Balance Sheet Details (Tables)
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12 Months Ended |
Dec. 31, 2023 |
Balance Sheet Related Disclosures [Abstract] |
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Schedule of Cash and Cash Equivalents |
Cash, cash equivalents and restricted cash consist of the following:
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December 31, 2023 |
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December 31, 2022 |
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(in thousands) |
Cash and cash equivalents |
$ |
187,288 |
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$ |
187,353 |
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Short-term restricted cash |
1,051 |
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|
982 |
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Long-term restricted cash |
17 |
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22 |
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Total cash, cash equivalents and restricted cash |
$ |
188,356 |
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$ |
188,357 |
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Schedule of Restricted Cash |
Cash, cash equivalents and restricted cash consist of the following:
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December 31, 2023 |
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December 31, 2022 |
|
(in thousands) |
Cash and cash equivalents |
$ |
187,288 |
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|
$ |
187,353 |
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Short-term restricted cash |
1,051 |
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|
982 |
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Long-term restricted cash |
17 |
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22 |
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Total cash, cash equivalents and restricted cash |
$ |
188,356 |
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$ |
188,357 |
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Schedule of Inventory |
Inventory consists of the following:
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December 31, 2023 |
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December 31, 2022 |
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(in thousands) |
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Work-in-process |
$ |
60,368 |
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$ |
97,840 |
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Finished goods |
39,540 |
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62,704 |
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$ |
99,908 |
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$ |
160,544 |
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Schedule 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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December 31, 2023 |
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December 31, 2022 |
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(in thousands) |
Furniture and fixtures |
5 |
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$ |
3,995 |
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$ |
3,924 |
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Machinery and equipment |
3-5 |
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76,732 |
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74,258 |
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Masks and production equipment |
2-5 |
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54,240 |
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50,970 |
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Software |
3 |
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11,427 |
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10,111 |
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Leasehold improvements |
1-5 |
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35,867 |
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34,236 |
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Construction in progress |
N/A |
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348 |
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7,602 |
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182,609 |
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181,101 |
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Less: accumulated depreciation and amortization |
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(116,178) |
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(102,083) |
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$ |
66,431 |
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$ |
79,018 |
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Schedule of Accrued Price Protection Liability |
Accrued price protection liability consists of the following activity:
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Year Ended December 31, |
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2023 |
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2022 |
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(in thousands) |
Beginning balance |
$ |
113,274 |
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$ |
40,509 |
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Charged as a reduction of revenue |
62,644 |
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180,538 |
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Payments |
(104,234) |
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(107,773) |
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Ending balance |
$ |
71,684 |
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$ |
113,274 |
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Schedule of Accrued Expenses and Other Current Liabilities |
Accrued expenses and other current liabilities consist of the following:
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December 31, 2023 |
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December 31, 2022 |
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(in thousands) |
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Accrued technology license payments |
$ |
3,843 |
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$ |
7,402 |
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Accrued professional fees |
3,736 |
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4,072 |
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Accrued engineering and production costs |
2,861 |
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2,560 |
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Accrued restructuring |
8,301 |
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1,082 |
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Accrued royalty |
603 |
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1,662 |
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Short-term lease liabilities |
9,132 |
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10,489 |
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Accrued customer credits |
3,984 |
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|
304 |
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Income tax liability |
521 |
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|
8,895 |
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Customer contract liabilities |
1,597 |
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1,072 |
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Accrued obligations to customers for price adjustments |
54,837 |
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52,392 |
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Accrued obligations to customers for stock rotation rights |
349 |
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|
605 |
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Contingent consideration – current portion |
2,462 |
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2,941 |
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Other |
6,242 |
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6,679 |
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$ |
98,468 |
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$ |
100,155 |
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Schedule 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, 2021 |
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$ |
21 |
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$ |
2,104 |
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$ |
2,125 |
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Other comprehensive income (loss) before reclassifications, net of tax |
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(5,201) |
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2,055 |
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(3,146) |
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Balance at December 31, 2022 |
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(5,180) |
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4,159 |
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(1,021) |
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Other comprehensive income (loss) before reclassifications, net of tax |
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121 |
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(206) |
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(85) |
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Reclassification adjustments of unrealized gain (loss) on pension and other defined benefit plans, net of tax |
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— |
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(2,685) |
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(2,685) |
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Net current period other comprehensive income (loss) |
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121 |
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(2,891) |
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(2,770) |
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Balance at December 31, 2023 |
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$ |
(5,059) |
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$ |
1,268 |
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$ |
(3,791) |
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