7Baggers
Quarterly
Annual
    Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 
      
           
      assets
           
      current assets:
           
      cash and cash equivalents
    911,653,000 734,060,000 635,727,000 562,092,000 515,895,000 467,952,000 968,515,000 
      marketable securities
    1,314,170,000 1,325,881,000 1,315,415,000 1,278,717,000 1,229,072,000 1,231,099,000 701,835,000 
      accounts receivable
    487,634,000 407,228,000 326,131,000 349,534,000 283,890,000 240,093,000 215,307,000 
      prepaid expenses and other current assets
    56,122,000 62,761,000 51,397,000 33,058,000 31,974,000 41,599,000 34,368,000 
      total current assets
    2,769,579,000 2,529,930,000 2,328,670,000 2,223,401,000 2,060,831,000 1,980,743,000 1,920,025,000 
      property and equipment
    12,936,000 11,394,000 11,607,000 12,652,000 13,775,000 14,168,000 14,385,000 
      operating lease right-of-use assets
    22,469,000 22,118,000 23,408,000 23,249,000 23,872,000 25,107,000 22,754,000 
      intangible assets
    18,000,000 20,469,000 22,943,000 25,424,000 27,904,000 27,772,000 29,928,000 
      goodwill
    42,174,000 42,174,000 42,174,000 42,174,000 42,174,000 26,299,000 26,299,000 
      other noncurrent assets
    11,218,000 6,117,000 8,222,000 9,695,000 3,152,000 2,273,000 2,505,000 
      total assets
    2,876,376,000 2,632,202,000 2,437,024,000 2,336,595,000 2,171,708,000 2,076,362,000 2,015,896,000 
      liabilities and stockholders’ equity
           
      current liabilities:
           
      accounts payable
    73,053,000 63,942,000 43,870,000 45,423,000 62,042,000 64,329,000 45,378,000 
      operating lease liabilities
    6,872,000 6,572,000 6,376,000 6,137,000 5,398,000 5,368,000 4,383,000 
      accrued expenses and other current liabilities
    148,400,000 140,317,000 136,575,000 124,464,000 104,844,000 89,818,000 106,724,000 
      total current liabilities
    228,325,000 210,831,000 186,821,000 176,024,000 172,284,000 159,515,000 156,485,000 
      operating lease liabilities, noncurrent
    18,162,000 18,611,000 20,174,000 20,565,000 21,567,000 22,757,000 20,835,000 
      other noncurrent liabilities
    19,226,000 15,780,000 12,908,000 9,257,000 249,000 255,000 276,000 
      total liabilities
    265,713,000 245,222,000 219,903,000 205,846,000 194,100,000 182,527,000 177,596,000 
      commitments and contingencies
           
      stockholders’ equity
           
      preferred stock, par value 0.0001 per share; 100,000,000 shares authorized as of september 30, 2025 and december 31, 2024; no shares issued and outstanding as of september 30, 2025 and december 31, 2024
           
      class a common stock
    14,000 13,000 13,000 12,000 12,000 6,000 4,000 
      class b common stock
    5,000 5,000 5,000 5,000 5,000 11,000 12,000 
      class c common stock, par value 0.0001 per share; 100,000,000 shares authorized as of september 30, 2025 and december 31, 2024; no shares issued and outstanding as of september 30, 2025 and december 31, 2024
           
      additional paid-in capital
    3,529,552,000 3,468,618,000 3,390,469,000 3,331,546,000 3,245,315,000 3,196,549,000 3,130,384,000 
      accumulated other comprehensive income
    3,812,000 3,727,000 1,314,000 24,000 4,150,000 -1,004,000 -472,000 
      accumulated deficit
    -922,720,000 -1,085,383,000 -1,174,680,000 -1,200,838,000 -1,271,874,000 -1,301,727,000 -1,291,628,000 
      total stockholders’ equity
    2,610,663,000 2,386,980,000 2,217,121,000 2,130,749,000 1,977,608,000 1,893,835,000 1,838,300,000 
      total liabilities and stockholders’ equity
    2,876,376,000 2,632,202,000 2,437,024,000     
      preferred stock, par value 0.0001 per share; 100,000,000 shares authorized as of june 30, 2025 and december 31, 2024; no shares issued and outstanding as of june 30, 2025 and december 31, 2024
           
      class c common stock, par value 0.0001 per share; 100,000,000 shares authorized as of june 30, 2025 and december 31, 2024; no shares issued and outstanding as of june 30, 2025 and december 31, 2024
           
      preferred stock, par value 0.0001 per share; 100,000,000 shares authorized as of march 31, 2025 and december 31, 2024; no shares issued and outstanding as of march 31, 2025 and december 31, 2024
           
      class c common stock, par value 0.0001 per share; 100,000,000 shares authorized as of march 31, 2025 and december 31, 2024; no shares issued and outstanding as of march 31, 2025 and december 31, 2024
           
      liabilities, convertible preferred stock, and stockholders’ equity
           
      convertible preferred stock, par value 0.0001 per share; no and 86,864,781 shares authorized as of december 31, 2024 and 2023, respectively; no and 73,021,449 shares issued and outstanding as of december 31, 2024 and 2023, respectively; aggregate liquidation preference of 0 and 1,847,993 as of december 31, 2024 and 2023, respectively
           
      preferred stock, par value 0.0001 per share; 100,000,000 and no shares authorized as of december 31, 2024 and 2023, respectively; no shares issued and outstanding as of december 31, 2024 and 2023
           
      class c common stock, par value 0.0001 per share; 100,000,000 and no shares authorized as of december 31, 2024 and 2023, respectively; no shares issued and outstanding as of december 31, 2024 and 2023
           
      total liabilities, convertible preferred stock, and stockholders’ equity
       2,336,595,000 2,171,708,000 2,076,362,000 2,015,896,000 
      convertible preferred stock, par value 0.0001 per share; no and 86,864,781 shares authorized as of september 30, 2024 and december 31, 2023, respectively; no and 73,021,449 shares issued and outstanding as of september 30, 2024 and december 31, 2023, respectively; aggregate liquidation preference of 0 and 1,847,993 as of september 30, 2024 and december 31, 2023, respectively
           
      preferred stock, par value 0.0001 per share; 100,000,000 and no shares authorized as of september 30, 2024 and december 31, 2023, respectively; no shares issued and outstanding as of september 30, 2024 and december 31, 2023
           
      class c common stock, par value 0.0001 per share; 100,000,000 and no shares authorized as of september 30, 2024 and december 31, 2023, respectively; no shares issued and outstanding as of september 30, 2024 and december 31, 2023
           
      convertible preferred stock, par value 0.0001 per share; no and 86,864,781 shares authorized as of june 30, 2024 and december 31, 2023, respectively; no and 73,021,449 shares issued and outstanding as of june 30, 2024 and december 31, 2023, respectively; aggregate liquidation preference of 0 and 1,847,993 as of june 30, 2024 and december 31, 2023, respectively
           
      preferred stock, par value 0.0001 per share; 100,000,000 and no shares authorized as of june 30, 2024 and december 31, 2023, respectively; no shares issued and outstanding as of june 30, 2024 and december 31, 2023
           
      class c common stock, par value 0.0001 per share; 100,000,000 and no shares authorized as of june 30, 2024 and december 31, 2023, respectively; no shares issued and outstanding as of june 30, 2024 and december 31, 2023
           
      convertible preferred stock, par value 0.0001 per share; no and 86,864,781 shares authorized as of march 31, 2024 and december 31, 2023, respectively; no and 73,021,449 shares issued and outstanding as of march 31, 2024 and december 31, 2023, respectively; aggregate liquidation preference of 0 and 1,847,993 as of march 31, 2024 and december 31, 2023, respectively
           
      preferred stock, par value 0.0001 per share; 100,000,000 and no shares authorized as of march 31, 2024 and december 31, 2023, respectively; no shares issued and outstanding as of march 31, 2024 and december 31, 2023
           
      class c common stock, par value 0.0001 per share; 100,000,000 and no shares authorized as of march 31, 2024 and december 31, 2023, respectively; no shares issued and outstanding as of march 31, 2024 and december 31, 2023
           
    The information provided in this report is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.