Quarterly report [Sections 13 or 15(d)]

Condensed Consolidated Statements of Operations and Comprehensive Loss

v3.25.1
Condensed Consolidated Statements of Operations and Comprehensive Loss - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Total Revenue $ 9,320 $ 9,786
Cost of revenue 8,623 12,601
Gross profit (loss) 697 (2,815)
Operating expenses    
Research and development 1,212 5,043
Selling and marketing 2,275 4,809
General and administrative 9,131 8,783
Total operating expenses 12,618 18,635
Loss from operations (11,921) (21,450)
Interest expense (1,070) (3,897)
Gain (loss) on fair value of warrants (1,044) (2,620)
Gain (loss) on fair value of contingent earnout liabilities 0 (437)
Gain (loss) on warrant cancellation (11,357) 0
Other income (expense), net (11) 94
Loss before provision for income taxes (25,403) (28,310)
Provision for income taxes (8) (4)
Net loss $ (25,411) $ (28,314)
Net loss per share basic $ (0.13) $ (3.81)
Net loss per share Diluted $ (0.13) $ (3.81)
Shares used in computing net loss per share basic 200,971,566 7,436,976
Shares used in computing net loss per share diluted 200,971,566 7,436,976
Net Income (Loss) $ (25,411) $ (28,314)
Net unrealized holding gain on available-for-sale investments 0 52
Total comprehensive loss (25,411) (28,262)
3D Printer    
Revenue from contract with customer 7,523 7,660
Cost of revenue 7,540 9,394
Recurring payment    
Recurring Payment 0 470
Cost of revenue 12 315
Support services    
Revenue from contract with customer 1,790 1,656
Cost of revenue 1,071 2,892
Other    
Revenue from contract with customer $ 7 $ 0