Xometry Reports Fourth Quarter and Full Year 2021 Results

Xometry, Inc. and Subsidiaries
Consolidated Statements of Cash Flows
(In thousands)

   Year Ended December 31, 
   2021   2020   2019 
Cash flows from operating activities:  (unaudited)       
Net loss $(61,381) $(31,085) $(30,994)
Adjustments to reconcile net loss to net cash used in operating activities:         
Depreciation and amortization  3,596   3,120   1,847 
Impairment of goodwill and intangible assets     1,592   1,719 
Reduction in carrying amount of right-of-use asset  1,056   1,045   647 
Stock based compensation  7,395   1,006   544 
Non-cash interest expense  111   320   259 
Loss on debt extinguishment  272       
Income from unconsolidated joint venture  (41)            
Donation of common stock     2,226              
Unrealized loss on marketable securities     2,002              
Inventory write off           (15 )     (141 )
Loss (gain) on sale of property and equipment     20             (128 )
Accretion of discount on short-term investments                 (37 )
Deferred taxes benefit     (179 )            
Changes in other assets and liabilities:                  
Accounts receivable, net     (11,117 )     (2,130 )     (5,505 )
Inventory     293       (956 )     (555 )
Prepaid expenses     (4,025 )     (210 )     (2 )
Deferred commissions     147              
Other assets     317       (469 )     (137 )
Accounts payable     5,215       (2,350 )     2,813  
Accrued expenses     (12,008 )     8,569       2,562  
Contract liabilities     (1,625 )     518       636  
Lease liabilities     (845 )     (1,004 )     (653 )
Net cash used in operating activities     (68,571 )     (22,049 )     (27,125 )
Cash flows from investing activities:                  
Purchase of marketable securities     (267,467 )            
Proceeds from sale of marketable securities     235,000              
Purchase of short-term investments           (17,711 )     (28,850 )
Proceeds from short-term investments           28,571       30,470  
Purchases of property and equipment     (6,262 )     (4,190 )     (2,693 )
Proceeds from life insurance     627              
Proceeds from sale of property and equipment                 155  
Cash paid for business combinations, net of cash acquired     (174,646 )           (1,432 )
Net cash (used in) provided by investing activities     (212,748 )     6,670       (2,350 )
Cash flows from financing activities:                  
Proceeds from issuance of Series A-2, Series B, Series C, Series D and Series E convertible preferred stock, net of issuance costs           52,409       54,929  
Repurchase of Series A-2, Series B, Series C and Series D convertible preferred stock           (12,852 )      
Deemed dividend to preferred stockholders           (8,801 )      
Proceeds from initial public offering, net of underwriters' discount     325,263              
Payments in connection with initial public offering     (3,678 )            
Proceeds from stock options exercised     2,291       518       450  
Proceeds from the exercise of warrants     40              
Proceeds from term loan           4,000        
Payment on line of credit, net                 (500 )
Repayment of term loan     (16,136 )            
Proceeds from other borrowings           4,783        
Repayment of other borrowings           (4,783 )      
Payments on finance lease obligations     (12 )     (13 )     (164 )
Net cash provided by financing activities     307,768       35,261       54,715  
Effect of foreign currency translation on cash and cash equivalents     (61 )     (130 )      
Net increase in cash and cash equivalents     26,388       19,752       25,240  
Cash and cash equivalents at beginning of the year     59,874       40,122       14,882  
Cash and cash equivalents at end of the year   $ 86,262     $ 59,874     $ 40,122  
Supplemental cash flow information:                  
Cash paid for interest   $ 907     $ 1,269     $ 1,111  
Non-cash investing activity:                  
Non-cash consideration in connection with business combination   $ 105,227     $     $ 2,743  



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