Post-effective amendment to a registration statement that is not immediately effective upon filing

Consolidated Consolidated Statements of Cash Flows

v3.21.2
Consolidated Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 30, 2021
Jun. 30, 2020
Jun. 30, 2021
Jun. 30, 2020
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Cash flows from operating activities:              
Net Loss $ (72,534) $ (13,742) $ (93,210) $ (33,511) $ (81,511) $ (67,301) $ (56,400)
Adjustments Required to Reconcile Net Loss to Net Cash Used in Operating Activities:              
Depreciation and Amortization 673 1,022 1,325 1,533 2,661 1,674 660
Warrant liability fair value adjustment 845 0 845 0      
Share-Based Compensation 49,887 652 51,662 1,585 3,196 2,171 1,377
Capital loss (gain) 0 0 0 (6) (6)   325
Issuance of Preferred C-1 Shares to a customer         14,800    
Foreign Exchange Loss (244) (659) (56) (215) (572) (729) 612
Increase In Prepaid Expenses and Other Assets (5,283) (1,505) (5,748) (734) (1,296) 1,231 (2,557)
Decrease (Increase) In Trade Receivable 813 (1) 507 423 (1,485) (1,060) (59)
Decrease (Increase) In Inventories (552) (262) (1,500) 554 (823) (200) (1,141)
Increase (Decrease) In Trade Payables 6,003 (1,065) 2,770 (2,460) 606 (2,255) 7,412
Increase (Decrease) In Accrued Expenses and Other Liabilities 298 (2,025) 870 (1,153) (820) (5,566) 7,426
Increase In Employees and Payroll Accruals 3,430 466 4,162 1,005 2,111 223 1,618
Increase (Decrease) In Advances from Customers and Deferred Revenues 186 (118) 1,537 (61) 1,198 2,587 1,348
Net Cash Used in Operating Activities (16,478) (17,237) (36,836) (33,040) (61,941) (69,225) (39,379)
Cash Flows from Investing Activities:              
Purchase Of Property and Equipment (1,417) (629) (2,133) (2,206) (5,120) (5,850) (6,853)
Proceeds from sales of property and equipment         47   7
Investment In Bank Deposits, Net (195,000) 35,023 (195,000) 34,742 34,720 (34,720) 47,002
Decrease (Increase) In Restricted Deposits (1) 0 1 0 (56)    
Net Cash Provided (Used) In Investing Activities (196,418) 34,394 (197,132) 32,536 29,591 (40,570) 40,156
Cash Flows from Financing Activities:              
Cash Received in connection with reverse merger (see note 1), net of issuance costs 122,728 0 122,728 0      
Issuance of common stock in connection with PIPE offering, net of issuance costs 46,843 0 217,343 0      
Proceeds from Issuance of convertible preferred shares, net of issuance expenses         8,934 161,233  
Proceeds From Exercise of Options 448 114 468 178 284 73 10
Proceeds from loan           2,020 584
Repayment Of Loan (76) (81) (134) (121) (277) (204)  
Net Cash Provided by Financing Activities 169,943 33 340,405 57 8,941 163,122 594
Effect Of Exchange Rate Changes on Cash, Cash Equivalents and Restricted Cash 297 641 20 207 748 900 (612)
Increase (Decrease) In Cash, Cash Equivalents and Restricted Cash (42,656) 17,831 106,457 (240) (22,661) 54,227 759
Cash, Cash Equivalents and Restricted Cash at Beginning of The Period 199,879 55,356 50,766 73,427 73,427 19,200 18,441
Cash, Cash Equivalents and Restricted Cash at End of The Period 157,223 73,187 157,223 73,187 50,766 73,427 19,200
Cash received during the period for:              
Interest (6) (79) (6) (1) 553 1,279 493
Cash paid during the period for:              
Interest 21 22 43 45 89 94 29
Income taxes 32 19 69 89      
Income taxes         85 10 28
Non-cash transactions:              
Investment in non-marketable equity securities in consideration for property and equipment 0 33 0 54 64 98  
Reclassification from property and equipment. net to inventories         512    
Conversion of preferred shares to ordinary shares 272,815 0 272,815 0      
Deferred issuance costs 430 430      
Issuance cost paid in Equity 76,879 0 76,879 0      
Cash, cash equivalents and restricted cash at end of the year              
Cash and Cash Equivalents 156,418 72,429 156,418 72,429 49,950 72,792 18,555
Short-term restricted deposits 8 8 8 8 8 8 8
Restricted deposits 797 750 797 750 808 627 637
Cash, Cash Equivalents and Restricted Cash at End of The Period $ 157,223 $ 73,187 $ 157,223 $ 73,187 $ 50,766 $ 73,427 $ 19,200