7Baggers
Quarterly
Annual
    Unit: USD2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 
      
                       
      operating activities
                       
      net income
    328,572,000 217,717,000 76,936,000 149,341,000 135,570,000 106,071,000 96,913,000 73,439,000 27,872,000 19,151,000 33,489,000 -123,875,000 -179,329,000 -101,379,000 -156,188,000 -102,137,000 -138,580,000 -123,474,000 -148,343,000 
      adjustments to reconcile net income to net cash from operating activities:
                       
      depreciation and amortization
    6,530,000 6,622,000 7,006,000 8,087,000 8,056,000 8,438,000 7,972,000 8,663,000 8,399,000 8,320,000 7,373,000 5,942,000 4,895,000 4,312,000 3,840,000 3,058,000 4,762,000 3,237,000 3,563,000 
      stock-based compensation
    159,971,000 155,339,000 281,798,000 142,425,000 141,764,000 125,651,000 132,608,000 114,380,000 114,201,000 114,714,000 129,398,000 140,308,000 145,769,000 149,323,000 166,907,000 184,835,000 232,742,000 193,731,000 241,788,000 
      unrealized and realized (gain) income from marketable securities
    -11,140,000 10,688,000 -6,715,000 5,979,000 7,688,000 12,354,000 1,350,000 732,000 2,570,000 8,508,000 11,388,000 59,379,000 138,498,000 62,843,000      
      noncash consideration
    -7,128,000 -17,313,000 -17,732,000 -8,305,000 -14,577,000 -11,907,000 -11,757,000 -14,686,000            
      other operating activities
    23,002,000 3,531,000 5,680,000 30,203,000 -4,314,000 -6,774,000 -16,121,000 4,489,000 -6,475,000 -11,342,000 4,333,000 6,022,000 -927,000 -2,751,000 -354,000 2,516,000 -211,000 771,000  
      changes in operating assets and liabilities:
                       
      accounts receivable
    -28,542,000 -134,959,000 100,542,000 -13,388,000 -176,427,000 -121,884,000 53,593,000 -46,089,000 -113,035,000 -628,000 77,072,000 -78,852,000 -9,872,000 -65,867,000 -19,825,000 68,471,000 -88,363,000 4,480,000 4,247,000 
      prepaid expenses and other assets
    -48,037,000 40,730,000                  
      accounts payable and accrued liabilities
    25,807,000 22,395,000                  
      contract liabilities
    101,906,000 18,760,000                  
      other liabilities
    -11,690,000 -13,247,000                  
      net cash from operating activities
    539,251,000 310,263,000 460,327,000 419,772,000 144,187,000 129,579,000 301,172,000 133,443,000 90,192,000 187,376,000 78,763,000 47,066,000 62,431,000 35,477,000 93,427,000 100,793,000 22,750,000 116,881,000 -18,288,000 
      capex
    -7,634,000 -6,184,000 -3,106,000 -3,985,000 -2,879,000 -2,664,000 -4,860,000 -1,565,000 -3,934,000 -4,755,000 -4,918,000 -14,436,000 -5,458,000 -15,215,000 -5,844,000 -5,378,000 -697,000 -708,000 -4,761,000 
      free cash flows
    531,617,000 304,079,000 457,221,000 415,787,000 141,308,000 126,915,000 296,312,000 131,878,000 86,258,000 182,621,000 73,845,000 32,630,000 56,973,000 20,262,000 87,583,000 95,415,000 22,053,000 116,173,000 -23,049,000 
      investing activities
                       
      purchases of property and equipment
    -7,634,000 -6,184,000 -3,106,000 -3,985,000 -2,879,000 -2,664,000 -4,860,000 -1,565,000 -3,934,000 -4,755,000 -4,918,000 -14,436,000 -5,458,000 -15,215,000 -5,844,000 -5,378,000 -697,000 -708,000 -4,761,000 
      purchases of marketable securities
    -871,511,000 -1,704,720,000 -1,977,214,000 -1,634,584,000 -523,788,000 -1,260,327,000 -844,736,000 -1,854,731,000 -626,572,000 -2,310,367,000 -35,000,000 -89,500,000 -153,000,000     
      proceeds from sales and redemption of marketable securities
    302,135,000 350,627,000 2,622,129,000 1,317,843,000 381,789,000 751,746,000 280,370,000 1,660,032,000 239,407,000 709,459,000          
      purchases of privately-held securities
                       
      net cash from investing activities
    -617,010,000 -1,390,277,000 640,194,000 -320,726,000 -148,878,000 -511,245,000 -569,226,000 -196,264,000 -391,099,000 -1,554,591,000 73,081,000 -27,344,000 5,304,000 -96,468,000 -181,873,000 -214,634,000 -697,000 -708,000 -4,945,000 
      financing activities
                       
      proceeds from the exercise of common stock options
    28,617,000 66,584,000 475,189,000 170,337,000 16,030,000 83,840,000 51,409,000 50,556,000 90,349,000 25,924,000 13,981,000 24,567,000 20,316,000 27,225,000 32,772,000 97,995,000 167,828,000 208,860,000 219,356,000 
      repurchases of common stock
    -18,596,000 -17,998,000 -18,598,000 -18,899,000 -17,699,000 -9,000,000              
      taxes paid related to net share settlement of equity awards
    -3,544,000 -77,573,000                  
      other financing activities
    -27,000 90,000 353,000 -11,000 -306,000 408,000 -177,000 384,000 335,000 59,000 176,000 -576,000 291,000 16,000 -307,000 1,343,000 762,000 -2,506,000 -247,000 
      net cash from financing activities
    6,450,000 -28,897,000 238,664,000 151,427,000 -1,975,000 75,248,000 51,232,000 50,940,000 90,684,000 25,983,000 14,157,000 23,991,000 20,607,000 27,241,000 32,465,000 99,338,000 -31,410,000 206,354,000 219,109,000 
      effect of foreign exchange on cash, cash equivalents, and restricted cash
    7,538,000 3,980,000 -7,705,000 5,908,000 -924,000 -4,024,000 5,043,000 -258,000 -4,531,000 2,676,000 8,585,000 -6,129,000 -5,614,000 -727,000 -280,000 -2,142,000 701,000 -2,197,000 1,937,000 
      net decrease in cash, cash equivalents, and restricted cash
    -63,771,000 -1,104,931,000    -310,442,000   -214,754,000 -1,338,556,000          
      cash, cash equivalents, and restricted cash - beginning of period
    2,119,936,000 850,107,000 2,627,335,000 2,366,914,000 2,128,146,000  
      cash, cash equivalents, and restricted cash - end of period
    -63,771,000 1,015,005,000 1,331,480,000 256,381,000 -7,590,000 539,665,000 -211,779,000 -12,139,000 -214,754,000 1,288,779,000 174,586,000 37,584,000 82,728,000 2,332,437,000 -56,261,000 -16,645,000 -8,656,000 2,448,476,000  
      other investing activities
     -30,000,000 -1,615,000           -20,000     
      noncash operating lease expense
      9,198,000 9,602,000 10,073,000 12,366,000 12,209,000 12,086,000 11,888,000 10,836,000          
      changes in operating assets and liabilities, net of effect of acquisitions:
                       
      prepaid expenses and other current assets
      26,749,000 -16,773,000 -22,173,000 19,399,000 -6,122,000 -1,166,000 -882,000 1,973,000 -20,217,000 30,571,000 -32,031,000 -4,320,000 -3,057,000 -20,642,000 22,523,000 -9,753,000 -2,131,000 
      other assets
      625,000 -1,515,000 2,046,000 3,525,000 1,301,000 5,426,000 1,066,000 -4,551,000 -4,457,000 2,403,000 5,196,000 2,891,000 4,810,000 1,367,000 -4,657,000 -4,865,000 -14,798,000 
      accounts payable
      -26,551,000 -45,662,000 29,563,000 23,809,000 555,000 6,670,000 864,000 -39,921,000 -14,694,000 4,820,000 27,419,000 -47,404,000 56,609,000 -13,431,000 14,538,000 51,000 -5,309,000 
      accrued liabilities
      73,485,000 72,697,000 -11,443,000 -19,105,000 50,343,000 -11,228,000 9,509,000 4,271,000 6,355,000 -29,678,000 34,184,000 -5,334,000 -5,115,000 11,290,000 -35,418,000 44,488,000 4,871,000 
      deferred revenue, current and noncurrent
      49,473,000 -48,580,000 36,265,000 -14,802,000 15,048,000 -51,404,000 27,195,000 88,673,000 -16,242,000 -33,231,000 4,654,000 -16,335,000 28,513,000 -102,000 8,273,000 -11,952,000 32,000 
      customer deposits, current and noncurrent
      -105,017,000 147,651,000 3,853,000 7,953,000 -19,925,000 44,128,000 42,256,000 -2,112,000 -93,734,000 63,577,000 -79,136,000 59,822,000 -88,717,000 -44,895,000 7,843,000 20,825,000 -90,711,000 
      operating lease liabilities, current and noncurrent
      -13,761,000 -11,427,000 -8,296,000 -15,482,000 -11,863,000 -12,164,000 -15,067,000 -10,536,000 -7,153,000 -10,106,000 -6,943,000 -10,388,000 -9,370,000 -6,991,000 -8,663,000 -7,132,000  
      other noncurrent liabilities
      -1,389,000 -563,000 6,539,000 -33,000 -126,000 167,000 -3,000 20,000 122,000 -81,000 -39,000 -75,000 -4,419,000    -3,566,000 
      net increase in cash, cash equivalents, and restricted cash
          -211,779,000    174,586,000 37,584,000 82,728,000 -34,477,000 -56,261,000 -16,645,000 -8,656,000 320,330,000 197,813,000 
      supplemental disclosures of cash flow information
                       
      cash paid for income taxes
             4,992,000  -106,000 715,000 659,000  163,000 2,547,000 878,000  
      noncash investing and financing activities
                       
      accrued taxes related to net share settlement of equity awards
                       
      proceeds from sales of alternative investments
          51,072,000          
      deferred income taxes
              -143,000 -17,000 -11,000 -3,000      
      gain from step acquisition
                       
      business combinations, net of cash acquired
                       
      purchases of alternative investments
                      
      principal payments on borrowings
                    
      cash paid for interest
               3,000 2,000  393,000 719,000 1,662,000  
      non-cash operating lease expense
              10,179,000 9,884,000 10,104,000 10,142,000 10,404,000 8,982,000 7,958,000 6,477,000  
      proceeds from the issuance of common stock, net of issuance costs
                      
      proceeds from issuance of debt, net of borrowing costs
                       
      proceeds from sales of marketable securities
               17,473,000 10,762,000 8,247,000      
      proceeds from redemption of marketable securities
                       
      impairment of assets held for sale
                       
      unrealized and realized gain from marketable securities
                       
      purchases of equity method investments
                       
      return of capital from equity method investment
                       
      proceeds from issuance of debt, net of issuance costs
                      
      repurchase of common stock
                      
      proceeds from the sale of redeemable convertible preferred stock
                       
      redemption of redeemable convertible preferred stock
                       
      repurchase of convertible preferred stock
                       
      unrealized income from marketable securities
                       
      supplemental disclosures of cash flow information:
                       
      supplemental disclosures of non-cash investing and financing information:
                       
      conversion of redeemable convertible and convertible preferred stock to common stock
                       
      receivable from the exercise of common stock options included in prepaid expenses and other current assets
                       
      conversion of convertible preferred stock warrants to common stock warrants
                       
      cashless net exercise of warrants for convertible preferred stock
                       
      change in fair value of warrants
                      
      proceeds from the sale of assets held for sale
                       
      common stock issuance costs included in accounts payable and accrued liabilities
                       
      impairment of assets
                      
      operating lease liability, current and noncurrent
                       
      deferred rent
                       
      purchase of assets held for sale
                       
      purchase of equity method investment
                      -434,000 
      cash, cash equivalents, and restricted cash—beginning of period
                       
      cash, cash equivalents, and restricted cash—end of period
                       
      amortization of debt issuance costs
                       
      income from equity method investments
                       
    The information provided in this report is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.