0001517413-22-000157.txt : 20221102 0001517413-22-000157.hdr.sgml : 20221102 20221102160759 ACCESSION NUMBER: 0001517413-22-000157 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 15 CONFORMED PERIOD OF REPORT: 20221102 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20221102 DATE AS OF CHANGE: 20221102 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Fastly, Inc. CENTRAL INDEX KEY: 0001517413 STANDARD INDUSTRIAL CLASSIFICATION: SERVICES-PREPACKAGED SOFTWARE [7372] IRS NUMBER: 275411834 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-38897 FILM NUMBER: 221354069 BUSINESS ADDRESS: STREET 1: 475 BRANNAN STREET 2: SUITE 300 CITY: SAN FRANCISCO STATE: CA ZIP: 94107 BUSINESS PHONE: 415-525-3481 MAIL ADDRESS: STREET 1: 475 BRANNAN STREET 2: SUITE 300 CITY: SAN FRANCISCO STATE: CA ZIP: 94107 FORMER COMPANY: FORMER CONFORMED NAME: Skycache, Inc.(DE) DATE OF NAME CHANGE: 20110405 8-K 1 fsly-20221102.htm 8-K fsly-20221102
0001517413false00015174132022-11-022022-11-02

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549 
FORM 8-K
CURRENT REPORT

Pursuant to Section 13 or 15(d)
of the Securities Exchange Act of 1934
Date of Report (Date of earliest event reported): November 2, 2022 
FASTLY, INC.
(Exact name of Registrant as Specified in Its Charter)
 
Delaware001-3889727-5411834
(State or other jurisdiction of
incorporation or organization)
(Commission File Number)(I.R.S. Employer
Identification Number)

475 Brannan Street, Suite 300
San Francisco, CA 94107
(Address of principal executive offices) (Zip code)
(844) 432-7859
(Registrant’s Telephone Number, Including Area Code)
Not Applicable
(Former Name or Former Address, if Changed Since Last Report) 
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions (see General Instructions A.2. below):
Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))
Securities registered pursuant to Section 12(b) of the Act:
Title of each class Trading
Symbol(s)
 Name of each exchange
on which registered
Class A Common Stock, $0.00002 par value “FSLY” New York Stock Exchange
Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).
Emerging growth company  
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.  ☐







Item 2.02                   Results of Operations and Financial Condition.

On November 2, 2022, Fastly, Inc. (the "Company") announced its financial results for the quarter ended September 30, 2022 by issuing a press release. A copy of the press release is attached hereto as Exhibit 99.1 and is incorporated herein by reference.

Attached hereto as Exhibit 99.2 and incorporated by reference herein is the Company’s investor supplement, regarding results of the quarter ended September 30, 2022 (the “Investor Supplement”). The Investor Supplement will be posted to http://investors.fastly.com immediately after the filing of this Form 8-K.

The information furnished on this Form 8-K, including the exhibits attached, shall not be deemed "filed" for purposes of Section 18 of the Securities Exchange Act of 1934, as amended (the "Exchange Act"), or otherwise subject to the liabilities of that section, nor shall it be deemed incorporated by reference into any filing under the Securities Act of 1933, as amended, or the Exchange Act, except as shall be expressly set forth by specific reference in such a filing.



Item 9.01                   Financial Statements and Exhibits.
 
(d)Exhibits
 





SIGNATURE
Pursuant to the requirements of the Securities Exchange Act of 1934, as amended, the Registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
 
FASTLY, INC.
Dated:November 2, 2022 By: /s/ Ronald W. Kisling
   Ronald W. Kisling
   Chief Financial Officer


EX-99.1 2 ex991-fslypressrelease93022.htm EX-99.1 Document

Exhibit 99.1
Fastly Announces Third Quarter 2022 Financial Results

Record quarterly revenue exceeded high-end of quarterly guidance range and grew 25% annually compared to prior quarter
GAAP gross margin grew 370 bps sequentially; non-GAAP gross margin grew 320 basis points sequentially
Average enterprise customer spend grew 4% sequentially


SAN FRANCISCO, November 2, 2022 — Fastly, Inc. (NYSE: FSLY), the world’s fastest edge cloud platform, today announced financial results for its third quarter ended September 30, 2022.

“We are pleased to announce another record quarter, continuing our revenue momentum into 2022 and exceeding the top end of our guidance range while improving our gross margin significantly,” said Todd Nightingale, CEO of Fastly.

“I’m excited that Fastly’s platform and differentiated products are driving both amazing new customer acquisition and increased existing customer usage,” continued Nightingale. “Our portfolio expansion strategy is working and we will be focusing our efforts on accelerating our cross-selling motion to drive growth into 2023.”

Three months ended
September 30,
Nine months ended
September 30,
2022202120222021
Revenue$108,504 $86,735 $313,404 $256,613 
Gross Margin
GAAP gross margin48.6 %52.4 %47.0 %53.6 %
Non-GAAP gross margin53.6 %57.5 %52.2 %58.4 %
Operating loss
GAAP operating loss$(65,765)$(54,934)$(197,737)$(162,365)
Non-GAAP operating loss$(19,841)$(12,935)$(64,474)$(43,400)
Net loss per share
GAAP net loss per common share—basic and diluted$(0.52)$(0.48)$(1.19)$(1.43)
Non-GAAP net loss per common share—basic and diluted$(0.14)$(0.11)$(0.52)$(0.38)

Third Quarter 2022 Financial Summary

Total revenue of $108.5 million, representing 6% sequential growth and 25% year-over-year growth.
GAAP gross margin of 48.6%, compared to 52.4% in the third quarter of 2021. Non-GAAP gross margin of 53.6%, compared to 57.5% in the third quarter of 2021.
GAAP net loss of $63.4 million, compared to $56.2 million in the third quarter of 2021. Non-GAAP net loss of $16.8 million, compared to $13.2 million in the third quarter of 2021.
GAAP net loss per basic and diluted shares of $0.52 compared to $0.48 in the third quarter of 2021. Non-GAAP net loss per basic and diluted shares of $0.14, compared to $0.11 in the third quarter of 2021.
Key Metrics
Trailing 12-month net retention rate (NRR LTM)1 increased to 118% in the third quarter from 117% in the second quarter 2022.
Dollar-Based Net Expansion Rate (DBNER)2 increased to 122% in the third quarter from 120% in the second quarter 2022.
Total customer count of 2,925 in the third quarter, of which 482 were enterprise3 customers.
Average enterprise customer spend of $759K in the third quarter, up 4% quarter-over-quarter.

For a reconciliation of non-GAAP financial measures to their corresponding GAAP measures, please refer to the reconciliation table at the end of this press release.









Third Quarter Business Highlights

Todd Nightingale joined Fastly as CEO, bringing his experience from Cisco where he led business strategy and development efforts for its multi-billion dollar networking portfolio as Executive VP and GM of Enterprise Networking and Cloud.
Named a Challenger in Gartner® Magic Quadrant™ for Web Application and API Protection (WAAP). Along with our recent recognition as the Customers’ Choice for Web Application and API Protection for a fourth consecutive year, this validates Fastly’s first and only unified solution that protects Internet scale in any environment.
Introduced the AWS Lambda agent for the Fastly Next-Gen WAF, further enhancing the ability to deploy Fastly’s Next-Gen WAF in more places and to support serverless and FaaS initiatives with one of the most popular serverless solutions on the market.
Released general availability of a frictionless security solution, GraphQL inspection with Next-Gen WAF, supporting popular GraphQL APIs with GraphQL visibility and protection available right out of the box. Several customers in media streaming, financial services, and ecommerce achieve threat protection on their GraphQL with our turnkey solution.
Selected by AWS as VIP Marketing Accelerate Partner to expand sales and distribution of Fastly Next-Gen WAF.


Fourth Quarter and Full Year 2022 Guidance

Q4 2022Full Year 2022
Total Revenue (millions)$112 - $116$425 - $429
Non-GAAP Operating Loss (millions)($18.0) - ($14.0)($82) - ($78)
Non-GAAP Net Loss per share (4)(5)
($0.15) - ($0.11)($0.67) - ($0.63)
A reconciliation of non-GAAP guidance measures to corresponding GAAP measures is not available on a forward-looking basis without unreasonable effort due to the uncertainty of expenses that may be incurred in the future and cannot be reasonably determined or predicted at this time, although it is important to note that these factors could be material to Fastly’s future GAAP financial results.

Conference Call Information

Fastly will host an investor conference call to discuss its results at 1:30 p.m. PT / 4:30 p.m. ET on Wednesday, November 2, 2022.

Date: Wednesday, November 2, 2022
Time: 1:30 p.m. PT / 4:30 p.m. ET
Webcast: https://investors.fastly.com
Dial-in: 888-330-2022 (US/CA) or 646-960-0690 (Intl.)
Conf. ID#: 7543239

Please dial in at least 10 minutes prior to the 1:30 p.m. PT start time. A live webcast of the call will be available at https://investors.fastly.com where listeners may log on to the event by selecting the webcast link under the “Quarterly Results” section.

A telephone replay of the conference call will be available at approximately 5:00 p.m. PT, November 2 through November 16, 2022 by dialing 800-770-2030 or 647-362-9199 and entering the passcode 7543239.


About Fastly
Fastly’s powerful and programmable edge cloud platform helps the world’s top brands deliver the fastest online experiences possible, while improving site performance, enhancing security, and empowering innovation at global scale. With world-class support that achieves 95%+ average annual customer satisfaction ratings, Fastly’s beloved suite of edge compute, delivery, and security offerings has been recognized as a leader by industry analysts such as IDC, Forrester and Gartner. Compared to legacy providers, Fastly’s powerful and modern network architecture is the fastest on the planet, empowering developers to deliver secure websites and apps at global scale with rapid time-to-market and industry-leading cost savings. Thousands of the world’s most prominent organizations trust Fastly to help them upgrade the internet experience, including Reddit, Pinterest, Stripe, Neiman Marcus, The New York Times, Epic Games, and GitHub. Learn more about Fastly at https://www.fastly.com/, and follow us @fastly.










Forward-Looking Statements

This press release contains “forward-looking” statements that are based on our beliefs and assumptions and on information currently available to us on the date of this press release. Forward-looking statements may involve known and unknown risks, uncertainties, and other factors that may cause our actual results, performance, or achievements to be materially different from those expressed or implied by the forward-looking statements. These statements include, but are not limited to, statements regarding our future financial and operating performance, including our outlook and guidance, the demand for our platform, and our ability to deliver on our long-term strategy. Except as required by law, we assume no obligation to update these forward-looking statements publicly or to update the reasons actual results could differ materially from those anticipated in the forward-looking statements, even if new information becomes available in the future. Important factors that could cause our actual results to differ materially are detailed from time to time in the reports Fastly files with the Securities and Exchange Commission (“SEC”), including in our Annual Report on Form 10-K for the fiscal year ended December 31, 2021. Additional information will also be set forth in our Quarterly Report on Form 10-Q for the fiscal quarter ended September 30, 2022. Copies of reports filed with the SEC are posted on Fastly’s website and are available from Fastly without charge.

Use of Non-GAAP Financial Measures
To supplement our condensed consolidated financial statements, which are prepared and presented in accordance with accounting principles generally accepted in the United States ("GAAP"), the Company uses the following non-GAAP measures of financial performance: non-GAAP gross profit, non-GAAP gross margin, non-GAAP operating loss, non-GAAP net loss, non-GAAP basic and diluted net loss per common share, non-GAAP research and development, non-GAAP sales and marketing, non-GAAP general and administrative, free cash flow and adjusted EBITDA. The presentation of this additional financial information is not intended to be considered in isolation from, as a substitute for, or superior to, the financial information prepared and presented in accordance with GAAP. These non-GAAP measures have limitations in that they do not reflect all of the amounts associated with our results of operations as determined in accordance with GAAP. In addition, these non-GAAP financial measures may be different from the non-GAAP financial measures used by other companies. These non-GAAP measures should only be used to evaluate our results of operations in conjunction with the corresponding GAAP measures. Management compensates for these limitations by reconciling these non-GAAP financial measures to the most comparable GAAP financial measures within our earnings releases.
Non-GAAP gross profit, non-GAAP gross margin, non-GAAP operating loss, non-GAAP net loss and non-GAAP basic and diluted net loss per common share, non-GAAP research and development, non-GAAP sales and marketing, and non-GAAP general and administrative differ from GAAP in that they exclude stock-based compensation expense, amortization of acquired intangible assets, acquisition-related expenses, executive transition costs, net gain on extinguishment of debt and amortization of debt discount and issuance costs.

Adjusted EBITDA: excludes stock-based compensation expense, depreciation and other amortization expenses, amortization of acquired intangible assets, acquisition-related expenses, executive transition costs, interest income, interest expense, including amortization of debt discount and issuance costs, net gain on extinguishment of debt, other income (expense), net, and income taxes.

Acquisition-related Expenses: consists of acquisition-related charges that are not related to ongoing operations. Management considers its operating results without this activity when evaluating its ongoing non-GAAP net loss performance and its adjusted EBITDA performance because these charges may not be reflective of our core business, ongoing operating results, or future outlook.

Amortization of Acquired Intangible Assets: consists of non-cash charges that can be affected by the timing and magnitude of asset purchases and acquisitions. Management considers its operating results without this activity when evaluating its ongoing non-GAAP performance and its adjusted EBITDA performance because these charges are non-cash expenses that can be affected by the timing and magnitude of asset purchases and acquisitions and may not be reflective of our core business, ongoing operating results, or future outlook.






Amortization of Debt Discount and Issuance Costs: consists primarily of amortization expense related to our debt obligations. Management considers its operating results without this activity when evaluating its ongoing non-GAAP net loss performance and its adjusted EBITDA performance because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook. These are included in our total interest expense.

Capital Expenditures: consists of cash used for purchases of property and equipment, net of proceeds from sale of property and equipment, capitalized internal-use software and payments on finance lease obligations, as reflected in our statement of cash flows.

Depreciation and Other Amortization Expense: consists of non-cash charges that can be affected by the timing and magnitude of asset purchases. Management considers its operating results without this activity when evaluating its ongoing adjusted EBITDA performance because these charges are non-cash expenses that can be affected by the timing and magnitude of asset purchases and may not be reflective of our core business, ongoing operating results, or future outlook.

Executive Transition costs: consists of one-time cash and non-cash charges recognized with respect to changes in our executive’s employment status. Management considers its operating results without this activity when evaluating its ongoing non-GAAP net loss performance and its adjusted EBITDA performance because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook.

Free Cash Flow: calculated as net cash used in operating activities less capital expenditures, including any advance payments made related to capital expenditures.

Income Taxes: consists primarily of expenses recognized related to state and foreign income taxes. Management considers its operating results without this activity when evaluating its ongoing adjusted EBITDA performance because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook.
Interest Expense: consists primarily of interest expense related to our debt instruments, including amortization of debt discount and issuance costs. Management considers its operating results without this activity when evaluating its ongoing adjusted EBITDA performance because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook.
Interest Income: consists primarily of interest income related to our marketable securities. Management considers its operating results without this activity when evaluating its ongoing adjusted EBITDA performance because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook.
Net Gain on Debt Extinguishment: relates to net gain on the partial repurchase of our outstanding convertible debt. Management considers its operating results without this activity when evaluating its ongoing non-GAAP net loss performance and its adjusted EBITDA performance because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook.
Other Income (Expense), Net: consists primarily of foreign currency transaction gains and losses. Management considers its operating results without this activity when evaluating its ongoing adjusted EBITDA performance because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook.
Stock-based Compensation Expense: consists of expenses for stock options, restricted stock units, performance awards, restricted stock awards and Employee Stock Purchase Plan ("ESPP") under our equity incentive plans. Although stock-based compensation is an expense for the Company and is viewed as a form of compensation, management considers its operating results without this activity when evaluating its ongoing non-GAAP net loss performance and its adjusted EBITDA performance, primarily because it is a non-cash expense not believed by management to be reflective of our core business, ongoing operating results, or future outlook. In addition, the value of some stock-based instruments is determined using formulas that incorporate variables, such as market volatility, that are beyond our control.
Management believes these non-GAAP financial measures and adjusted EBITDA serve as useful metrics for our management and investors because they enable a better understanding of the long-term performance of our core business and facilitate comparisons of our operating results over multiple periods and to those of peer companies, and when taken together with the corresponding GAAP financial measures and our reconciliations, enhance investors' overall understanding of our current financial performance.







Key Metrics
1 We calculate LTM Net Retention Rate by dividing the total customer revenue for the prior twelve-month period (“prior 12-month period”) ending at the beginning of the last twelve-month period (“LTM period”) minus revenue contraction due to billing decreases or customer churn, plus revenue expansion due to billing increases during the LTM period from the same customers by the total prior 12-month period revenue. We believe the LTM Net Retention Rate is supplemental as it removes some of the volatility that is inherent in a usage-based business model.
2 We calculate Dollar-Based Net Expansion Rate by dividing the revenue for a given period from customers who remained customers as of the last day of the given period (the “current” period) by the revenue from the same customers for the same period measured one year prior (the “base” period). The revenue included in the current period excludes revenue from (i) customers that churned after the end of the base period and (ii) new customers that entered into a customer agreement after the end of the base period.
3 Enterprise customers are defined as those spending $100,000 or more in the trailing twelve-month period.
4 Assumes weighted average basic shares outstanding of 123.6 million in Q4 2022 and 121.6 million for the full year 2022.
5 Non-GAAP Net Loss per share is calculated as Non-GAAP Net Loss divided by weighted average basic shares for 2022.










































Condensed Consolidated Statements of Operations
(in thousands, except per share amounts, unaudited)
Three months ended
September 30,
Nine months ended
September 30,
2022202120222021
Revenue$108,504 $86,735 $313,404 $256,613 
Cost of revenue(1)
55,825 41,244 166,206 119,058 
Gross profit52,679 45,491 147,198 137,555 
Operating expenses:
Research and development(1)
38,957 32,528 118,111 91,862 
Sales and marketing(1)
47,006 39,288 135,246 110,494 
General and administrative(1)
32,481 28,609 91,578 97,564 
Total operating expenses118,444 100,425 344,935 299,920 
Loss from operations(65,765)(54,934)(197,737)(162,365)
Net gain on extinguishment of debt— — 54,391 — 
Interest income1,967 280 4,150 730 
Interest expense(1,381)(1,555)(4,533)(3,652)
Other income (expense)1,877 41 (75)155 
Loss before income taxes(63,302)(56,168)(143,804)(165,132)
Income tax expense 118 30 317 44 
Net loss$(63,420)$(56,198)$(144,121)$(165,176)
Net income (loss) per share attributable to common stockholders, basic and diluted$(0.52)$(0.48)$(1.19)$(1.43)
Weighted-average shares used in computing net income (loss) per share attributable to common stockholders, basic and diluted122,339 116,475 121,094 115,320 

__________

(1)Includes stock-based compensation expense as follows:
Three months ended
September 30,
Nine months ended
September 30,
2022202120222021
Cost of revenue$2,978 $1,897 $9,112 $4,911 
Research and development14,488 14,752 46,966 31,344 
Sales and marketing10,920 9,121 31,198 19,760 
General and administrative10,992 10,866 27,102 44,885 
Total$39,378 $36,636 $114,378 $100,900 

























Reconciliation of GAAP to Non-GAAP Financial Measures
(in thousands, unaudited)
Three months ended
September 30,
Nine months ended
September 30,
2022202120222021
Gross Profit
GAAP gross profit$52,679 $45,491 $147,198 $137,555 
Stock-based compensation2,978 1,897 9,112 4,911 
Amortization of acquired intangible assets2,475 2,475 7,425 7,425 
Non-GAAP gross profit$58,132 $49,863 $163,735 $149,891 
GAAP gross margin48.6 %52.4 %47.0 %53.6 %
Non-GAAP gross margin53.6 %57.5 %52.2 %58.4 %
Research and development
GAAP research and development$38,957 $32,528 $118,111 $91,862 
Stock-based compensation(14,488)(14,752)(46,966)(31,344)
Non-GAAP research and development$24,469 $17,776 $71,145 $60,518 
Sales and marketing
GAAP sales and marketing$47,006 $39,288 $135,246 $110,494 
Stock-based compensation(10,920)(9,121)(31,198)(19,760)
Amortization of acquired intangible assets(2,897)(2,709)(8,316)(8,234)
Non-GAAP sales and marketing$33,189 $27,458 $95,732 $82,500 
General and administrative
GAAP general and administrative$32,481 $28,609 $91,578 $97,564 
Stock-based compensation(7,959)(10,866)(24,069)(44,885)
Executive transition costs(4,207)— (4,207)— 
Acquisition-related expenses— (179)(1,970)(2,406)
Non-GAAP general and administrative$20,315 $17,564 $61,332 $50,273 
Operating loss
GAAP operating loss$(65,765)$(54,934)$(197,737)$(162,365)
Stock-based compensation36,345 36,636 111,345 100,900 
Executive transition costs4,207 — 4,207 — 
Amortization of acquired intangible assets5,372 5,184 15,741 15,659 
Acquisition-related expenses— 179 1,970 2,406 
Non-GAAP operating loss$(19,841)$(12,935)$(64,474)$(43,400)
Net loss
GAAP net loss$(63,420)$(56,198)$(144,121)$(165,176)
Stock-based compensation36,345 36,636 111,345 100,900 
Executive transition costs4,207 — 4,207 — 
Amortization of acquired intangible assets5,372 5,184 15,741 15,659 
Acquisition-related expenses— 179 1,970 2,406 
Net gain on extinguishment of debt — — (54,391)— 
Amortization of debt discount and issuance costs714 967 2,453 1,960 
Non-GAAP loss$(16,782)$(13,232)$(62,796)$(44,251)
Non-GAAP net loss per common share—basic and diluted$(0.14)$(0.11)$(0.52)$(0.38)
Weighted average basic and diluted common shares122,339116,475121,094115,320





Three months ended
September 30,
Nine months ended
September 30,
2022202120222021
Adjusted EBITDA
GAAP net loss$(63,420)$(56,198)$(144,121)$(165,176)
Stock-based compensation36,345 36,636 111,345 100,900 
Executive transition costs4,207 — 4,207 — 
Depreciation and other amortization10,786 7,489 31,621 20,980 
Amortization of acquired intangible assets5,372 5,184 15,741 15,659 
Acquisition-related expenses— 179 1,970 2,406 
Interest income(1,967)(280)(4,150)(730)
Interest expense667 588 2,080 1,692 
Amortization of debt discount and issuance costs714 967 2,453 1,960 
Net gain on extinguishment of debt — — (54,391)— 
Other expense (income)(1,877)(41)75 (155)
Income tax expense118 30 317 44 
Adjusted EBITDA$(9,055)$(5,446)$(32,853)$(22,420)





Condensed Consolidated Balance Sheets
(in thousands)
As of
September 30, 2022
As of
December 31, 2021
(unaudited)(audited)
ASSETS
Current assets:
Cash and cash equivalents$87,897 $166,068 
Marketable securities, current445,048 361,795 
Accounts receivable, net of allowance for credit losses72,914 64,625 
Prepaid expenses and other current assets31,321 32,160 
Total current assets637,180 624,648 
Property and equipment, net179,080 166,961 
Operating lease right-of-use assets, net72,374 69,631 
Goodwill670,158 636,805 
Intangible assets, net88,482 102,596 
Marketable securities, non-current186,066 528,911 
Other assets73,258 29,468 
Total assets$1,906,598 $2,159,020 
LIABILITIES AND STOCKHOLDERS’ EQUITY
Current liabilities:
Accounts payable$8,265 $9,257 
Accrued expenses54,186 36,112 
Finance lease liabilities, current27,807 21,125 
Operating lease liabilities, current20,919 20,271 
Other current liabilities33,422 45,107 
Total current liabilities144,599 131,872 
Long-term debt704,042 933,205 
Finance lease liabilities, noncurrent21,027 22,293 
Operating lease liabilities, noncurrent62,750 55,114 
Other long-term liabilities7,201 2,583 
Total liabilities939,619 1,145,067 
Stockholders’ equity:
Class A common stock
Additional paid-in capital1,634,666 1,527,468 
Accumulated other comprehensive loss(12,678)(2,627)
Accumulated deficit(655,011)(510,890)
Total stockholders’ equity 966,979 1,013,953 
Total liabilities and stockholders’ equity $1,906,598 $2,159,020 








Condensed Consolidated Statements of Cash Flows
(in thousands, unaudited)
Three months ended
September 30,
Nine months ended
September 30,
2022202120222021
Cash flows from operating activities:
Net loss$(63,420)$(56,198)$(144,121)$(165,176)
Adjustments to reconcile net loss to net cash used in operating activities:
Depreciation expense10,662 7,364 31,248 20,710 
Amortization of intangible assets5,496 5,309 16,114 15,929 
Amortization of right-of-use assets and other8,501 7,158 21,879 19,818 
Amortization of debt discount and issuance costs715 966 2,454 2,235 
Amortization of deferred contract costs2,031 1,621 6,020 4,567 
Stock-based compensation39,378 36,636 114,378 100,900 
Provision for credit losses1,253 236 1,782 41 
Interest on finance lease(603)(524)(1,843)(1,259)
Loss on disposals of property and equipment— (204)854 (177)
Amortization and accretion of discounts and premiums on investments771 — 2,622 — 
Net gain on extinguishment of debt— — (54,391)— 
Other adjustments(353)683 (292)1,496 
Changes in operating assets and liabilities:
Accounts receivable(5,949)1,595 (10,071)(4,017)
Prepaid expenses and other current assets(975)(8)(5,787)(5,502)
Other assets(13,505)(2,231)(19,904)(7,320)
Accounts payable(4,301)(1,815)(3,457)(1,653)
Accrued expenses3,328 6,548 4,490 2,713 
Operating lease liabilities(7,830)(6,879)(20,667)(19,735)
Other liabilities(2,833)(2,948)1,188 5,856 
Net cash used in operating activities(27,634)(2,691)(57,504)(30,574)
Cash flows from investing activities:
Purchases of marketable securities— (443,701)(355,479)(777,569)
Sales of marketable securities— 51,739 161,853 64,236 
Maturities of marketable securities72,857 15,600 440,737 72,853 
Business acquisitions, net of cash acquired and other related payments(1,746)— (27,745)— 
Advance payment for purchase of property and equipment(1,964)— (31,274)— 
Purchases of property and equipment(2,631)(20,254)(11,446)(31,267)
Proceeds from sale of property and equipment125 291 366 291 
Capitalized internal-use software(5,120)(7,619)(13,856)(10,299)
Purchase of intangible assets— — (2,092)
Net cash provided by (used in) investing activities61,521 (403,943)163,156 (683,847)
Cash flows from financing activities:
Issuance of convertible note, net of issuance costs— — — 930,775 
Payments of other debt issuance costs— — — (1,351)
Net cash paid for debt extinguishment— — (177,082)— 
Repayments of finance lease liabilities(7,076)(3,985)(18,105)(10,564)
Cash received for restricted stock sold in advance of vesting conditions— — 10,655 — 
Cash paid for early sale of restricted shares(3,618)— (10,655)— 
Proceeds from exercise of vested stock options555 1,430 5,324 9,094 
Proceeds from employee stock purchase plan1,749 3,489 5,726 5,994 
Net cash provided by (used in) financing activities(8,390)934 (184,137)933,948 
Effects of exchange rate changes on cash and cash equivalents(110)(242)(429)(383)
Net increase (decrease) in cash and cash equivalents25,387 (405,942)(78,914)219,144 
Cash and cash equivalents and restricted cash at beginning of period62,660 688,966 166,961 63,880 
Cash and cash equivalents and restricted cash at end of period88,047 283,024 88,047 283,024 
Reconciliation of cash, cash equivalents, and restricted cash as shown in the statements of cash flows:
Cash and cash equivalents87,897 282,131 87,897 282,131 
Restricted cash, current150 — 150 — 
Restricted cash, non-current— 893 — 893 
Total cash, cash equivalents, and restricted cash$88,047 $283,024 $88,047 $283,024 








Free Cash Flow
(in thousands, unaudited)
Three months ended
September 30,
Nine months ended
September 30,
2022202120222021
Cash flow used in operations$(27,634)$(2,691)$(57,504)$(30,574)
Capital expenditures(1)
(14,702)(31,567)(43,041)(51,839)
Advance payment for purchase of property and equipment(2)
$(1,964)$— $(31,274)$— 
Free Cash Flow$(44,300)$(34,258)$(131,819)$(82,413)
__________
(1)Capital Expenditures are defined as cash used for purchases of property and equipment, net of proceeds from sale of property and equipment, and capitalized internal-use software and payments on finance lease obligations, as reflected in our statement of cash flows.
(2)Advance payments for purchase of property and equipment relate to prepayments made for our capital expenditures in advance of receiving the asset, as reflected in our statement of cash flows.




















Contacts:
Investor Contact:
Vernon Essi, Jr.
ir@fastly.com

Media Contact:
press@fastly.com

Source: Fastly, Inc.



EX-99.2 3 ex992-investorsupplement93.htm EX-99.2 Document
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Exhibit 99.2
Third Quarter 2022 Investor Supplement

Product Developments

Security:
Introduced the AWS Lambda agent for the Fastly Next-Gen WAF, further enhancing the ability to deploy Fastly’s Next-Gen WAF in more places, to support serverless and FaaS initiatives with one of the most popular serverless solutions on the market.
Released general availability of GraphQL support with Next-Gen WAF, a frictionless security solution supporting popular GraphQL APIs with GraphQL visibility and protection available right out of the box.
Observability:
Launched general availability of Origin Inspector, enabling users to have real-time and historical visibility into responses delivered from their origin servers to the Fastly Edge Cloud, and Domain Inspector, enabling users with traffic monitoring for a single fully qualified domain name (FQDN) or multiple domains within a Fastly service.
Leading Innovation:
Redesigned the Fastly status page to include resources separated into Fastly’s Network Services, Security, Compute, and Observability product categories.
Released in beta Compute@Edge support for Go, a programming language used to build large-scale network tools such as Docker, Kubernetes, Istio and Terraform.
Developer Relations:
Glitch has surpassed 2 million developers, extending Fastly’s opportunity to convert their ideas into globally performant, secure and reliable applications at scale.
Key Metrics Highlights

Trailing 12-month net retention rate (NRR LTM)1 was 118% in the third quarter, up from 117% in the second quarter 2022.
Dollar-Based Net Expansion Rate (DBNER)2 was 122% in the third quarter, up from 120% in the second quarter 2022.
Total customer count was 2,925, of which 482 were enterprise customers.4
Average enterprise customer spend of $759K in the third quarter, up 4% quarter-over-quarter.












Corporate Development
Todd Nightingale joined Fastly as CEO, bringing his experience from Cisco, where he led business strategy and development efforts for its networking portfolio.
Customer and Partner Highlights

Named a Challenger in Gartner® Magic Quadrant™ for Web Application and API Protection (WAAP). Along with our recent recognition as the Customers’ Choice for Web Application and API Protection for a fourth consecutive year, this validates Fastly’s first and only unified solution that protects Internet scale in any environment.
New Relic, a developer of cloud-based performance software for websites and applications, is now using Fastly’s Compute@Edge after experiencing quality issues with a competitor's edge-based solution.
Nirvana Labs, an innovator in decentralized blockchain solutions, chose Fastly’s Edge and WAF capabilities for its rate limit performance over its existing provider.
Saturn, a time-based scheduling and social network for high school students, chose Fastly’s Next-Gen WAF and network services over its incumbent provider.

Third Quarter 2022 Financial Highlights
Record revenue of $108.5 million, representing 6% sequential growth and 25% year-over-year growth.
GAAP gross margin of 48.6%, compared to 52.4% in the third quarter of 2021. Non-GAAP gross margin of 53.6%, compared to 57.5% in the third quarter of 2021.
GAAP net loss per basic and diluted shares of $0.52 compared to $0.48 in the third quarter of 2021. Non-GAAP net loss5 per basic and diluted shares of $0.14, compared to $0.11 in the third quarter of 2021.

Fourth Quarter and Full Year 2022 Guidance:
Q4 2022Full Year 2022
Total Revenue (millions)$112 - $116$425 - $429
Non-GAAP Operating Loss (millions)(5)
($18.0) - ($14.0)($82) - ($78)
Non-GAAP Net Loss per share (6) (7)
($0.15) - ($0.11)($0.67) - ($0.63)


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Calculations of Key and Other Selected Metrics – Quarterly
(unaudited)
Q4 2020Q1 2021Q2 2021Q3 2021Q4 2021Q1 2022Q2 2022Q3 2022
Total Customer Count2,326 2,458 2,581 2,748 2,804 2,880 2,894 2,925 
Enterprise Customer Count(4)
378 395 408 430 445 457 471 482 
Enterprise Revenue % Total LTM88 %89 %89 %88 %88 %89 %88 %89 %
Enterprise Customer Average Spend LTM (in thousands)(8)
$681 $705 $702 $698 $704 $722 $730 $759 
Net Retention Rate (NRR) Quarter(9)
116 %110 %93 %112 %107 %114 %128 %115 %
Net Retention Rate (NRR) LTM(1)
137 %135 %121 %114 %118 %115 %117 %118 %
Dollar-Based Net Expansion Rate (DBNER)(2)
144 %141 %126 %118 %121 %118 %120 %122 %
Annual Revenue Retention Rate (ARR)(3)
99.3 %— %— %— %99.2 %— %— %— %
Global Network Capacity117 TB/sec130 TB/sec145 TB/sec167 TB/sec184 TB/sec198 TB/sec215 TB/sec233 TB/sec
Countries 2626283132343435
Markets 5658616871757879
1 We calculate LTM Net Retention Rate by dividing the total customer revenue for the prior twelve-month period (“prior 12-month period”) ending at the beginning of the last twelve-month period (“LTM period”) minus revenue contraction due to billing decreases or customer churn, plus revenue expansion due to billing increases during the LTM period from the same customers by the total prior 12-month period revenue. We believe the LTM Net Retention Rate is supplemental as it removes some of the volatility that is inherent in a usage-based business model.
2 We calculate Dollar-Based Net Expansion Rate by dividing the revenue for a given period from customers who remained customers as of the last day of the given period (the “current” period) by the revenue from the same customers for the same period measured one year prior (the “base” period). The revenue included in the current period excludes revenue from (i) customers that churned after the end of the base period and (ii) new customers that entered into a customer agreement after the end of the base period.
3 Annual revenue retention rate is calculated by subtracting the quotient of the Annual Revenue Churn from all of our Churned Customers divided by our annual revenue of the same calendar year from 100%. Our “Annual Revenue Churn” is calculated by multiplying the final full month of revenue from a customer that terminated its contract with us (a “Churned Customer”) by the number of months remaining in the same calendar year.
4 Enterprise customers are defined as those spending $100,000 or more in the trailing twelve-month period.
5 For a reconciliation of non-GAAP financial measures to their corresponding GAAP measures, please refer to the reconciliation table at the end of this letter.
6 Assumes weighted average basic shares outstanding of 123.6 million in Q4 2022 and 121.6 million for the full year 2022.
7 Non-GAAP Net Loss per share is calculated as Non-GAAP Net Loss divided by weighted average basic shares for 2022.
8 Calculated based on trailing twelve-months.
9 Net Retention Rate measures the net change in monthly revenue from existing customers in the last month of the period (the “current" period month) compared to the last month of the same period one year prior (the “prior" period month). The revenue included in the current period month includes revenue from (i) revenue contraction due to billing decreases or customer churn and (ii) revenue expansion due to billing increases, but excludes revenue from new customers. We calculate Net Retention Rate by dividing the revenue from the current period month by the revenue in the prior period month.

















Forward-Looking Statements



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This investor supplement contains forward-looking statements within the meaning of Section 27A of the Securities Act of 1933, as amended (the "Securities Act"), and Section 21E of the Securities Exchange Act of 1934, as amended, about us and our industry that involve substantial risks and uncertainties. Forward-looking statements generally relate to future events or Fastly's future financial or operating performance. In some cases, you can identify forward-looking statements because they contain words such as "may," "will," "should," "expects," "plans," "anticipates,” “going to,” "could," "intends," "target," "projects," "contemplates," "believes," "estimates," "predicts," "potential," "continue," “would,” or the negative of these words or other similar terms or expressions that concern Fastly's expectations, goals, strategy, priorities, plans, projections, or intentions. Forward-looking statements in this investor supplement include, but are not limited to, statements regarding Fastly’s future financial and operating performance, including its outlook and guidance; and Fastly's strategies, product and business plans. Fastly's expectations and beliefs regarding these matters may not materialize, and actual results in future periods are subject to risks and uncertainties that could cause actual results to differ materially from those projected. These risks include the possibility that: Fastly is unable to attract and retain customers; Fastly's existing customers and partners do not maintain or increase usage of Fastly's platform; Fastly's platform and product features do not meet expectations, including due to defects, interruptions, security breaches, delays in performance or other similar problems; Fastly is unable to adapt to meet evolving market and customer demands and rapid technological change; Fastly is unable to comply with modified or new industry standards, laws and regulations; Fastly is unable to generate sufficient revenues to achieve or sustain profitability; Fastly’s limited operating history makes it difficult to evaluate its prospects and future operating results; Fastly is unable to effectively manage its growth; and Fastly is unable to compete effectively. The forward-looking statements contained in this investor supplement are also subject to other risks and uncertainties, including those more fully described in Fastly’s Annual Report on Form 10-K for the fiscal year ended December 31, 2021, and additional information that will be set forth in Fastly’s Quarterly Report on Form 10-Q for the quarter ended September 30, 2022, and other filings and reports that we may file from time to time with the SEC. The forward-looking statements in this investor supplement are based on information available to Fastly as of the date hereof, and Fastly disclaims any obligation to update any forward-looking statements, except as required by law.
Non-GAAP Financial Measures
To supplement our condensed consolidated financial statements, which are prepared and presented in accordance with accounting principles generally accepted in the United States ("GAAP"), the Company uses the following non-GAAP measures of financial performance: non-GAAP gross profit, non-GAAP gross margin, non-GAAP operating loss, non-GAAP net loss, non-GAAP basic and diluted net loss per common share, non-GAAP research and development, non-GAAP sales and marketing, non-GAAP general and administrative, free cash flow and adjusted EBITDA. The presentation of this additional financial information is not intended to be considered in isolation from, as a substitute for, or superior to, the financial information prepared and presented in accordance with GAAP. These non-GAAP measures have limitations in that they do not reflect all of the amounts associated with our results of operations as determined in accordance with GAAP. In addition, these non-GAAP financial measures may be different from the non-GAAP financial measures used by other companies. These non-GAAP measures should only be used to evaluate our results of operations in conjunction with the corresponding GAAP measures. Management compensates for these limitations by reconciling these non-GAAP financial measures to the most comparable GAAP financial measures within our earnings releases.
Non-GAAP gross profit, non-GAAP gross margin, non-GAAP operating loss, non-GAAP net loss and non-GAAP basic and diluted net loss per common share, non-GAAP research and development, non-GAAP sales and marketing, and non-GAAP general and administrative differ from GAAP in that they exclude stock-based compensation expense, amortization of acquired intangible assets, acquisition-related expenses, executive transition costs, net gain on extinguishment of debt and amortization of debt discount and issuance costs.
Adjusted EBITDA: excludes stock-based compensation expense, depreciation and other amortization expenses, amortization of acquired intangible assets, acquisition-related expenses, executive transition costs, interest income, interest expense, including amortization of debt discount and issuance costs, net gain on extinguishment of debt, other income (expense), net, and income taxes.
Acquisition-related Expenses: consists of acquisition-related charges that are not related to ongoing operations. Management considers its operating results without this activity when evaluating its ongoing non-GAAP net loss performance and its adjusted EBITDA performance because these charges may not be reflective of our core business, ongoing operating results, or future outlook.
Amortization of Acquired Intangible Assets: consists of non-cash charges that can be affected by the timing and magnitude of asset purchases and acquisitions. Management considers its operating results without this activity when evaluating its ongoing non-GAAP performance and its adjusted EBITDA performance because these charges are non-cash expenses that can be affected by the timing and magnitude of asset purchases and acquisitions and may not be reflective of our core business, ongoing operating results, or future outlook.
Amortization of Debt Discount and Issuance Costs: consists primarily of amortization expense related to our debt obligations. Management considers its operating results without this activity when evaluating its ongoing non-GAAP net loss performance and its adjusted EBITDA performance because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook. These are included in our total interest expense.
Capital Expenditures: consists of cash used for purchases of property and equipment, net of proceeds from sale of property and equipment, capitalized internal-use software and payments on finance lease obligations, as reflected in our statement of cash flows.
Depreciation and Other Amortization Expense: consists of non-cash charges that can be affected by the timing and magnitude of asset purchases. Management considers its operating results without this activity when evaluating its ongoing adjusted EBITDA performance because these charges are non-cash expenses that can be affected by the timing and magnitude of asset purchases and may not be reflective of our core business, ongoing operating results, or future outlook.


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Executive Transition costs: consists of one-time cash and non-cash charges recognized with respect to changes in our executive's employment status. Management considers its operating results without this activity when evaluating its ongoing non-GAAP net loss performance and its adjusted EBITDA performance because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook.
Free Cash Flow: calculated as net cash used in operating activities less capital expenditures, including any advance payments made related to capital expenditures.
Income Taxes: consists primarily of expenses recognized related to state and foreign income taxes. Management considers its operating results without this activity when evaluating its ongoing adjusted EBITDA performance because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook.
Interest Expense: consists primarily of interest expense related to our debt instruments, including amortization of debt discount and issuance costs. Management considers its operating results without this activity when evaluating its ongoing non-GAAP net loss performance and its adjusted EBITDA performance because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook.
Interest Income: consists primarily of interest income related to our marketable securities. Management considers its operating results without this activity when evaluating its ongoing non-GAAP net loss and adjusted EBITDA results because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook.
Net Gain on Debt Extinguishment: relates to net gain on the partial repurchase of our outstanding convertible debt. Management considers its operating results without this activity when evaluating its ongoing non-GAAP net loss and its adjusted EBITDA performance because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook.
Other Income (Expense), Net: consists primarily of foreign currency transaction gains and losses. Management considers its operating results without this activity when evaluating its ongoing adjusted EBITDA performance because it is not believed by management to be reflective of our core business, ongoing operating results or future outlook.
Stock-based Compensation Expense: consists of expenses for stock options, restricted stock units, performance awards, restricted stock awards and Employee Stock Purchase Plan ("ESPP") under our equity incentive plans. Although stock-based compensation is an expense for the Company and is viewed as a form of compensation, management considers its operating results without this activity when evaluating its ongoing non-GAAP net loss performance and its adjusted EBITDA performance, primarily because it is a non-cash expense not believed by management to be reflective of our core business, ongoing operating results, or future outlook. In addition, the value of some stock-based instruments is determined using formulas that incorporate variables, such as market volatility, that are beyond our control.
Management believes these non-GAAP financial measures and adjusted EBITDA serve as useful metrics for our management and investors because they enable a better understanding of the long-term performance of our core business and facilitate comparisons of our operating results over multiple periods and to those of peer companies, and when taken together with the corresponding GAAP financial measures and our reconciliations, enhance investors' overall understanding of our current financial performance.
In the financial tables below, the Company provides a reconciliation of the most comparable GAAP financial measure to the historical non-GAAP financial measures used in this investor supplement.















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Consolidated Statements of Operations – Quarterly
(unaudited, in thousands, except per share amounts)

Q4 2020Q1 2021Q2 2021Q3 2021Q4 2021Q1 2022Q2 2022Q3 2022
Revenue$82,649 $84,852 $85,026 $86,735 $97,717 $102,382 $102,518 $108,504 
Cost of revenue(1)
33,753 37,494 40,320 41,244 47,944 53,915 56,466 55,825 
Gross profit48,896 47,358 44,706 45,491 49,773 48,467 46,052 52,679 
Operating expenses:
Research and development(1)
25,590 28,988 30,346 32,528 34,997 40,437 38,717 38,957 
Sales and marketing(1)
34,765 34,872 36,334 39,288 42,151 41,480 46,760 47,006 
General and administrative (1)
45,885 33,461 35,494 28,609 29,281 29,554 29,543 32,481 
Total operating expenses106,240 97,321 102,174 100,425 106,429 111,471 115,020 118,444 
Loss from operations(57,344)(49,963)(57,468)(54,934)(56,656)(63,004)(68,968)(65,765)
Net gain on extinguishment of debt— — — — — — 54,391 — 
Interest income178 174 276 280 552 681 1,502 1,967 
Interest expense(452)(661)(1,436)(1,555)(1,593)(1,622)(1,530)(1,381)
Other income (expense)(697)(64)178 41 201 (279)(1,673)1,877 
Loss before income taxes(58,315)(50,514)(58,450)(56,168)(57,496)(64,224)(16,278)(63,302)
Income tax expense(12,611)169 (155)30 25 40 159 118 
Net loss$(45,704)$(50,683)$(58,295)$(56,198)$(57,521)$(64,264)$(16,437)$(63,420)
Net loss per share attributable to common stockholders, basic and diluted$(0.40)$(0.44)$(0.51)$(0.48)$(0.49)$(0.54)$(0.14)$(0.52)
Weighted-average shares used in computing net loss per share attributable to common stockholders, basic and diluted112,902 114,134 115,326 116,475 118,161 119,673 121,242 122,339 
__________
(1)Includes stock-based compensation expense as follows:
Q4 2020Q1 2021Q2 2021Q3 2021Q4 2021Q1 2022Q2 2022Q3 2022
Cost of revenue$1,255 $1,186 $1,828 $1,897 $2,316 $2,946 $3,188 $2,978 
Research and development7,017 7,958 8,634 14,752 15,675 18,589 13,889 14,488 
Sales and marketing5,275 5,008 5,631 9,121 11,399 10,094 10,184 10,920 
General and administrative16,134 16,686 17,333 10,866 10,198 8,393 7,717 10,992 
Total$29,681 $30,838 $33,426 $36,636 $39,588 $40,022 $34,978 $39,378 














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Reconciliation of GAAP to Non-GAAP Financial Measures - Quarterly
(unaudited, in thousands, except per share amounts)

Q4 2020Q1 2021Q2 2021Q3 2021Q4 2021Q1 2022Q2 2022Q3 2022
Gross Profit..
GAAP gross Profit$48,896 $47,358 $44,706 $45,491 $49,773 $48,467 $46,052 $52,679 
Stock-based compensation1,255 1,186 1,828 1,897 2,316 2,946 3,188 2,978 
Amortization of acquired intangible assets2,475 2,475 2,475 2,475 2,475 2,475 2,475 2,475 
Non-GAAP gross profit52,626 51,019 49,009 49,863 54,564 53,888 51,715 58,132 
GAAP gross margin59.2 %55.8 %52.6 %52.4 %50.9 %47.3 %44.9 %48.6 %
Non-GAAP gross margin63.7 %60.1 %57.6 %57.5 %55.8 %52.6 %50.4 %53.6 %
Research and development
GAAP research and development25,590 28,988 30,346 32,528 34,997 40,437 38,717 38,957 
Stock-based compensation(7,017)(7,958)(8,634)(14,752)(15,675)(18,589)(13,889)(14,488)
Non-GAAP research and development18,573 21,030 21,712 17,776 19,322 21,848 24,828 24,469 
Sales and marketing
GAAP sales and marketing34,765 34,872 36,334 39,288 42,151 41,480 46,760 47,006 
Stock-based compensation(5,275)(5,008)(5,631)(9,121)(11,399)(10,094)(10,184)(10,920)
Amortization of acquired intangible assets(2,603)(2,816)(2,709)(2,709)(2,710)(2,709)(2,710)(2,897)
Non-GAAP sales and marketing26,887 27,048 27,994 27,458 28,042 28,677 33,866 33,189 
General and administrative
GAAP general and administrative45,885 33,461 35,494 28,609 29,281 29,554 29,543 32,481 
Stock-based compensation(16,134)(16,686)(17,333)(10,866)(10,198)(8,393)(7,717)(7,959)
Executive transition costs— — — — — — — (4,207)
Acquisition-related expenses(13,625)(929)(1,298)(179)(149)(58)(1,912)— 
Non-GAAP general and administrative16,126 15,846 16,863 17,564 18,934 21,103 19,914 20,315 
Operating loss
GAAP operating loss(57,344)(49,963)(57,468)(54,934)(56,656)(63,004)(68,968)(65,765)
Stock-based compensation29,681 30,838 33,426 36,636 39,588 40,022 34,978 36,345 
Executive transition costs— — — — — — — 4,207 
Amortization of acquired intangible assets5,078 5,291 5,184 5,184 5,185 5,184 5,185 5,372 
Acquisition-related expenses13,625 929 1,298 179 149 58 1,912 — 
Non-GAAP operating loss(8,960)(12,905)(17,560)(12,935)(11,734)(17,740)(26,893)(19,841)
Net loss
GAAP net loss(45,704)(50,683)(58,295)(56,198)(57,521)(64,264)(16,437)(63,420)
Stock-based compensation29,681 30,838 33,426 36,636 39,588 40,022 34,978 36,345 
Executive transition costs— — — — — — — 4,207 
Amortization of acquired intangible assets5,078 5,291 5,184 5,184 5,185 5,184 5,185 5,372 
Acquisition-related expenses13,625 929 1,298 179 149 58 1,912 — 
Acquisition-related tax benefit
(13,154)— — — — — — — 
Net gain on extinguishment of debt — — — — — — (54,391)— 
Amortization of debt issuance costs— — 993 967 947 963 776 714 
Non-GAAP net loss$(10,474)$(13,625)$(17,394)$(13,232)$(11,652)$(18,037)$(27,977)$(16,782)
GAAP net loss per common share—basic and diluted$(0.40)$(0.44)$(0.51)$(0.48)$(0.49)$(0.54)$(0.14)$(0.52)
Non-GAAP net loss per common share—basic and diluted$(0.09)$(0.12)$(0.15)$(0.11)$(0.10)$(0.15)$(0.23)$(0.14)
Weighted average basic common shares112,902 114,134 115,326 116,475 118,161 119,673 121,242 122,339 



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Reconciliation of GAAP to Non-GAAP Financial Measures - Quarterly (Continued)
(unaudited, in thousands, except per share amounts)

Q4 2020Q1 2021Q2 2021Q3 2021Q4 2021Q1 2022Q2 2022Q3 2022
Adjusted EBITDA
GAAP net loss$(45,704)$(50,683)$(58,295)$(56,198)$(57,521)$(64,264)$(16,437)$(63,420)
Stock-based compensation29,681 30,838 33,426 36,636 39,588 40,022 34,978 36,345 
Executive transition costs— — — — — — — 4,207 
Depreciation and other amortization5,568 6,491 7,000 7,489 8,228 9,975 10,860 10,786 
Amortization of acquired intangible assets5,078 5,291 5,184 5,184 5,185 5,184 5,185 5,372 
Acquisition-related expenses13,625 929 1,298 179 149 58 1,912 — 
Acquisition-related tax benefit(13,154)— — — — — — — 
Interest income(178)(174)(276)(280)(552)(681)(1,502)(1,967)
Interest expense452 661 443 588 646 659 754 667 
Amortization of debt discount and issuance costs— — 993 967 947 963 776 714 
Net gain on extinguishment of debt— — — — — — (54,391)— 
Other (income) expense, net697 64 (178)(41)(201)279 1,673 (1,877)
Income tax (benefit) expense543 169 (155)30 25 40 159 118 
Adjusted EBITDA$(3,392)$(6,414)$(10,560)$(5,446)$(3,506)$(7,765)$(16,033)$(9,055)






































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Non-GAAP Consolidated Statements of Operations - Quarterly
(unaudited, in thousands, except per share amounts)
Q4 2020Q1 2021Q2 2021Q3 2021Q4 2021Q1 2022Q2 2022Q3 2022
Revenue$82,649 $84,852 $85,026 $86,735 $97,717 $102,382 $102,518 $108,504 
Cost of revenue (1)(2)
30,023 33,833 36,017 36,872 43,153 48,494 50,803 50,372 
Gross profit52,626 51,019 49,009 49,863 54,564 53,888 51,715 58,132 
Operating expenses:
Research and development(1)
18,573 21,030 21,712 17,776 19,322 21,848 24,828 24,469 
Sales and marketing(1)(2)
26,887 27,048 27,994 27,458 28,042 28,677 33,866 33,189 
General and administrative (1)(3)(7)
16,126 15,846 16,863 17,564 18,934 21,103 19,914 20,315 
Total operating expenses61,586 63,924 66,569 62,798 66,298 71,628 78,608 77,973 
Income (loss) from operations(1)(2)(3)(7)
(8,960)(12,905)(17,560)(12,935)(11,734)(17,740)(26,893)(19,841)
Interest income178 174 276 280 552 681 1,502 1,967 
Interest expense(4)
(452)(661)(443)(588)(646)(659)(754)(667)
Other income (expense), net(697)(64)178 41 201 (279)(1,673)1,877 
Income (loss) before income tax expense (benefit)(5)
(9,931)(13,456)(17,549)(13,202)(11,627)(17,997)(27,818)(16,664)
Income tax expense (benefit)(6)
543 169 (155)30 25 40 159 118 
Net income (loss)(1)(2)(3)(4)(5)(6)(7)
$(10,474)$(13,625)$(17,394)$(13,232)$(11,652)$(18,037)$(27,977)$(16,782)
Net income (loss) per share attributable to common stockholders, basic and diluted$(0.09)$(0.12)$(0.15)$(0.11)$(0.10)$(0.15)$(0.23)$(0.14)
Weighted-average shares used in computing net income (loss) per share attributable to common stockholders, basic and diluted112,902 114,134 115,326 116,475 118,161 119,673 121,242 122,339 
(1) Excludes stock-based compensation. See GAAP to Non-GAAP reconciliations.
(2) Excludes amortization of acquired intangible assets. See GAAP to Non-GAAP reconciliations.
(3) Excludes acquisition-related and other expenses. See GAAP to Non-GAAP reconciliations.
(4) Excludes amortization of debt discount and issuance costs. See GAAP to Non-GAAP reconciliations.
(5) Excludes net gain on extinguishment of debt. See GAAP to Non-GAAP reconciliations.
(6) Excludes acquisition-related tax benefit. See GAAP to Non-GAAP reconciliations.
(7) Excludes executive transition costs. See GAAP to Non-GAAP reconciliations.





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Consolidated Balance Sheets - Quarterly
(unaudited, in thousands)
Q4 2020Q1 2021Q2 2021Q3 2021Q4 2021Q1 2022Q2 2022Q3 2022
Assets
Current assets:
Cash and cash equivalents$62,900 $948,783 $687,986 $282,131 $166,068 $245,794 $62,510 $87,897 
Marketable securities131,283 147,793 241,744 361,290 361,795 393,950 419,905 445,048 
Accounts receivable, net50,258 52,363 56,065 54,234 64,625 73,717 68,218 72,914 
Prepaid expenses and other current assets16,815 18,495 22,309 22,230 32,160 23,616 29,037 31,321 
Total current assets261,256 1,167,434 1,008,104 719,885 624,648 737,077 579,670 637,180 
Property and equipment, net95,979 98,608 116,471 147,729 166,961 174,550 173,950 179,080 
Operating lease right-of-use assets, net60,019 63,305 62,630 70,149 69,631 63,455 69,861 72,374 
Goodwill635,590 635,645 635,646 635,635 636,805 637,570 670,186 670,158 
Intangible assets, net121,742 116,379 113,215 107,905 102,596 97,287 93,978 88,482 
Marketable securities, non-current20,448 29,930 173,227 429,489 528,911 394,464 284,951 186,066 
Other assets24,917 26,993 27,578 28,142 29,468 30,020 60,199 73,258 
Total assets$1,219,951 $2,138,294 $2,136,871 $2,138,934 $2,159,020 $2,134,423 $1,932,795 $1,906,598 
Liabilities and Stockholders’ Equity
Current liabilities:
Accounts payable$9,150 $12,019 $10,202 $7,766 $9,257 $8,248 $10,011 $8,265 
Accrued expenses34,334 36,320 28,609 36,063 36,112 49,902 49,943 54,186 
Finance lease liabilities11,033 10,910 14,773 18,675 21,125 26,766 28,088 27,807 
Operating lease liabilities19,895 20,011 19,713 20,007 20,271 18,688 19,243 20,919 
Other current liabilities19,677 19,036 29,735 24,758 45,107 36,569 33,705 33,422 
Total current liabilities94,089 98,296 103,032 107,269 131,872 140,173 140,990 144,599 
Long-term debt, less current portion— 930,291 931,385 932,305 933,205 934,121 703,375 704,042 
Finance lease liabilities, noncurrent14,707 13,648 19,685 24,659 22,293 28,867 26,479 21,027 
Operating lease liabilities, noncurrent44,890 47,505 47,177 54,066 55,114 52,334 60,657 62,750 
Other long-term liabilities4,400 3,520 6,502 5,056 2,583 2,205 7,556 7,201 
Total liabilities158,086 1,093,260 1,107,781 1,123,355 1,145,067 1,157,700 939,057 939,619 
Stockholders’ equity:
Class A and Class B common stock
Additional paid-in capital1,350,050 1,384,045 1,426,520 1,469,366 1,527,468 1,561,371 1,597,869 1,634,666 
Accumulated other comprehensive income (loss)(137)(261)(420)(2,627)(9,496)(12,542)(12,678)
Accumulated deficit(288,193)(338,876)(397,171)(453,369)(510,890)(575,154)(591,591)(655,011)
Total stockholders’ equity1,061,865 1,045,034 1,029,090 1,015,579 1,013,953 976,723 993,738 966,979 
Total liabilities and stockholders’ equity$1,219,951 $2,138,294 $2,136,871 $2,138,934 $2,159,020 $2,134,423 $1,932,795 $1,906,598 








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Consolidated Statements of Cash Flows – Quarterly
(unaudited, in thousands)
Q4 2020Q1 2021Q2 2021Q3 2021Q4 2021Q1 2022Q2 2022Q3 2022
Cash flows from operating activities:
Net loss$(45,704)$(50,683)$(58,295)$(56,198)$(57,521)$(64,264)$(16,437)$(63,420)
Adjustments to reconcile net loss to net cash used in operating activities:
Depreciation and amortization5,713 6,419 6,927 7,364 8,089 9,850 10,736 10,662 
Amortization of acquired intangibles4,933 5,363 5,257 5,309 5,309 5,309 5,309 5,496 
Amortization of right-of-use assets and other5,941 6,357 6,303 7,158 7,065 6,839 6,539 8,501 
Amortization of debt issuance costs161 332 937 966 950 964 775 715 
Amortization of deferred contract costs1,141 1,411 1,535 1,621 1,727 1,851 2,138 2,031 
Stock-based compensation29,681 30,838 33,426 36,636 39,588 40,022 34,978 39,378 
Provision for doubtful accounts and credit losses507 (420)225 236 155 127 402 1,253 
Interest paid on finance leases(234)(330)(405)(524)(495)(591)(649)(603)
(Gain) loss on disposal of property and equipment786 27 — (204)(123)268 586 — 
Tax benefit related to release of valuation allowance(12,950)— — — — — — — 
Amortization and accretion of discounts and premiums on investments— — — — — 957 894 771 
Net gain on extinguishment of debt— — — — — — (54,391)— 
Other adjustments448 64 749 683 729 128 (67)(353)
Changes in operating assets and liabilities:
Accounts receivable(2,595)(1,685)(3,927)1,595 (10,546)(9,219)5,097 (5,949)
Prepaid expenses and other current assets(1,772)(1,680)(3,814)(8)725 (2,111)(2,701)(975)
Other assets(9,752)(2,952)(2,137)(2,231)(3,103)(2,451)(3,948)(13,505)
Accounts payable(2,987)2,119 (1,957)(1,815)1,799 (2,492)3,336 (4,301)
Accrued expenses(4,232)(755)(3,080)6,548 1,548 4,891 (3,729)3,328 
Operating lease liabilities(5,412)(6,365)(6,491)(6,879)(6,712)(6,557)(6,280)(7,830)
Other liabilities5,178 1,071 7,733 (2,948)2,908 3,289 732 (2,833)
Net cash provided by (used in) operating activities(31,149)(10,869)(17,014)(2,691)(7,908)(13,190)(16,680)(27,634)
Cash flows from investing activities:
Purchase of marketable securities(64,698)(64,331)(269,537)(443,701)(150,586)(148,193)(207,286)— 
Sale of marketable securities— 12,497 — 51,739 2,291 2,301 159,552 — 
Maturities of marketable securities5,001 25,503 31,750 15,600 45,232 240,547 127,333 72,857 
Business acquisitions, net of cash acquired(200,988)— — — (1,169)(775)(25,224)(1,746)
Advance for purchase of property and equipment— — — — — — (29,310)(1,964)
Purchases of property and equipment(5,126)(8,079)(2,934)(20,254)(3,549)(4,664)(4,151)(2,631)
Proceeds from sale of property and equipment425 — — 291 297 — 241 125 
Capitalized internal-use software(2,049)(989)(1,691)(7,619)(3,180)(3,810)(4,926)(5,120)
Purchases of intangible assets— — (2,093)— — — — 
Net cash provided by (used in) investing activities(267,435)(35,399)(244,505)(403,943)(110,664)85,406 16,229 61,521 
Cash flows from financing activities:
Issuance of convertible note, net of issuance costs— 930,775 — — — — — — 
Payments of debt issuance costs— (1,351)— — — — — — 
Repayments of notes payable(20,300)— — — — — — — 
Net Cash paid for debt extinguishment— — — — — — (177,082)— 
Repayments of finance lease liabilities(2,713)(2,951)(3,628)(3,985)(3,004)(4,882)(6,147)(7,076)
Cash received for restricted stock sold in advance of vesting conditions— — — — — 10,655 — — 
Cash paid for early sale of restricted shares— — — — — (3,498)(3,539)(3,618)
Proceeds from exercise of vested stock options2,320 2,719 2,886 3,489 3,532 3,048 1,721 555 
Proceeds from Employee Stock Purchase Plan3,112 3,071 1,493 1,430 2,075 2,406 1,571 1,749 
Net cash provided by (used in) financing activities(17,581)932,263 751 934 2,603 7,729 (183,476)(8,390)
Effects of exchange rate changes on cash, cash equivalents, and restricted cash(10)(112)(29)(242)(94)(219)(100)(110)
Net increase (decrease) in cash, cash equivalents, and restricted cash(316,175)885,883 (260,797)(405,942)(116,063)79,726 (184,027)25,387 
Cash, cash equivalents, and restricted cash at beginning of period380,055 63,880 949,763 688,966 283,024 166,961 246,687 62,660 
Cash, cash equivalents, and restricted cash at end of period$63,880 $949,763 $688,966 $283,024 $166,961 $246,687 $62,660 $88,047 


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Free Cash Flow
(in thousands, unaudited)
Quarter ended
Q4 2020Q1 2021Q2 2021Q3 2021Q4 2021Q1 2022Q2 2022Q3 2022
Cash flow provided by (used in) operations$(31,149)$(10,869)$(17,014)$(2,691)$(7,908)$(13,190)$(16,680)$(27,634)
Capital expenditures(1)
(9,463)(12,019)(8,253)(31,567)(9,436)(13,356)(14,983)(14,702)
Advance payment for purchase of property and equipment(2)
— — — — — — (29,310)(1,964)
Free Cash Flow$(40,612)$(22,888)$(25,267)$(34,258)$(17,344)$(26,546)$(60,973)$(44,300)
__________
(1)Capital Expenditures are defined as cash used for purchases of property and equipment, net of proceeds from sale of property and equipment, and capitalized internal-use software and payments on finance lease obligations, as reflected in our statement of cash flows.
(2)Advance payments for purchase of property and equipment relate to prepayments made for our capital expenditures in advance of receiving the asset, as reflected in our statement of cash flows.



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Cover Page
Nov. 02, 2022
Cover [Abstract]  
Document Type 8-K
Document Period End Date Nov. 02, 2022
Entity Registrant Name FASTLY, INC.
Entity Central Index Key 0001517413
Amendment Flag false
Entity Incorporation, State or Country Code DE
Entity File Number 001-38897
Entity Tax Identification Number 27-5411834
Entity Address, Address Line One 475 Brannan Street, Suite 300
Entity Address, City or Town San Francisco
Entity Address, State or Province CA
Entity Address, Postal Zip Code 94107
City Area Code 844
Local Phone Number 432-7859
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Title of 12(b) Security Class A Common Stock, $0.00002 par value
Trading Symbol “FSLY”
Security Exchange Name NYSE
Entity Emerging Growth Company false
XML 9 fsly-20221102_htm.xml IDEA: XBRL DOCUMENT 0001517413 2022-11-02 2022-11-02 0001517413 false 8-K 2022-11-02 FASTLY, INC. 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