XML 42 R32.htm IDEA: XBRL DOCUMENT v3.23.3
Reorganization and Segment Reporting (Tables)
9 Months Ended
Sep. 30, 2023
Restructuring and Related Activities [Abstract]  
Schedule of financial information
Presented below is the discrete financial information by reportable segment for the three and nine months ended September 30, 2023 and 2022, that is regularly reviewed by the CODM for performance assessment and resource allocation decisions. Asset information is not presented below since it is not reviewed by the CODM on a segment by segment basis. Revenue and costs of revenue are generally directly attributable to each segment. Certain costs of revenue are allocated based on methodologies that best reflect the patterns of consumption of these costs. Prior period comparative financial information presented below was restated to conform to the current period presentation.

Three Months Ended September 30,Nine Months Ended September 30,
2023202220232022
(In thousands)
Revenue:
     Communications$906,714 $866,193 $2,703,079 $2,470,350 
     Data & Applications126,956 116,837 374,916 331,397 
          Total$1,033,670 $983,030 $3,077,995 $2,801,747 
Non-GAAP gross profit:
      Communications451,330 401,236 1,316,541 1,160,683 
      Data & Applications101,268 97,897 304,074 279,441 
           Total$552,598 $499,133 $1,620,615 $1,440,124 
Reconciliation of non-GAAP gross profit to gross profit:
Total non-GAAP gross profit$552,598 $499,133 $1,620,615 $1,440,124 
Stock-based compensation(7,053)(6,114)(18,677)(14,631)
Amortization of acquired intangibles(29,045)(30,729)(88,675)(92,601)
Payroll taxes related to stock-based compensation(181)(215)(499)(457)
Gross profit516,319 462,075 1,512,764 1,332,435 
Operating expenses(625,222)(919,072)(2,027,578)(2,319,176)
Other expenses, net(31,057)(21,750)(122,261)(36,666)
Loss before provision for income taxes$(139,960)$(478,747)$(637,075)$(1,023,407)