity | $106.8M-45.6% | $196.4M-33.3% | $294.4M-7.0% | $316.7M-7.1% | $340.7M-8.5% | $372.6M-9.3% | $410.8M-8.6% | $449.6M-7.2% | $484.4M-4.1% | $505.2M |
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.