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Fair Value Measurements - Recurring (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2015
Dec. 31, 2016
Nov. 26, 2014
Assets      
Marketable securities $ 90,281 $ 129,846  
U.S. Treasury securities      
Assets      
Marketable securities 90,281 129,846  
Recurring      
Assets      
Cash equivalents 3,245 2,999  
Marketable securities 90,281 129,846  
Total Assets 93,526 132,845  
Recurring | Level 1      
Assets      
Cash equivalents 3,245 2,999  
Marketable securities 90,281 129,846  
Total Assets 93,526 $ 132,845  
Series A convertible preferred stock      
Liabilities      
Convertible preferred stock liability     $ 2,600
Series A convertible preferred stock | Obligation to issue second tranche      
Issuances, changes in fair value, exercise and reclassification of the Level 3 financial instrument      
Balance as of the beginning of the period 2,600    
Change in fair value of convertible preferred stock liability through date of Series A second tranche issuance 17,600    
Recognition of fair value upon issuance of second tranche Series A convertible preferred stock $ (20,200)