Bloom Energy Corp

Annual Trend FY 2016 FY 2017 FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Depreciation and amortization $43.1m $54.4m $53.9m $78.6m $52.3m $53.5m $61.6m $62.6m $53.0m $50.6m
Amortization of debt issuance costs $25.4m $22.1m $6.5m $3.8m $3.0m $4.8m $6.8m $8.2m
Impairment of assets $2.1m $0 $0 $11.3m $0 $0 $113.5m $130.1m $0 $12.7m
Share-based consideration payable to customer’s customer (Note 3) $0 $0 $15.9m
Inventory reserve and other assets impairment $0 $0 $21.9m
Loss on disposal of property, plant and equipment $140k $48k $939k $3.1m $38k $0 $0 $411k $161k $436k
Loss on extinguishment of debt $0 $0 $11.8m $0 $9.0m $4.3m $27.2m $32.3m
Operating lease right-of-use assets and operating lease liabilities $0 ($2.9m) ($13.0m) $3.0m ($32.8m) ($36.7m) ($33.4m)
Deferred profit with equity method investees and other long-term liabilities $46.8m $37.6m $19.6m $4.4m ($4.5m) ($4.3m) ($10.0m) ($1.4m) ($1.1m) ($251k)
Operating cash flows from operating leases ($282.8m) ($67.2m) $0 $0 ($2.9m) $17.4m $14.0m $32.5m $36.4m $33.4m
Recognition of operating lease right-of-use asset during the year-to-date period $0 $12.8m $82.8m $36.4m $29.8m $2.9m $4.4m
Net loss ($336.3m) ($295.0m) ($291.3m) ($323.5m) ($179.1m) ($193.4m) ($315.1m) ($307.9m) ($27.2m) ($87.1m)
Non-cash lease expense $0 $5.3m $9.7m $20.2m $33.6m $35.9m $32.5m
Equity in loss of unconsolidated affiliates, net of distributions $0 $0 $40.4m
Revaluation of derivative contracts $1.3m $15.0m $29.0m $2.8m ($497k) $17.5m ($9.6m) $1.6m $694k $537k
Derecognition of loan commitment asset related to SK ecoplant Second Tranche Closing (Note 17) $0 $0 $52.8m $0 $0
Stock-based compensation expense $28.2m $29.1m $168.5m $196.3m $73.9m $73.3m $112.3m $84.5m $82.4m $139.4m
Debt conversion inducement expense (Note 8) $0 $0 $66.2m
Net (gain) loss on failed sale-and-leaseback transactions $0 $403k ($17.4m) ($827k)
Allowance for credit losses $0 $0 $340k
Unrealized foreign currency exchange (gain) loss $19k $77k ($3.3m) $618k $3.8m ($2.3m)
Other $0 $0 ($76k) $0 $0 $150k
Accounts receivable ($701k) $3.2m ($55.0m) $52.0m ($61.7m) $8.6m ($162.9m) ($89.9m) $7.1m ($35.5m)
Contract assets $0 $0 ($21.9m) ($21.5m) $5.4m ($103.8m) ($96.0m)
Inventories ($209k) ($10.6m) ($37.0m) $18.4m ($33.0m) ($885k) ($124.9m) ($231.7m) ($44.5m) ($119.2m)
Deferred cost of revenue ($84.7m) ($31.3m) $14.2m ($22.0m) $19.9m $17.6m ($24.3m) $1.7m ($13.1m) $27.2m
Prepaid expenses and other assets ($8.4m) ($982k) ($8.0m) $8.6m ($3.1m) $1.5m ($17.6m) ($5.8m) $3.8m ($3.6m)
Other long-term assets ($1.0m) $756k ($202k) $3.6m $2.9m ($2.9m) ($2.6m) ($3.4m) $4.1m ($11.1m)
Financing lease liabilities $0 $0 $1.1m $896k $1.0m $1.6m $2.6m
Accounts payable $4.8m $7.1m $18.3m ($11.3m) ($620k) $13.1m $86.5m ($29.1m) ($36.6m) $110.9m
Accrued warranty ($3.0m) ($7.4m) $1.5m ($6.6m) ($241k) $1.5m $5.6m $2.0m ($2.8m) $3.5m
Accrued expenses and other current liabilities $11.3m $8.0m ($6.0m) $6.7m $17.8m ($2.1m) $43.2m ($13.8m) $8.7m $80.3m
Deferred revenue and customer deposits $183.6m $48.3m ($21.8m) $37.1m ($13.0m) ($22.7m) $35.2m ($42.6m) $139.9m ($142.6m)
Investments in unconsolidated affiliates $0 $0 ($36.5m)
Purchase of capped call options related to convertible notes $0 $0 ($54.5m) $0 $0
Proceeds from financing obligations $84.3m $70.3m $72.3m $26.3m $16.8m $3.3m $5.0m $1.8m $0
Repayment of financing obligations ($3.2m) ($6.2m) ($9.0m) ($10.8m) ($13.6m) ($35.5m) ($18.4m) ($90.2m) ($11.3m)
Proceeds from issuance of redeemable convertible preferred stock $0 $0 $208.6m $0 $311.0m $0 $0
Payment of issuance costs related to redeemable convertible preferred stock $0 ($1.1m) ($5.5m) $0 $0 $0 ($13.8m) ($395k) $0 $0
Beginning of period $217.9m $180.6m $280.5m $377.4m $416.7m $615.1m $518.4m $745.2m $951.0m $2.5b
Operating cash flows from finance leases ($282.8m) ($67.2m) $0 $0 $16k $878k $1.1m $1.1m $259k $356k
Recognition of finance lease right-of-use asset during the year-to-date period $0 $385k $2.2m $896k $1.0m $1.6m $2.9m
Conversion of 2.5% Green Notes to common stock (Note 8) $0 $0 $2.2m
Premium on convertible debt (Note 8) $0 $0 $28.2m
Derecognition of financing obligations $0 $0 $101.7m $0
Conversion of redeemable convertible preferred stock $0 $0 $208.6m $310.5m $0 $0
Derecognition of the pre-modified forward contract fair value $0 $0 $76.2m $0 $0
Equity component of redeemable convertible preferred stock $0 $0 $16.1m $0 $0
Net cash provided by (used in) operating activities ($282.8m) ($92.0m) ($91.9m) $163.8m ($98.8m) ($60.7m) ($191.7m) ($372.5m) $92.0m $113.9m
Purchase of property, plant and equipment $9.0m ($61.5m) ($45.2m) ($51.1m) ($37.9m) ($49.8m) ($116.8m) ($83.7m) ($58.9m) ($56.8m)
Proceeds from sale of property, plant and equipment $992k $975k $12.2m $1.7m $7.2m $0 $0 $14k $70k $131k
Liabilities recorded for property, plant and equipment, net $992k $975k $12.2m $1.7m $7.2m $6.1m $11.0m $9.3m $1.6m $3.7m
Net cash used in investing activities ($9.0m) ($88.2m) ($125.4m) $53.4m ($37.9m) ($46.7m) ($116.8m) ($83.7m) ($58.8m) ($93.1m)
Proceeds from issuance of debt $0 $0 $300.0m $136.0m $0 $637.1m $402.5m $2.5b
Payment of debt issuance costs $218k ($6.1m) $0 $0 ($13.2m) ($1.9m) $0 ($19.7m) ($12.8m) ($62.7m)
Write-off of debt issuance costs upon induced conversion (Note 8) $0 $0 $18.7m
Repayment of debt $32.2m ($20.5m) ($18.8m) ($119.3m) ($176.5m) ($123.4m) ($19.9m) ($191.4m) ($141.0m) ($975.9m)
Proceeds from issuance of common stock $1.2m $432k $1.5m $12.7m $23.5m $89.8m $15.3m $16.9m $12.4m $59.1m
Distributions and payments to noncontrolling interest $45.8m ($23.7m) ($15.2m) ($12.5m) ($7.6m) ($5.8m) ($6.9m) ($2.3m) $0 $0
Buyout of noncontrolling interest $0 $0 ($12.0m) ($6.9m) $0 $0
Contributions from noncontrolling interest $209.9m $13.7m $0 $0 $6.5m $0 $2.8m $7.0m $4.0m $0
Dividend paid $0 $0 ($1.5m) ($947k)
Net cash provided by financing activities $283.4m $142.9m $317.2m ($120.3m) $176.0m $306.4m $211.4m $683.3m $175.2m $1.5b
Effect of exchange rate changes on cash, cash equivalent, and restricted cash $0 $0 ($594k) $434k ($281k) ($2.6m) $1.4m
Net increase in cash, cash equivalents, and restricted cash ($8.4m) ($37.3m) $99.9m $96.9m $39.3m $198.4m ($96.7m) $226.8m $205.8m $1.5b
Cash paid during the period for interest $20.5m $37.6m $59.5m $69.9m $71.7m $68.7m $49.0m $49.9m $55.7m $49.5m
Cash paid during the period for income taxes $635k $616k $1.7m $860k $371k $576k $1.4m $1.5m $1.4m $1.7m

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.