Unaudited Quarterly Financial Information |
Unaudited Quarterly Financial Information The following tables summarize the consolidated quarterly results of operations for 2022 and 2021:
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2022 |
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First Quarter |
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Second Quarter |
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Third Quarter |
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Fourth Quarter |
Total revenue |
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$ |
8,710 |
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$ |
9,070 |
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$ |
16,530 |
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$ |
20,885 |
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Gross profit |
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897 |
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|
553 |
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|
225 |
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54 |
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Net loss |
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(13,801) |
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(25,686) |
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(18,615) |
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(28,304) |
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Net loss per share - basic and diluted |
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$ |
(0.10) |
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$ |
(0.18) |
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$ |
(0.13) |
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$ |
(0.20) |
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2021 |
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First Quarter |
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Second Quarter |
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Third Quarter |
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Fourth Quarter |
Total revenue |
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$ |
3,693 |
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$ |
4,678 |
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$ |
8,424 |
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$ |
6,598 |
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Gross profit |
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449 |
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728 |
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3,467 |
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(615) |
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Net income (loss) |
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(13,506) |
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(22,977) |
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20,807 |
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4,788 |
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Net income (loss) per share - basic |
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$ |
(1.29) |
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$ |
(1.93) |
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$ |
0.17 |
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$ |
0.03 |
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Net income (loss) per share - diluted |
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(1.29) |
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(1.93) |
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0.14 |
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0.03 |
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The following tables summarize the impact of the revisions described in Note 21 to the periods ending March 31, 2022 and 2021:
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Three Months Ended March 31, 2022 |
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As Previously Reported |
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Adjustment |
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As Revised |
Revenue: |
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Product revenue |
$ |
5,194 |
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$ |
— |
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$ |
5,194 |
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Subscription revenue |
3,020 |
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(16) |
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3,004 |
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Service revenue |
501 |
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11 |
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|
512 |
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Total revenue |
8,715 |
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(5) |
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8,710 |
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Cost of revenue: |
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Cost of product revenue |
5,576 |
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(370) |
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5,206 |
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Cost of subscription revenue |
1,065 |
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477 |
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1,542 |
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Cost of service revenue |
448 |
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617 |
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1,065 |
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Total cost of revenue |
7,089 |
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724 |
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7,813 |
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Gross profit |
1,626 |
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(729) |
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|
897 |
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Operating expenses: |
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Research and development |
4,286 |
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(111) |
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4,175 |
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Sales and marketing expense |
12,053 |
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(2,381) |
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9,672 |
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General and administrative |
11,093 |
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(276) |
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10,817 |
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Loss from impairment of property and equipment |
96 |
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— |
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96 |
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Total operating expenses |
27,528 |
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(2,768) |
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24,760 |
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Loss from operations |
(25,902) |
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2,039 |
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(23,863) |
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Other income (expense), net: |
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Interest expense |
(142) |
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— |
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(142) |
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Interest income |
209 |
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(141) |
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68 |
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Change in fair value of contingent earn-out liability |
4,226 |
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(1,148) |
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3,078 |
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Change in fair value of contingently issuable common stock liability |
1,472 |
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— |
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1,472 |
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Change in fair value of public warrant liability |
5,586 |
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— |
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5,586 |
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Total other income (expense), net |
11,351 |
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(1,289) |
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10,062 |
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Net loss |
$ |
(14,551) |
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$ |
750 |
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$ |
(13,801) |
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Weighted average common shares outstanding - basic and diluted |
142,878,406 |
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— |
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142,878,406 |
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Net loss per share - basic and diluted |
$ |
(0.10) |
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$ |
— |
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$ |
(0.10) |
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Three Months Ended March 31, 2021 |
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As Previously Reported |
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Adjustment |
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As Revised |
Revenue: |
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Product revenue |
$ |
2,502 |
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$ |
(235) |
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$ |
2,267 |
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Subscription revenue |
1,300 |
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(73) |
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1,227 |
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Service revenue |
197 |
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2 |
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199 |
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Total revenue |
3,999 |
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(306) |
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3,693 |
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Cost of revenue: |
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Cost of product revenue |
2,229 |
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(13) |
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2,216 |
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Cost of subscription revenue |
595 |
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148 |
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743 |
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Cost of service revenue |
127 |
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158 |
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285 |
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Total cost of revenue |
2,951 |
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293 |
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3,244 |
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Gross profit |
1,048 |
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(599) |
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449 |
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Operating expenses: |
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Research and development |
3,612 |
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128 |
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3,740 |
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Sales and marketing expense |
3,684 |
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(1,076) |
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2,608 |
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General and administrative |
2,899 |
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153 |
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3,052 |
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Total operating expenses |
10,195 |
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(795) |
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9,400 |
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Loss from operations |
(9,147) |
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196 |
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(8,951) |
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Other income (expense), net: |
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Interest expense, net |
(2,447) |
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53 |
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(2,394) |
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Change in fair value of derivative liability |
(1,425) |
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— |
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(1,425) |
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Change in fair value of common stock warrant liability |
(736) |
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— |
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(736) |
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Total other income (expense), net |
(4,608) |
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53 |
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(4,555) |
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Net loss |
$ |
(13,755) |
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$ |
249 |
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$ |
(13,506) |
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Weighted average common shares outstanding - basic and diluted |
10,443,323 |
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— |
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10,443,323 |
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Net loss per share - basic and diluted |
$ |
(1.32) |
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$ |
0.03 |
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$ |
(1.29) |
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Three Months Ended March 31, 2022 |
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As Previously Reported |
Adjustment |
As Revised |
Cash flows from operating activities: |
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Net loss |
$ |
(14,551) |
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$ |
750 |
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$ |
(13,801) |
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Adjustments to reconcile net loss to net cash used in operating activities: |
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Depreciation and amortization |
948 |
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138 |
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1,086 |
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Write-off of inventory |
324 |
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— |
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324 |
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Adjustment to property and equipment for sales type leases |
(321) |
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(304) |
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(625) |
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Loss from impairment of property and equipment |
96 |
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— |
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96 |
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Stock-based compensation |
5,190 |
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(1,263) |
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3,927 |
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Non-cash interest expense |
5 |
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— |
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5 |
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Non-cash lease expense |
197 |
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— |
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197 |
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Change in fair value of earn-out liability |
(4,226) |
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1,148 |
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(3,078) |
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Change in fair value of contingently issuable common stock |
(1,472) |
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— |
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(1,472) |
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Change in fair value of public warrant liability |
(5,586) |
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— |
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(5,586) |
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Changes in operating assets and liabilities |
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Accounts receivable |
(2,112) |
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— |
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(2,112) |
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Inventory |
(6,985) |
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5,675 |
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(1,310) |
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Commission assets |
(351) |
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— |
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(351) |
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Contract assets |
108 |
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— |
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108 |
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Other assets |
— |
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141 |
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141 |
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Prepaid expenses and other current assets |
(5,280) |
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(291) |
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(5,571) |
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Accounts payable |
(1,867) |
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1,012 |
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(855) |
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Deferred revenue |
2,778 |
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(201) |
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2,577 |
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Deferred rent |
(468) |
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468 |
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— |
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Accrued expenses and other current liabilities |
(2,065) |
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(368) |
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(2,433) |
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Operating lease liability |
(229) |
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(468) |
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(697) |
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Net cash used in operating activities |
(35,867) |
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6,437 |
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(29,430) |
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Cash flows from investing activities: |
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Development of internal-use software |
(646) |
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(82) |
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(728) |
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Purchases of property and equipment |
(323) |
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(6,366) |
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(6,689) |
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Net cash used in investing activities |
(969) |
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(6,448) |
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(7,417) |
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Cash flows from financing activities: |
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Proceeds from exercise of stock options |
216 |
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11 |
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227 |
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Net cash provided by financing activities |
216 |
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11 |
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227 |
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Net increase (decrease) in cash, cash equivalents and restricted cash |
(36,620) |
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— |
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(36,620) |
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Cash, cash equivalents and restricted cash |
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Cash, cash equivalents and restricted cash at beginning of period |
308,167 |
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— |
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308,167 |
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Cash, cash equivalents and restricted cash at end of period |
$ |
271,547 |
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$ |
— |
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$ |
271,547 |
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Supplemental disclosure of non-cash activities |
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Transfer of inventory to property and equipment |
$ |
4,620 |
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$ |
(4,620) |
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$ |
— |
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Capital expenditures incurred but not yet paid |
1,693 |
|
698 |
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2,391 |
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Three Months Ended March 31, 2021 |
|
As Previously Reported |
Adjustment |
As Revised |
Cash flows from operating activities: |
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Net loss |
$ |
(13,755) |
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$ |
249 |
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$ |
(13,506) |
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Adjustments to reconcile net loss to net cash used in operating activities: |
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Depreciation and amortization |
452 |
|
— |
|
452 |
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Stock-based compensation |
1,082 |
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(773) |
|
309 |
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Non-cash interest expense |
2,344 |
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— |
|
2,344 |
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Provision recorded for allowance for doubtful accounts |
(63) |
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— |
|
(63) |
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Change in fair value of derivative liability |
1,425 |
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— |
|
1,425 |
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Change in fair value of common stock warrant liability |
736 |
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— |
|
736 |
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Changes in operating assets and liabilities |
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Accounts receivable |
(874) |
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— |
|
(874) |
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Inventory |
(433) |
|
(47) |
|
(480) |
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Commission assets |
(391) |
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— |
|
(391) |
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Contract assets |
(119) |
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— |
|
(119) |
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Other assets |
— |
|
7 |
|
7 |
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Prepaid expenses and other current assets |
(4,104) |
|
377 |
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(3,727) |
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Accounts payable |
1,194 |
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(235) |
|
959 |
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Deferred revenue |
(621) |
|
(185) |
|
(806) |
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Deferred rent |
(11) |
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— |
|
(11) |
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Accrued expenses and other current liabilities |
1,100 |
|
206 |
|
1,306 |
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Net cash used in operating activities |
(12,038) |
|
(401) |
|
(12,439) |
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Cash flows from investing activities: |
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Purchases of property and equipment |
(2,522) |
|
401 |
|
(2,121) |
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Net cash used in investing activities |
(2,522) |
|
401 |
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(2,121) |
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Cash flows from financing activities: |
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Proceeds from exercise of stock options |
455 |
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— |
|
455 |
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Repayment of financing obligations |
(359) |
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— |
|
(359) |
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Proceeds from long-term debt, net of issuance costs |
31,882 |
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— |
|
31,882 |
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Net cash provided by financing activities |
31,978 |
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— |
|
31,978 |
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Net increase (decrease) in cash, cash equivalents and restricted cash |
17,418 |
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— |
|
17,418 |
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Cash, cash equivalents and restricted cash |
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Cash, cash equivalents and restricted cash at beginning of period |
4,704 |
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— |
|
4,704 |
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Cash, cash equivalents and restricted cash at end of period |
$ |
22,122 |
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$ |
— |
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$ |
22,122 |
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Supplemental disclosure of non-cash activities |
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Capital expenditures incurred but not yet paid |
— |
|
1,335 |
|
1,335 |
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Issuance of equity classified warrants |
1 |
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— |
|
1 |
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