Annual report pursuant to Section 13 and 15(d)

Consolidated Statements of Cash Flows

v3.23.1
Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Cash flows from operating activities      
Net loss $ (191,158) $ (157,291) $ (121,652)
Adjustments to reconcile net loss to net cash used in operating activities:      
Depreciation and amortization 12,721 14,433 13,975
Stock-based compensation 18,636 10,621 3,154
Inventory write-down 1,966 4,078 0
Gain on sale of fixed assets (90) 0 0
Write-off of right-of-use assets 70 0 0
Non-cash interest on long-term debt, due to Parent Company 0 0 4,831
Non-cash investment in Sky and Space 0 (1,706) 0
Change in fair value of equity investments 9,322 (6,792) 0
Change in fair value of liability classified warrants (17,592) (3,749) 0
Change in fair value of convertible notes (9,101) 0 0
Changes in operating assets and liabilities:      
Accounts receivable 1,691 1,278 (1,351)
Contract assets 2,613 (3,077) 0
Inventory (40,591) (37,940) (66)
Prepaid expenses and other current assets (11,135) (1,259) 320
Deferred transaction costs 0 0 0
Other non-current assets 2,422 (32) (82)
Due (to) from related party, net 676 (75) 898
Accounts payable 11,591 6,639 (480)
Other long-term liabilities (1,131) 2,142 (472)
Accrued liabilities 1,290 5,326 5,921
Deferred revenue (11,540) 13,502 (48,090)
Other, net 53 (95) 78
Net cash used in operating activities (219,287) (153,997) (143,016)
Cash flows from investing activities:      
Purchase of property and equipment (20,902) (25,280) (13,337)
Proceeds from sale of property and equipment 90 0 0
Proceeds from sale of investment in Arqit 2,365 0 0
Purchase of investment in Arqit 0 (5,000) 39
Net cash used in investing activities (18,447) (30,280) (13,298)
Cash flows from financing activities:      
Payments of finance lease obligations (298) (257) (243)
Proceeds from the exercise of stock options 1,480 2,807 409
Advances to stock option holders 0 18 (18)
Contributions from Parent Company contributions 0 169,139 150,000
Parent Company distributions 0 0 (118,488)
Proceeds from YA II Convertible Debenture 50,000 0 0
Proceeds from November VIL Convertible Note 25,000 0 0
Proceeds from December VIL Convertible Note 20,000 0 0
Proceeds from reverse recapitalization 0 200,102 0
Payment of transaction costs related to reverse recapitalization 0 (19,336) 0
Net cash provided by financing activities 96,182 352,473 31,660
Net (decrease) increase in cash and cash equivalents and restricted cash (141,552) 168,196 (124,654)
Cash and cash equivalents and restricted cash at the beginning of the period 194,982 26,786 151,440
Cash and cash equivalents and restricted cash at the end of the period 53,430 194,982 26,786
Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents [Abstract]      
Cash and cash equivalents 51,199 194,154 22,433
Restricted cash 2,231 828 4,353
Cash and cash equivalents and restricted cash 53,430 194,982 26,786
Supplemental disclosures      
Conversion of long-term debt due to Parent Company to Parent Company non-cash contributions 0 235,108 0
Non-cash investment in SatRev 5,000 0 0
Unpaid property, plant and equipment received $ 1,064 $ 121 $ 26