
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 | FY2019 |
|---|---|---|---|---|---|---|---|
| Cash and cash equivalents | $230.5M+63.6% | $140.9M-1.2% | $142.5M-39.5% | $235.4M-26.6% | $320.7M+183.3% | $113.2M+396.1% | $22.8M |
| Marketable securities | $740.3M-3.8% | $769.9M-17.1% | $928.3M+12.3% | $826.3M-26.7% | $1.13B+27.4% | $884.3M+725.7% | $107.1M |
| Prepaid expenses and other current assets | $10.8M-5.9% | $11.5M-9.4% | $12.7M+20.0% | $10.6M-32.8% | $15.8M+35.6% | $11.6M+825.6% | $1.3M |
| Total current assets | $981.6M+6.4% | $922.3M-14.9% | $1.08B+1.0% | $1.07B-26.7% | $1.46B+45.0% | $1.01B+669.3% | $131.2M |
| Property and equipment, net | $251.4M-16.2% | $300.0M-4.2% | $313.2M+5.8% | $295.9M+78.1% | $166.2M+280.3% | $43.7M+71.4% | $25.5M |
| Right-of-use assets - operating lease | $34.1M-33.8% | $51.5M-7.9% | $55.9M-8.1% | $60.8M+64.7% | $36.9M+215.2% | $11.7M-9.5% | $12.9M |
| Right-of-use assets - finance lease | $19.4M-12.9% | $22.3M-11.4% | $25.1M-10.3% | $28.0M-9.3% | $30.9M | — | — |
| Other assets | $21.6M-18.1% | $26.4M+8.6% | $24.3M+32.4% | $18.4M+0.7% | $18.2M+731.5% | $2.2M-20.9% | $2.8M |
| Total assets | $1.31B-1.1% | $1.32B-12.0% | $1.50B+1.8% | $1.48B-14.0% | $1.72B+60.8% | $1.07B+518.8% | $172.4M |
| Accounts payable | $11.8M+82.8% | $6.5M-50.1% | $13.0M-39.5% | $21.4M+51.0% | $14.2M+163.5% | $5.4M+88.8% | $2.9M |
| Accrued liabilities | $14.5M-16.8% | $17.4M+71.4% | $10.2M+36.2% | $7.5M+23.0% | $6.1M+81.1% | $3.4M+156.8% | $1.3M |
| Accrued compensation and benefits | $27.0M-16.3% | $32.2M+23.7% | $26.0M+99.4% | $13.1M+43.2% | $9.1M+281.4% | $2.4M+115.0% | $1.1M |
| Operating lease liability, short-term | $4.7M-15.8% | $5.5M+10.4% | $5.0M+43.9% | $3.5M+187.7% | $1.2M-0.9% | $1.2M+13.0% | $1.1M |
| Finance lease liability, short-term | $3.6M+10.9% | $3.2M+11.2% | $2.9M+111.7% | $1.4M+7126.3% | $19K | — | — |
| Total current liabilities | $61.5M-5.1% | $64.9M+13.6% | $57.1M+22.0% | $46.8M+52.9% | $30.6M+147.8% | $12.3M+71.0% | $7.2M |
| Operating lease liability, long-term | $34.5M-34.8% | $52.9M-8.2% | $57.6M-7.9% | $62.6M+70.2% | $36.8M+226.9% | $11.2M-9.8% | $12.5M |
| Finance lease liability, long-term | $28.3M-11.2% | $31.9M-9.2% | $35.1M-7.6% | $38.0M-3.5% | $39.4M | — | — |
| Other liabilities | $14.9M-0.1% | $14.9M+24.2% | $12.0M+41.2% | $8.5M+2594.6% | $315K | — | — |
| Total liabilities | $139.2M-15.4% | $164.5M+1.7% | $161.8M+3.8% | $155.9M+45.6% | $107.1M-85.0% | $713.3M+3144.9% | $22.0M |
| Common stock - $0.0001 par value; 1,250,000 shares authorized (1,000,000 Class A and 250,000 Class B); 570,128 Class A and 37,502 Class B shares issued and outstanding as of December 31, 2025, 487,883 Class A and 54,666 Class B shares issued and outstanding as of December 31, 2024 | $61K+13.0% | $54K+10.2% | $49K+11.4% | $44K+2.3% | $43K+19.4% | $36K+50.0% | $24K |
| Additional paid-in-capital | $4.96B+9.9% | $4.52B+7.0% | $4.22B+12.0% | $3.77B+3.8% | $3.63B+56.0% | $2.33B+424.1% | $444.4M |
| Accumulated other comprehensive loss | $644K+50.5% | $428K+114.9% | -$2.9M+83.9% | -$17.9M-324.7% | -$4.2M-13474.2% | -$31K-134.4% | $90K |
| Accumulated deficit | -$3.79B-13.0% | -$3.36B-16.6% | -$2.88B-18.3% | -$2.44B-20.4% | -$2.02B-2.3% | -$1.98B-568.4% | -$295.9M |
| Total stockholders’ equity | $1.17B+1.0% | $1.16B-13.5% | $1.34B+1.6% | $1.32B-18.0% | $1.61B+356.8% | $351.8M+136.6% | $148.7M |
| Total liabilities and stockholders' equity | $1.31B-1.1% | $1.32B-12.0% | $1.50B+1.8% | $1.48B-14.0% | $1.72B+60.8% | $1.07B+518.8% | $172.4M |
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.