
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 | FY2019 |
|---|---|---|---|---|---|---|---|
| Cash and cash equivalents | $323.5M+81.9% | $177.9M+74.6% | $101.9M-1.4% | $103.3M-51.5% | $212.8M+32.7% | $160.4M+341.7% | $36.3M |
| Marketable securities | $44.0M-83.0% | $259.4M+45.7% | $178.1M-16.0% | $212.1M+428.1% | $40.2M-77.8% | $180.7M+49.1% | $121.1M |
| Prepaid expenses and other current assets | $17.6M+26.6% | $13.9M+68.2% | $8.3M-34.8% | $12.7M+2.7% | $12.3M+265.4% | $3.4M+24.1% | $2.7M |
| Total current assets | $385.1M-14.6% | $451.2M+56.5% | $288.2M-12.1% | $328.0M+23.6% | $265.3M-23.0% | $344.4M+86.0% | $185.2M |
| Property and equipment, net | $1.7M-38.2% | $2.8M-40.0% | $4.6M-37.7% | $7.4M-22.8% | $9.6M+17.8% | $8.1M+94.7% | $4.2M |
| Operating lease right-of-use asset | $10.4M-33.6% | $15.6M+37.0% | $11.4M-38.4% | $18.5M-27.1% | $25.4M-21.1% | $32.3M+625.5% | $4.4M |
| Restricted cash | $3.8M+58.2% | $2.4M+0.0% | $2.4M-3.6% | $2.5M+0.0% | $2.5M+0.0% | $2.5M+0.0% | $2.5M |
| Other long-term assets | $3.2M+9.7% | $2.9M-33.3% | $4.4M+157.0% | $1.7M+6.0% | $1.6M+58.9% | $1.0M+941.8% | $98K |
| Total assets | $404.3M-14.9% | $474.9M+52.7% | $311.0M-13.2% | $358.2M+17.6% | $304.4M-21.6% | $388.3M+97.7% | $196.4M |
| Accounts payable | $10.3M+2.1% | $10.1M+191.3% | $3.5M-13.2% | $4.0M-9.9% | $4.4M+30.1% | $3.4M+201.7% | $1.1M |
| Accrued expenses | $39.6M+27.4% | $31.1M+51.9% | $20.4M-15.9% | $24.3M+39.3% | $17.5M+16.7% | $15.0M+55.7% | $9.6M |
| Operating lease liability | $5.5M-3.9% | $5.8M-22.1% | $7.4M-5.7% | $7.9M+6.0% | $7.4M+38.0% | $5.4M+372.8% | $1.1M |
| Total current liabilities | $55.4M+18.1% | $46.9M+43.4% | $32.7M-10.0% | $36.4M-43.4% | $64.3M+51.1% | $42.6M+29.7% | $32.8M |
| Long-term portion of operating lease liability | $3.7M-60.3% | $9.2M+109.6% | $4.4M-62.8% | $11.8M-40.0% | $19.7M-27.5% | $27.1M+550.0% | $4.2M |
| Long-term debt | $99.7M+98.8% | $50.1M+3.0% | $48.7M-2.1% | $49.7M+2.7% | $48.4M+96.2% | $24.7M | — |
| Total liabilities | $158.8M+49.4% | $106.3M+23.9% | $85.8M-12.4% | $97.9M-26.0% | $132.4M+3.8% | $127.5M+52.8% | $83.5M |
| Common stock, $0.001 par value; 300,000,000 shares authorized; 108,461,354 and 93,823,678 shares issued and outstanding as of December 31, 2025 and December 31, 2024, respectively | $108K+14.9% | $94K+23.7% | $76K+46.2% | $52K+48.6% | $35K+2.9% | $34K+13.3% | $30K |
| Additional paid-in capital | $1.55B+19.7% | $1.29B+43.2% | $901.5M+16.8% | $771.7M+40.8% | $548.2M+8.5% | $505.1M+86.6% | $270.7M |
| Accumulated other comprehensive income | $94K-41.3% | $160K+73.9% | $92K+110.4% | -$884K-2425.7% | -$35K-1650.0% | -$2K-105.4% | $37K |
| Accumulated deficit | -$1.30B-41.0% | -$922.7M-36.4% | -$676.4M-32.5% | -$510.6M-35.8% | -$376.1M-53.9% | -$244.3M-54.8% | -$157.8M |
| Total stockholders' equity | $245.5M-33.4% | $368.6M+63.7% | $225.2M-13.5% | $260.2M+51.2% | $172.1M-34.0% | $260.8M+131.0% | $112.9M |
| Total liabilities and stockholders' equity | $404.3M-14.9% | $474.9M+52.7% | $311.0M-13.2% | $358.2M+17.6% | $304.4M-21.6% | $388.3M+97.7% | $196.4M |
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.