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CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
3 Months Ended
Apr. 30, 2025
Apr. 30, 2024
Cash flows from operating activities    
Net loss $ (37,626) $ (80,593)
Adjustments to reconcile net loss to net cash provided by operating activities:    
Depreciation and amortization 5,309 4,826
Stock-based compensation 132,431 120,763
Amortization of debt discount and issuance costs 0 852
Amortization of finance right-of-use assets 993 993
Amortization of operating right-of-use assets 2,758 2,479
Deferred income taxes 25 7
Amortization of premium and accretion of discount on short-term investments, net (3,800) (7,781)
Realized and unrealized loss (gain) on financial instruments, net (272) 479
Unrealized foreign exchange loss 1,970 115
Change in operating assets and liabilities:    
Accounts receivable, net 79,895 59,326
Prepaid expenses and other current assets (4,973) 1,233
Deferred commissions 7,772 (4,820)
Other long-term assets (12,593) 166
Accounts payable (2,478) (547)
Accrued liabilities (19,353) 6,526
Operating lease liabilities (2,688) (2,185)
Deferred revenue (39,624) (37,431)
Other liabilities, non-current 1,639 163
Net cash provided by operating activities 109,929 63,613
Cash flows from investing activities    
Purchases of property, equipment and other assets (1,611) (539)
Business combination, net of cash acquired (2,032) 0
Investments in non-marketable securities (4,822) 0
Proceeds from maturities of marketable securities 198,660 125,000
Purchases of marketable securities (138,624) (172,604)
Net cash provided by (used in) investing activities 51,571 (48,143)
Cash flows from financing activities    
Proceeds from exercise of stock options 579 953
Principal payments of finance leases (2,394) (2,093)
Net cash used in financing activities (1,815) (1,140)
Effect of exchange rate changes on cash, cash equivalents and restricted cash 8,000 (1,583)
Net increase in cash, cash equivalents and restricted cash 167,685 12,747
Cash, cash equivalents and restricted cash, beginning of period 492,753 803,643
Cash, cash equivalents and restricted cash, end of period 660,438 816,390
Supplemental cash flow disclosure    
Issuance of common stock in connection with a business combination 141,402 0
Purchases of property and equipment included in accounts payable and accrued liabilities 274 918
Cash paid during the period for:    
Income taxes, net of refunds 3,899 2,973
Interest expense 510 599
Reconciliation of cash, cash equivalents and restricted cash within the condensed consolidated balance sheets, end of period, to the amounts shown in the statements of cash flows above:    
Cash and cash equivalents 657,809 815,704
Restricted cash, non-current 2,629 686
Total cash, cash equivalents and restricted cash $ 660,438 $ 816,390