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Consolidated Statements of Equity - USD ($)
$ in Thousands
Total
Common Stock
Additional Paid-In Capital
Net Investment by Former Parent
Accumulated Other Comprehensive Income (Loss)
Accumulated Deficit
Noncontrolling Interest
Beginning balance at Dec. 31, 2020 $ 1,080,183     $ 1,084,630 $ 1,311   $ (5,758)
Net transfers from Former Parent 116,830     116,830      
Issuance of equity to noncontrolling interest 9           9
Foreign currency translation adjustment (1,987)       (1,987)    
Net loss (179,078)     (175,622)     (3,456)
Ending balance at Dec. 31, 2021 1,015,957     1,025,838 (676)   (9,205)
Net transfers from Former Parent 100,915     100,915      
Issuance of common stock and reclassification of net transfers from Former Parent (in shares)   42,024,000          
Issuance of common stock and reclassification of net transfers from Former Parent   $ 42 $ 1,038,062 (1,038,104)      
Net capital contribution from and tax settlement with Former Parent 82,931   82,931        
Change in ownership interest of the Company (1,423)   82       (1,505)
Vesting of restricted stock units, net of tax withholding (286)   (286)        
Vesting of restricted stock units, net of tax withholding (in shares)   42,000          
Stock-based compensation 15,541   15,541        
Foreign currency translation adjustment (3,349)       (3,349)    
Unrealized gain (loss) on cash flow hedges (94)       (94)    
Net loss (761,206)     $ (88,649)   $ (668,835) (3,722)
Ending balance at Dec. 31, 2022 448,986 $ 42 1,136,330   (4,119) (668,835) (14,432)
Ending balance (in shares) at Dec. 31, 2022   42,066,000          
Change in ownership interest of the Company     (410)       410
Vesting of restricted stock units, net of tax withholding (4,875)   (4,875)        
Vesting of restricted stock units, net of tax withholding (in shares)   808,000          
Issuance of common stock under employee stock purchase plan (in shares)   1,337,000          
Issuance of common stock under employee stock purchase plan 11,927 $ 2 11,925        
Stock-based compensation 69,531   69,531        
Foreign currency translation adjustment 126       126    
Unrealized gain (loss) on cash flow hedges 1,128       1,128    
Net loss (139,688)         (136,613) (3,075)
Ending balance at Dec. 31, 2023 $ 387,135 $ 44 $ 1,212,501   $ (2,865) $ (805,448) $ (17,097)
Ending balance (in shares) at Dec. 31, 2023   44,211,000