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CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE LOSS - USD ($)
shares in Thousands, $ in Thousands
12 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Mar. 31, 2023
Revenue $ 715,070 $ 728,705 $ 743,938
Total cost of revenue 229,798 224,905 241,475
Gross profit 485,272 503,800 502,463
Operating expenses:      
Research and development 123,211 136,216 142,491
Sales and marketing 264,461 271,944 311,883
General and administrative 82,407 112,209 108,001
Impairment of long-lived assets 0 11,034 6,380
Total operating expenses 470,079 531,403 568,755
Income (loss) from operations 15,193 (27,603) (66,292)
Interest expense (28,856) (39,824) (27,274)
Other income (expense), net (10,400) 3,477 23,230
Loss before provision for income taxes (24,063) (63,950) (70,336)
Provision for income taxes 3,149 3,642 2,807
Net loss $ (27,212) $ (67,592) $ (73,143)
Net loss per share:      
Basic (in dollars per share) $ (0.21) $ (0.56) $ (0.63)
Diluted (in dollars per share) $ (0.21) $ (0.56) $ (0.63)
Weighted average number of shares:      
Basic (in shares) 129,767 121,106 115,959
Diluted (in shares) 129,767 121,106 115,959
Comprehensive loss      
Net loss $ (27,212) $ (67,592) $ (73,143)
Unrealized gain (loss) on investments in securities (5) 280 (184)
Foreign currency translation adjustment 2,447 1,094 (4,830)
Comprehensive loss (24,770) (66,218) (78,157)
Service revenue      
Revenue 692,923 700,579 710,044
Total cost of revenue 200,094 192,960 198,871
Other revenue      
Revenue 22,147 28,126 33,894
Total cost of revenue $ 29,704 $ 31,945 $ 42,604