Balance Sheet Details (Tables)
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3 Months Ended |
Mar. 31, 2025 |
Balance Sheet Related Disclosures [Abstract] |
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Summary of Cash and Cash Equivalents |
Cash, cash equivalents and restricted cash consist of the following:
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March 31, 2025 |
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December 31, 2024 |
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(in thousands) |
Cash and cash equivalents |
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$ |
102,773 |
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$ |
118,575 |
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Short-term restricted cash |
|
1,267 |
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|
1,003 |
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Long-term restricted cash |
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25 |
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|
25 |
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Total cash, cash equivalents and restricted cash |
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$ |
104,065 |
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$ |
119,603 |
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Summary of Restriction Cash |
Cash, cash equivalents and restricted cash consist of the following:
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March 31, 2025 |
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December 31, 2024 |
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(in thousands) |
Cash and cash equivalents |
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$ |
102,773 |
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$ |
118,575 |
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Short-term restricted cash |
|
1,267 |
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|
1,003 |
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Long-term restricted cash |
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25 |
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|
25 |
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Total cash, cash equivalents and restricted cash |
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$ |
104,065 |
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$ |
119,603 |
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Summary of Inventory |
Inventory consists of the following:
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March 31, 2025 |
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December 31, 2024 |
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(in thousands) |
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Work-in-process |
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$ |
53,605 |
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$ |
53,979 |
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Finished goods |
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32,400 |
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|
36,364 |
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$ |
86,005 |
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$ |
90,343 |
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Summary of Property and Equipment, Net |
Property and equipment, net consists of the following:
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Useful Life (in Years) |
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March 31, 2025 |
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December 31, 2024 |
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(in thousands) |
Furniture and fixtures |
5 |
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$ |
3,927 |
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$ |
3,937 |
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Machinery and equipment |
3-5 |
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83,244 |
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|
80,804 |
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Masks and production equipment |
5 |
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63,898 |
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|
63,803 |
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Software |
3 |
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11,310 |
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|
11,178 |
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Leasehold improvements |
1-5 |
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35,012 |
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34,981 |
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Construction in progress |
N/A |
|
384 |
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|
898 |
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197,775 |
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|
195,601 |
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Less: accumulated depreciation and amortization |
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(142,229) |
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(136,301) |
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$ |
55,546 |
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$ |
59,300 |
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Summary of Accrued Price Protection Liability |
The increase in price protection liability was driven by new rebate activity, offset by payments of rebates, as reflected in the table below:
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Three Months Ended March 31, |
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2025 |
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2024 |
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(in thousands) |
Beginning balance |
$ |
43,401 |
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$ |
71,684 |
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Charged as a reduction of revenue |
7,753 |
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|
12,606 |
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Reversal of unclaimed rebates |
— |
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|
(474) |
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Payments |
(3,471) |
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(18,583) |
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Ending balance |
$ |
47,683 |
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$ |
65,233 |
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Summary of Accrued Expenses and Other Current Liabilities |
Accrued expenses and other current liabilities consist of the following:
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March 31, 2025 |
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December 31, 2024 |
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(in thousands) |
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Accrued technology license payments |
$ |
3,627 |
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$ |
4,336 |
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Accrued professional fees |
9,542 |
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|
7,103 |
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Accrued engineering and production costs |
3,509 |
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|
3,080 |
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Accrued restructuring |
13,335 |
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|
11,022 |
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Accrued royalty |
375 |
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|
438 |
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Short-term lease liabilities |
9,888 |
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9,413 |
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Accrued customer credits |
2,876 |
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|
1,011 |
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Income tax liability |
891 |
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|
745 |
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Customer contract liabilities |
64 |
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|
114 |
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Accrued obligations to customers for price adjustments |
56,185 |
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|
42,954 |
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Accrued obligations to customers for stock rotation rights |
246 |
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|
252 |
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Contingent consideration - current portion |
2,600 |
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|
2,600 |
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Other |
3,856 |
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|
4,340 |
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$ |
106,994 |
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$ |
87,408 |
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Summary of Accumulated Other Comprehensive Income (Loss) by Component |
The following table summarizes the change in balances of accumulated other comprehensive income (loss) by component:
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Cumulative Translation Adjustments |
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Pension and Other Defined Benefit Plan Obligation |
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Total |
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(in thousands) |
Balance at December 31, 2024 |
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$ |
(8,089) |
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$ |
1,266 |
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$ |
(6,823) |
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Other comprehensive loss before reclassifications, net of tax |
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|
857 |
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— |
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|
857 |
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Balance at March 31, 2025 |
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$ |
(7,232) |
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$ |
1,266 |
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$ |
(5,966) |
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