Matterport Announces Second Quarter 2022 Financial Results, with Stronger-than-Expected Subscription Revenue and Non-GAAP EPS


MATTERPORT, INC.
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS
(In thousands, unaudited)

  Six Months Ended June 30,
   2022    2021 
CASH FLOWS FROM OPERATING ACTIVITIES   
Net income (loss)$             7,270  $            (9,081)
Adjustments to reconcile net income (loss) to net cash provided by (used in) operating activities:   
Depreciation and amortization                5,563                  2,608 
Amortization of debt discount                     —                     135 
Amortization of investment premiums, net of accretion of discounts                1,829                       — 
Stock-based compensation, net of amounts capitalized              87,233                  1,259 
Change in fair value of warrants liabilities             (26,147)                      — 
Change in fair value of contingent earn-out liability           (136,043)                      — 
Deferred income taxes                     69                       — 
Allowance for doubtful accounts                    195                         151  
Loss on disposal of property, plant, and equipment                       —                             7  
Other                     316                           43  
Changes in operating assets and liabilities, net of effects of businesses acquired:      
Accounts receivable                 (3,426 )                   (2,918 )
Inventories                    (881 )                    1,024  
Prepaid expenses and other assets                 (2,946 )                   (1,269 )
Accounts payable                  2,367                      1,466  
Deferred revenue                  2,641                      3,024  
Accrued expenses and other liabilities                  3,682                         920  
Net cash used in operating activities               (58,278 )                   (2,631 )
CASH FLOWS FROM INVESTING ACTIVITIES:      
Purchases of property and equipment                    (866 )                      (326 )
Capitalized software and development costs                 (7,086 )                   (3,256 )
Purchase of investments               (87,997 )                         —  
Maturities of investments              160,124                           —  
Investment in convertible notes                       —                     (1,000 )
Business acquisitions, net of cash acquired               (30,020 )                         —  
Net cash provided by (used in) investing activities                34,155                     (4,582 )
CASH FLOW FROM FINANCING ACTIVITIES:      
Payment of transaction costs related to reverse recapitalization                       —                     (1,204 )
Proceeds from sales of shares through employee equity incentive plans                  4,892                      1,342  
Payments for taxes related to net settlement of equity awards               (34,424 )                         —  
Proceeds from exercise of warrants                27,844                           —  
Repayment of debt                       —                     (2,390 )
Other                       76                           —  
Net cash used in financing activities                 (1,612 )                   (2,252 )
Net change in cash, cash equivalents, and restricted cash               (25,735 )                   (9,465 )
Effect of exchange rate changes on cash                    (329 )                      (104 )
Cash, cash equivalents, and restricted cash at beginning of year              139,987                    52,250  
Cash, cash equivalents, and restricted cash at end of period $          113,923     $            42,681  

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