Annual report pursuant to Section 13 and 15(d)

Composition of Certain Financial Statement Captions (Tables)

v3.3.1.900
Composition of Certain Financial Statement Captions (Tables)
12 Months Ended
Dec. 31, 2015
Composition of Certain Financial Statement Captions  
Schedule of cash, cash equivalents and investments
Cash, cash equivalents and investments consisted of the following:
 
 
As of December 31,
 
2014
 
2015
 
(in thousands)
Cash and cash equivalents
 

 
 

Cash
$
72,487

 
$
104,361

Money market funds
89,113

 
180,021

Commercial paper
9,349

 
31,089

Corporate debt securities
5,008

 
2,000

U.S. government and government agency debt securities

 
17,196

Total cash and cash equivalents
$
175,957

 
$
334,667

Short-term investments
 

 
 

Commercial paper
$
45,443

 
$
4,792

Corporate debt securities
128,691

 
31,052

U.S. government and government agency debt securities
4,497

 

Total short-term investments
$
178,631

 
$
35,844

Long-term investments
 

 
 

Corporate debt securities
$
100,998

 
$
46,369

U.S. government and government agency debt securities
3,245

 

Total long-term investments
$
104,243

 
$
46,369

Total cash, cash equivalents and investments
$
458,831

 
$
416,880

Summary of available-for-sale securities' adjusted cost, gross unrealized gains, gross unrealized losses and fair value by significant investment category
The following tables summarizes our available-for-sale securities’ adjusted cost, gross unrealized gains, gross unrealized losses and fair value by significant investment category as of December 31, 2014 and 2015.
 
 
As of December 31, 2014
 
Adjusted
Cost
 
Unrealized
Gains
 
Unrealized
Losses
 
Fair
Value
 
(in thousands)
Cash equivalents and marketable securities
 
 
 
 
 
 
 
Money market funds
$
89,113

 
$

 
$

 
$
89,113

Commercial paper
54,792

 

 

 
54,792

Corporate debt securities
235,135

 
6

 
(444
)
 
234,697

U.S. government and government agency debt securities
7,751

 

 
(9
)
 
7,742

Total cash equivalents and marketable securities
$
386,791

 
$
6

 
$
(453
)
 
$
386,344


 
As of December 31, 2015
 
Adjusted
Cost
 
Unrealized
Gains
 
Unrealized
Losses
 
Fair
Value
 
(in thousands)
Cash equivalents and marketable securities
 
 
 
 
 
 
 
Money market funds
$
180,021

 
$

 
$

 
$
180,021

Commercial paper
35,881

 

 

 
35,881

Corporate debt securities
79,760

 
8

 
(347
)
 
79,421

U.S. government and government agency debt securities
17,198

 

 
(2
)
 
17,196

Total cash equivalents and marketable securities
$
312,860

 
$
8

 
$
(349
)
 
$
312,519

Schedule of available-for-sale investments by contractual maturity date
The following tables present available-for-sale investments by contractual maturity date as of December 31, 2014 and 2015:
 
 
As of December 31, 2014
 
Adjusted
Cost
 
Fair Value
 
(in thousands)
Due in one year or less
$
282,206

 
$
282,101

Due after one year through three years
104,585

 
104,243

Total
$
386,791

 
$
386,344

 
As of December 31, 2015
 
Adjusted
Cost
 
Fair Value
 
(in thousands)
Due in one year or less
$
266,205

 
$
266,150

Due after one year through three years
46,655

 
46,369

Total
$
312,860

 
$
312,519

Summary of available-for-sale securities' fair value and gross unrealized losses
The following tables summarize our available-for-sale securities’ fair value and gross unrealized losses aggregated by investment category and length of time that the individual securities have been in a continuous unrealized loss position as of December 31, 2014 and 2015:

 
As of December 31, 2014
 
Twelve Months or Less
 
More than Twelve Months
 
Total
 
Fair
Value
 
Gross Unrealized Losses
 
Fair
Value
 
Gross Unrealized Losses
 
Fair
Value
 
Gross Unrealized Losses
 
(in thousands)
Money market funds
$

 
$

 
$

 
$

 
$

 
$

Commercial paper

 

 

 

 

 

Corporate debt securities
192,699

 
(422
)
 
12,148

 
(22
)
 
204,847

 
(444
)
U.S. government and government agency debt securities
5,240

 
(9
)
 

 

 
5,240

 
(9
)
Total
$
197,939

 
$
(431
)
 
$
12,148

 
$
(22
)
 
$
210,087

 
$
(453
)

 
As of December 31, 2015
 
Twelve Months or Less
 
More than Twelve Months
 
Total
 
Fair
Value
 
Gross Unrealized Losses
 
Fair
Value
 
Gross Unrealized Losses
 
Fair
Value
 
Gross Unrealized Losses
 
(in thousands)
Money market funds
$

 
$

 
$

 
$

 
$

 
$

Commercial paper

 

 

 

 

 

Corporate debt securities
64,804

 
(293
)
 
8,531

 
(54
)
 
73,335

 
(347
)
U.S. government and government agency debt securities
16,241

 
(2
)
 

 

 
16,241

 
(2
)
Total
$
81,045

 
$
(295
)
 
$
8,531

 
$
(54
)
 
$
89,576

 
$
(349
)

Schedule of accounts receivable, net
Accounts receivable, net consisted of the following as of December 31, 2014 and 2015:

 
As of December 31,
 
2014
 
2015
 
(in thousands)
Accounts receivable, net
 
 
 
Accounts receivable
$
219,655

 
$
279,240

Allowance for doubtful accounts
(1,218
)
 
(2,165
)
Total accounts receivable, net
$
218,437

 
$
277,075

Schedule of allowance for doubtful accounts
The following table summarizes our beginning allowance for doubtful accounts balance for each period, additions, write-offs net of recoveries and the balance at the end of each period for the eleven months ended December 31, 2013, the twelve months ended December 31, 2014 and the twelve months ended December 31, 2015:

Allowance for Doubtful Accounts
Balance at Beginning of Period
 
Additions
 
Write-offs, Net of Recoveries
 
Balance at End of Period
 
(in thousands)
For the eleven months ended December 31, 2013
$
761

 
948

 
(437
)
 
$
1,272

For the twelve months ended December 31, 2014
$
1,272

 
1,064

 
(1,118
)
 
$
1,218

For the twelve months ended December 31, 2015
$
1,218

 
2,085

 
(1,138
)
 
$
2,165

Schedule of prepaid and other current assets
Prepaid and other current assets consisted of the following as of December 31, 2014 and 2015:

 
As of December 31,
 
2014
 
2015
 
(in thousands)
Prepaid and other current assets
 

 
 

Other current assets
$
8,520

 
$
15,821

Prepaid expenses
6,169

 
13,908

Ticketing contract advance - short term, net

 
4,092

Prepaid royalties
700

 
2,099

Total prepaid and other current assets
$
15,389

 
$
35,920

Schedule of other long-term assets
Other long-term assets consisted of the following as of December 31, 2014 and 2015:
 
As of December 31,
 
2014
 
2015
 
(in thousands)
Other long-term assets
 

 
 

Other
$
1,826

 
$
10,929

Ticketing contract advance - long-term

 
9,824

Long-term security deposits
4,947

 
9,039

Total other long-term assets
$
6,773

 
$
29,792

Schedule of property and equipment, net
Property and equipment, net consisted of the following as of December 31, 2014 and 2015:

 
As of December 31,
 
2014
 
2015
 
(in thousands)
Property and equipment, net
 
 
 
Servers, computers and other related equipment
$
39,890

 
$
57,309

Leasehold improvements
25,893

 
35,947

Office furniture and equipment
2,721

 
5,470

Construction in progress
5,075

 
12,550

Software developed for internal use
4,519

 
10,239

Total property and equipment
$
78,098

 
$
121,515

Less accumulated depreciation and amortization
(35,177
)
 
(55,145
)
Total property and equipment, net
$
42,921

 
$
66,370

Schedule of other current liabilities
Other current liabilities consisted of the following as of December 31, 2014 and 2015:

 
As of December 31,
 
2014
 
2015
 
(in thousands)
Other current liabilities
 
 
 
Ticketing amounts due to clients
$

 
$
13,104

Other

 
2,528

Total other current liabilities
$

 
$
15,632

Schedule of other long-term liabilities
Other long-term liabilities consisted of the following as of December 31, 2014 and 2015:
 
As of December 31,
 
2014

2015
 
(in thousands)
Other long-term liabilities
 
 
 
Long-term deferred rent
$
15,068

 
$
23,662

Other
1,705

 
7,200

Total other long-term liabilities
$
16,773

 
$
30,862