Balance Sheet Details (Tables)
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6 Months Ended |
Jun. 30, 2023 |
| Balance Sheet Related Disclosures [Abstract] |
|
| Summary of Cash and Cash Equivalents |
Cash, cash equivalents and restricted cash consist of the following:
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|
June 30, 2023 |
|
December 31, 2022 |
|
(in thousands) |
| Cash and cash equivalents |
$ |
224,579 |
|
|
$ |
187,353 |
|
| Short-term restricted cash |
1,042 |
|
|
982 |
|
| Long-term restricted cash |
22 |
|
|
22 |
|
| Total cash, cash equivalents and restricted cash |
$ |
225,643 |
|
|
$ |
188,357 |
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| Summary of Restriction Cash |
Cash, cash equivalents and restricted cash consist of the following:
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June 30, 2023 |
|
December 31, 2022 |
|
(in thousands) |
| Cash and cash equivalents |
$ |
224,579 |
|
|
$ |
187,353 |
|
| Short-term restricted cash |
1,042 |
|
|
982 |
|
| Long-term restricted cash |
22 |
|
|
22 |
|
| Total cash, cash equivalents and restricted cash |
$ |
225,643 |
|
|
$ |
188,357 |
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| Summary of Inventory |
Inventory consists of the following:
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June 30, 2023 |
|
December 31, 2022 |
|
(in thousands) |
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|
|
| Work-in-process |
$ |
75,082 |
|
|
$ |
97,840 |
|
| Finished goods |
51,070 |
|
|
62,704 |
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|
|
|
|
|
|
|
|
|
$ |
126,152 |
|
|
$ |
160,544 |
|
|
| Summary of Property and Equipment |
Property and equipment, net consists of the following:
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|
Useful Life (in Years) |
|
June 30, 2023 |
|
December 31, 2022 |
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(in thousands) |
| Furniture and fixtures |
5 |
|
$ |
3,919 |
|
|
$ |
3,924 |
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| Machinery and equipment |
3-5 |
|
73,709 |
|
|
74,258 |
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| Masks and production equipment |
2-5 |
|
54,083 |
|
|
50,970 |
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| Software |
3 |
|
14,046 |
|
|
10,111 |
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| Leasehold improvements |
1-5 |
|
35,246 |
|
|
34,236 |
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| Construction in progress |
N/A |
|
956 |
|
|
7,602 |
|
|
|
|
181,959 |
|
|
181,101 |
|
| Less: accumulated depreciation and amortization |
|
|
(108,114) |
|
|
(102,083) |
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|
|
|
$ |
73,845 |
|
|
$ |
79,018 |
|
|
| Summary of Price Protection Liability |
Accrued price protection liability consists of the following activity:
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Six Months Ended June 30, |
|
2023 |
|
2022 |
|
(in thousands) |
| Beginning balance |
$ |
113,274 |
|
|
$ |
40,509 |
|
|
|
|
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| Charged as a reduction of revenue |
37,726 |
|
|
102,426 |
|
|
|
|
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| Payments |
(70,867) |
|
|
(32,382) |
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| Ending balance |
$ |
80,133 |
|
|
$ |
110,553 |
|
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| Summary of Accrued Expenses |
Accrued expenses and other current liabilities consist of the following:
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|
June 30, 2023 |
|
December 31, 2022 |
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|
(in thousands) |
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| Accrued technology license payments |
$ |
5,691 |
|
|
$ |
7,402 |
|
|
|
| Accrued professional fees |
4,738 |
|
|
4,072 |
|
|
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| Accrued engineering and production costs |
3,698 |
|
|
2,560 |
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| Accrued restructuring |
5,489 |
|
|
1,082 |
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| Accrued royalty |
1,446 |
|
|
1,662 |
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| Short-term lease liabilities |
8,910 |
|
|
10,489 |
|
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| Accrued customer credits |
195 |
|
|
304 |
|
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|
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| Income tax liability |
1,070 |
|
|
8,895 |
|
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| Customer contract liabilities |
1,820 |
|
|
1,072 |
|
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| Accrued obligations to customers for price adjustments |
50,187 |
|
|
52,392 |
|
|
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| Accrued obligations to customers for stock rotation rights |
590 |
|
|
605 |
|
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| Contingent consideration - current portion |
300 |
|
|
2,941 |
|
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| Other |
6,559 |
|
|
6,679 |
|
|
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|
$ |
90,693 |
|
|
$ |
100,155 |
|
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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 |
|
Total |
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|
(in thousands) |
| Balance at December 31, 2022 |
|
|
$ |
(5,180) |
|
|
|
|
$ |
4,159 |
|
|
$ |
(1,021) |
|
| Other comprehensive loss before reclassifications, net of tax |
|
|
(1,270) |
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— |
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(1,270) |
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| Balance at June 30, 2023 |
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|
$ |
(6,450) |
|
|
|
|
$ |
4,159 |
|
|
$ |
(2,291) |
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