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Balance Sheet Components (Tables)
3 Months Ended
Apr. 04, 2020
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Deferred Revenue Balances
Changes in the total short-term and long-term deferred revenue balances were as follows (in thousands):
Three Months Ended
April 4, 2020
Beginning balances$40,842  
Deferral of revenue12,098  
Recognition of deferred revenue(14,298) 
Ending balances$38,642  
Schedule of accounts receivable reserves
Revenue returns reserve activities were as follows (in thousands):
Three Months Ended
April 4, 2020
March 30, 2019
Beginning balances$101,326  $104,001  
Increases (1)
33,104  31,259  
Returns taken (57,189) (59,262) 
Ending balances$77,241  $75,998  
(1)Increases in the revenue returns reserve include provisions for open box returns and stock rotations.
Schedule of inventories
Inventories consisted of the following (in thousands)
    
April 4, 2020
December 31, 2019
   
Components$1,461  $5,397  
Finished goods104,284  131,355  
Total inventories$105,745  $136,752  
Schedule of prepaid expenses and other current asset
Prepaid expenses and other current assets consisted of the following (in thousands):
    
April 4, 2020
December 31, 2019
Tariff receivable$28,854  $—  
Prepaid expenses 10,616  11,219  
Prepaid marketing2,796  3,347  
Derivative asset36  —  
Other14,392  14,090  
Total prepaid expenses and other current assets$56,694  $28,656  
Schedule of property and equipment
Property and equipment, net, consisted of the following (in thousands):
 
    
April 4, 2020
December 31, 2019
Tooling and manufacturing equipment$105,753  $103,177  
Furniture and office equipment20,249  19,922  
Purchased and internally-developed software28,401  27,424  
Leasehold improvements60,087  59,926  
Total property and equipment214,490  210,449  
Less: Accumulated depreciation and amortization(138,272) (127,693) 
Property and equipment, net$76,218  $82,756  
Schedule of intangible assets (excluding goodwill)
The carrying amounts of the intangible assets as of April 4, 2020 and December 31, 2019 were as follows (in thousands):
 
April 4, 2020
December 31, 2019
    GrossAccumulated AmortizationNetGrossAccumulated AmortizationNet
    
Developed technology$37,813  $(26,450) $11,363  $37,813  $(23,910) $13,903  
Customer relationships3,918  (2,564) 1,354  3,790  (991) 2,799  
Trademarks and other1,150  (1,150) —  1,278  (1,234) 44  
Total intangible assets, net$42,881  $(30,164) $12,717  $42,881  $(26,135) $16,746  
Schedule of estimated future amortization expense
The estimated future amortization expense of acquired finite-lived intangible assets to be charged to cost of revenue and operating expenses after April 4, 2020 is as follows (in thousands):
    Cost of RevenueOperating ExpensesTotal
   
Remaining 2020$4,199  $1,620  $5,819  
20215,037  56  5,093  
20221,488  56  1,544  
2023—  56  56  
2024—  56  56  
Thereafter—  149  149  
Total finite-lived intangible assets, net$10,724  $1,993  $12,717  
Schedule of accrued liabilities
Accrued liabilities consisted of the following (in thousands):
 
April 4, 2020
December 31, 2019
Accrued sales incentives$117,428  $156,839  
Sales returns reserve77,241  101,326  
Product warranty48,851  52,403  
Employee-related liabilities23,282  37,355  
Accrued manufacturing expense and freight18,972  35,112  
Accrued research and development18,470  19,232  
Accrued co-op advertising and marketing development funds17,880  40,689  
Accrued legal settlements and fees14,041  8,854  
Accrued sales and marketing11,640  26,781  
Sales taxes and VAT payable10,218  19,603  
Inventory received but not billed5,493  1,669  
Finance lease liabilities1,384  1,384  
Derivative liabilities10  748  
Other11,620  11,535  
Accrued liabilities$376,530  $513,530  
Schedule of product warranty reserves
Product warranty reserve activities were as follows (in thousands):
Three Months Ended
 
April 4, 2020
March 30, 2019
Beginning balances$52,403  $45,605  
Charged to cost of revenue 6,974  8,238  
Changes related to pre-existing warranties1,027  4,747  
Settlement of claims (11,553) (10,556) 
Ending balances$48,851  $48,034