Quarterly report pursuant to Section 13 or 15(d)

Condensed Consolidated Statements of Stockholders' Equity

v3.23.3
Condensed Consolidated Statements of Stockholders' Equity - USD ($)
$ in Thousands
Total
Common Stock
Class A and Class B Common Stock
Additional Paid-in Capital
Treasury Stock
Accumulated Other Comprehensive Loss
Accumulated Deficit
Beginning balance (in shares) at Jan. 31, 2022   256,481,000        
Beginning balance at Jan. 31, 2022 $ 515,849 $ 8 $ 982,122 $ (23,831) $ (820) $ (441,630)
Beginning balance (in shares) at Jan. 31, 2022       14,131,000    
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Stock-based compensation - equity classified awards 41,068   41,068      
Exercise of stock options and vesting of restricted stock units (in shares)   3,712,000        
Exercise of stock options and vesting of restricted stock units 15,997   15,997      
Issuance of common shares upon ESPP purchases (in shares)   717,000        
Issuance of common shares upon ESPP purchases 6,213 $ 1 6,212      
Other comprehensive loss (6,624)       (6,624)  
Net income (loss) (55,075)         (55,075)
Ending balance (in shares) at Oct. 31, 2022   260,910,000        
Ending balance at Oct. 31, 2022 517,428 $ 9 1,045,399 $ (23,831) (7,444) (496,705)
Ending balance (in shares) at Oct. 31, 2022       14,131,000    
Beginning balance (in shares) at Jul. 31, 2022   259,713,000        
Beginning balance at Jul. 31, 2022 508,015 $ 9 1,027,849 $ (23,831) (5,167) (490,845)
Beginning balance (in shares) at Jul. 31, 2022       14,131,000    
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Stock-based compensation - equity classified awards 11,982   11,982      
Exercise of stock options and vesting of restricted stock units (in shares)   1,197,000        
Exercise of stock options and vesting of restricted stock units 5,568   5,568      
Other comprehensive loss (2,277)       (2,277)  
Net income (loss) (5,860)         (5,860)
Ending balance (in shares) at Oct. 31, 2022   260,910,000        
Ending balance at Oct. 31, 2022 517,428 $ 9 1,045,399 $ (23,831) (7,444) (496,705)
Ending balance (in shares) at Oct. 31, 2022       14,131,000    
Beginning balance (in shares) at Jan. 31, 2023   263,741,000        
Beginning balance at Jan. 31, 2023 $ 549,332 $ 9 1,074,149 $ (23,831) (4,384) (496,611)
Beginning balance (in shares) at Jan. 31, 2023 14,130,784     14,131,000    
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Stock-based compensation - equity classified awards $ 43,310   43,310      
Exercise of stock options and vesting of restricted stock units (in shares)   8,305,000        
Exercise of stock options and vesting of restricted stock units 32,331   32,331      
Issuance of common shares upon ESPP purchases (in shares)   528,000        
Issuance of common shares upon ESPP purchases 3,970   3,970      
Other adjustment 0 $ (1) 1      
Other comprehensive loss (999)       (999)  
Net income (loss) 30,260         30,260
Ending balance (in shares) at Oct. 31, 2023   272,574,000        
Ending balance at Oct. 31, 2023 $ 658,204 $ 8 1,153,761 $ (23,831) (5,383) (466,351)
Ending balance (in shares) at Oct. 31, 2023 14,130,784     14,131,000    
Beginning balance (in shares) at Jul. 31, 2023   270,318,000        
Beginning balance at Jul. 31, 2023 $ 617,286 $ 8 1,128,689 $ (23,831) (4,262) (483,318)
Beginning balance (in shares) at Jul. 31, 2023       14,131,000    
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Stock-based compensation - equity classified awards 14,091   14,091      
Exercise of stock options and vesting of restricted stock units (in shares)   2,256,000        
Exercise of stock options and vesting of restricted stock units 10,981   10,981      
Other comprehensive loss (1,121)       (1,121)  
Net income (loss) 16,967         16,967
Ending balance (in shares) at Oct. 31, 2023   272,574,000        
Ending balance at Oct. 31, 2023 $ 658,204 $ 8 $ 1,153,761 $ (23,831) $ (5,383) $ (466,351)
Ending balance (in shares) at Oct. 31, 2023 14,130,784     14,131,000