DocuSign Announces Fourth Quarter and Fiscal Year 2020 Financial Results

 

DOCUSIGN, INC.

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

(Unaudited)

 
 

Three Months Ended January 31,

 

Year Ended January 31,

(in thousands)

2020

 

2019

 

2020

 

2019

Cash flows from operating activities:

             

Net loss

$

(47,407)

   

$

(66,244)

   

$

(208,359)

   

$

(426,458)

 

Adjustments to reconcile net loss to net cash used in operating activities

             

Depreciation and amortization

13,266

   

12,003

   

50,182

   

38,027

 

Amortization of deferred contract acquisition and fulfillment costs

20,387

   

12,223

   

69,747

   

42,112

 

Amortization of debt discount and transaction costs

6,742

   

6,360

   

26,389

   

9,507

 

Non-cash operating lease costs

5,592

   

   

19,435

   

 

Stock-based compensation expense

55,605

   

49,271

   

206,404

   

410,978

 

Deferred income taxes

1,245

   

2,346

   

1,287

   

(5,001)

 

Other

401

   

2,879

   

(1,741)

   

800

 

Changes in operating assets and liabilities

             

Accounts receivable

(78,377)

   

(43,937)

   

(63,293)

   

(42,571)

 

Contract assets

5,715

   

1,430

   

(1,508)

   

4,204

 

Prepaid expenses and other current assets

(1,106)

   

(900)

   

(3,142)

   

(3,283)

 

Deferred contract acquisition and fulfillment costs

(37,923)

   

(28,324)

   

(115,723)

   

(80,869)

 

Other assets

612

   

656

   

1,538

   

2,658

 

Accounts payable

1,543

   

(1,390)

   

3,849

   

(7,380)

 

Accrued expenses and other liabilities

4,662

   

(1,122)

   

9,353

   

6,449

 

Accrued compensation

12,329

   

23,868

   

5,636

   

26,039

 

Contract liabilities

85,957

   

65,018

   

130,266

   

100,874

 

Operating lease liabilities

(3,738)

   

   

(14,624)

   

 

Net cash provided by operating activities

45,505

   

34,137

   

115,696

   

76,086

 

Cash flows from investing activities:

             

Purchases of marketable securities

(107,318)

   

(415,132)

   

(861,252)

   

(415,132)

 

Maturities of marketable securities

166,599

   

   

627,309

   

 

Purchases of strategic investments

   

   

(15,500)

   

 

Cash paid for acquisition, net of acquired cash

   

   

   

(218,779)

 

Purchases of property and equipment

(29,975)

   

(11,317)

   

(72,046)

   

(30,413)

 

Net cash provided by (used in) investing activities

29,306

   

(426,449)

   

(321,489)

   

(664,324)

 

Cash flows from financing activities:

             

Proceeds from issuance of convertible senior notes, net of initial purchasers' discounts and transaction costs

   

   

   

560,756

 

Purchase of capped calls related to issuance of convertible senior notes

   

   

   

(67,563)

 

Proceeds from issuance of common stock in initial public offering, net of underwriting commissions

   

   

   

529,305

 

Payment of tax withholding obligation on RSU settlement

(41,216)

   

(215,332)

   

(166,504)

   

(215,332)

 

Proceeds from exercise of stock options

9,914

   

34,846

   

72,177

   

50,211

 

Proceeds from employee stock purchase plan

   

   

23,872

   

 

Payment of deferred offering costs

   

(319)

   

   

(4,011)

 

Other financing

   

(250)

   

   

(250)

 

Net cash provided by (used in) financing activities

(31,302)

   

(181,055)

   

(70,455)

   

853,116

 

Effect of foreign exchange on cash, cash equivalents and restricted cash

(137)

   

(2,955)

   

(447)

   

(4,136)

 

Net increase (decrease) in cash, cash equivalents and restricted cash

43,372

   

(576,322)

   

(276,695)

   

260,742

 

Cash, cash equivalents and restricted cash at beginning of period

198,111

   

1,094,500

   

518,178

   

257,436

 

Cash, cash equivalents and restricted cash at end of period

$

241,483

   

$

518,178

   

$

241,483

   

$

518,178

 

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