Annual report pursuant to Section 13 and 15(d)

CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE LOSS

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CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE LOSS - USD ($)
shares in Thousands, $ in Thousands
12 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Mar. 31, 2021
Revenue      
Revenue $ 412,752 $ 372,827 $ 349,576
Cost of revenue      
Cost of revenue 278,813 225,792 198,823
Gross profit 133,939 147,035 150,753
Operating expenses      
Research and development 44,555 51,812 41,703
Sales and marketing 66,034 62,957 54,945
General and administrative 47,752 45,256 42,001
Restructuring charges 1,605 850 3,701
Total operating expenses 159,946 160,875 142,350
Income (loss) from operations (26,007) (13,840) 8,403
Other income (expense), net 1,956 (251) (1,312)
Interest expense (10,560) (11,888) (27,522)
Loss on debt extinguishment, net (1,392) (4,960) (14,789)
Net loss before income taxes (36,003) (30,939) (35,220)
Income tax provision 1,940 1,341 239
Net loss (37,943) (32,280) (35,459)
Deemed dividend on warrants (389) 0 0
Net loss attributable to common stockholders- basic (38,332) (32,280) (35,459)
Net loss attributable to common stockholders- diluted $ (38,332) $ (32,280) $ (35,459)
Net loss per share - basic (in dollars per share) $ (0.42) $ (0.55) $ (0.83)
Net loss per share -diluted (in dollars per share) $ (0.42) $ (0.55) $ (0.83)
Weighted average shares - basic (in shares) 90,348 58,871 42,852
Weighted average shares - diluted (in shares) 90,348 58,871 42,852
Foreign currency translation adjustments, net of income taxes $ (158) $ (567) $ 666
Total comprehensive loss (38,101) (32,847) (34,793)
Product      
Revenue      
Revenue 266,537 223,761 209,808
Cost of revenue      
Cost of revenue 220,031 169,780 150,257
Service and subscription      
Revenue      
Revenue 132,510 133,689 124,904
Cost of revenue      
Cost of revenue 58,782 56,012 48,566
Royalty      
Revenue      
Revenue $ 13,705 $ 15,377 $ 14,864