0001047469-14-001145.txt : 20140221 0001047469-14-001145.hdr.sgml : 20140221 20140221133550 ACCESSION NUMBER: 0001047469-14-001145 CONFORMED SUBMISSION TYPE: 10-K PUBLIC DOCUMENT COUNT: 12 CONFORMED PERIOD OF REPORT: 20131231 FILED AS OF DATE: 20140221 DATE AS OF CHANGE: 20140221 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CONTROL4 CORP CENTRAL INDEX KEY: 0001259515 STANDARD INDUSTRIAL CLASSIFICATION: ELECTRONIC COMPONENTS & ACCESSORIES [3670] IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-36017 FILM NUMBER: 14632797 BUSINESS ADDRESS: STREET 1: 11734 SOUTH ELECTION ROAD CITY: SALT LAKE CITY STATE: UT ZIP: 84020 BUSINESS PHONE: 801-523-3100 MAIL ADDRESS: STREET 1: 11734 SOUTH ELECTION ROAD CITY: SALT LAKE CITY STATE: UT ZIP: 84020 10-K 1 a2218322z10-k.htm 10-K

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INDEX TO CONSOLIDATED FINANCIAL STATEMENTS

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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549



FORM 10-K



(Mark One)    

ý

 

ANNUAL REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the fiscal year ended December 31, 2013

OR

o

 

TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the transition period from            to            .

Commission file number 001-36017



Control4 Corporation
(Exact name of registrant as specified in its charter)



Delaware
(State or other jurisdiction of
incorporation or organization)
  42-1583209
(I.R.S. Employer
Identification No.)

11734 S. Election Road
Salt Lake City, Utah

(Address of principal executive offices)

 

84020
(Zip Code)

(801) 523-3100
(Registrant's telephone number, including area code)

Securities registered pursuant to Section 12(b) of the Act:

Title of each class   Name of each exchange on which registered
Common Stock, $0.0001 par value per share   The NASDAQ Stock Market LLC

Securities registered pursuant to Section 12(g) of the Act:
None



           Indicate by check mark if the registrant is a well-known seasoned issuer, as defined in Rule 405 of the Securities Act. Yes o    No ý

           Indicate by check mark if the registrant is not required to file reports pursuant to Section 13 or Section 15(d) of the Act. Yes o    No ý

           Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days. Yes ý    No o

           Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files). Yes ý    No o

           Indicate by check mark if disclosure of delinquent filers pursuant to Item 405 of Regulation S-K (§ 229.405 of this chapter) is not contained herein, and will not be contained, to the best of registrant's knowledge, in definitive proxy or information statements incorporated by reference in Part III of this Form 10-K or any amendment to this Form 10-K. ý

           Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer or a smaller reporting company. See definition of "accelerated filer", "large accelerated filer" and "smaller reporting company" in Rule 12b-2 of the Exchange Act.

Large accelerated filer o   Accelerated filer o   Non-accelerated filer ý
(do not check if a
smaller reporting company)
  Smaller reporting company o

           Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act). Yes o    No ý

           As of June 30, 2013, the last business day of the registrant's most recently completed second quarter, there was no established public market for the registrant's common stock. The registrant's common stock began trading on the NASDAQ Global Select Market on August 2, 2013. The aggregate market value of voting and non-voting common equity held by non-affiliates of the registrant as of August 2, 2013 was approximately $199.7 million (based on a closing sale price of $20.05 per share as reported for the NASDAQ Global Select Market on August 2, 2013). For purposes of this calculation, shares of common stock held by officers, directors and their affiliated holders and shares of common stock held by persons who hold more than 10% of the outstanding common stock of the registrant have been excluded from this calculation because such persons may be deemed to be affiliates. This determination of executive officer or affiliate status is not necessarily a conclusive determination for other purposes.

           As of February 14, 2014, 22,901,986 shares of the registrant's Common Stock, $0.0001 par value, were outstanding.



DOCUMENTS INCORPORATED BY REFERENCE

           Portions of the registrant's definitive Proxy Statement relating to its 2014 Annual Meeting of Stockholders are incorporated by reference into Part III of this Annual Report on Form 10-K where indicated. Such Proxy Statement will be filed with the U.S. Securities and Exchange Commission ("SEC") within 120 days after the end of the fiscal year to which this report relates.

   


Table of Contents


Control4 Corporation

Form 10-K
For Fiscal Year Ended December 31, 2013


Table of Contents

Part I.

         

Item 1.

 

Business

    4  

Item 1A.

 

Risk Factors

    16  

Item 1B.

 

Unresolved Staff Comments

    38  

Item 2.

 

Properties

    38  

Item 3.

 

Legal Proceedings

    38  

Item 4.

 

Mine Safety Disclosures

    38  

Part II.

 

 

   
 
 

Item 5.

 

Market for Registrant's Common Equity, Related Stockholder Matters and Issuer Purchases of Equity Securities

    39  

Item 6.

 

Selected Financial Data

    41  

Item 7.

 

Management's Discussion and Analysis of Financial Condition and Results of Operations

    44  

Item 7A.

 

Qualitative and Quantitative Disclosures about Market Risk

    63  

Item 8.

 

Financial Statements and Supplementary Data

    63  

Item 9.

 

Changes in and Disagreements With Accountants on Accounting and Financial Disclosure

    63  

Item 9A.

 

Controls and Procedures

    63  

Item 9B.

 

Other Information

    64  

Part III.

 

 

   
 
 

Item 10.

 

Directors, Executive Officers and Corporate Governance

    65  

Item 11.

 

Executive Compensation

    65  

Item 12.

 

Security Ownership of Certain Beneficial Owners and Management and Related Stockholder Matters

    65  

Item 13.

 

Certain Relationships and Related Transactions and Director Independence

    65  

Item 14.

 

Principal Accountant Fees and Services

    65  

Part IV.

 

 

   
 
 

Item 15.

 

Exhibits, Consolidated Financial Statements and Financial Statement Schedules

    66  

Signatures

    69  

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Special Note Regarding Forward-Looking Statements

        This Annual Report on Form 10-K ("Form 10-K") contains "forward-looking statements" within the meaning of the "safe harbor" provisions of the Private Securities Litigation Reform Act of 1995, including but not limited to, statements regarding Control4's financial outlook. All statements other than statements of historical fact contained in this Form 10-K are forward-looking statements. In some cases, you can identify forward-looking statements by terminology such as "may," "will," "should," "expects," "plans," "anticipates," "believes," "estimates," "predicts," "potential" or "continue" or the negative of these terms or other comparable terminology. These forward-looking statements are made as of the date they were first issued and were based on current expectations, estimates, forecasts, and projections as well as the beliefs and assumptions of management. Forward-looking statements are subject to a number of risks and uncertainties, many of which involve factors or circumstances that are beyond Control4's control. Control4's actual results could differ materially from those stated or implied in forward-looking statements due to a number of factors, including but not limited to, those discussed in the section titled "Risk Factors" included in this Form 10-K, as well as other documents that may be filed by the Company from time to time with the SEC. The forward-looking statements included in this Form 10-K represent Control4's views as of the date of this Form 10-K. The Company anticipates that subsequent events and developments will cause its views to change. Control4 undertakes no intention or obligation to update or revise any forward-looking statements, whether as a result of new information, future events, or otherwise. References in this Form 10-K to the "Company," "Control4," "we," "us," and "our" refer to Control4 Corporation and, where appropriate, its subsidiaries, unless otherwise stated.

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PART I.

ITEM 1.    Business

Overview

        We are a leading provider of automation and control solutions for the connected home. We unlock the potential of connected devices, making entertainment systems easier to use, homes more comfortable and energy efficient, and families more secure. We provide our consumers with the ability to integrate music, video, lighting, temperature, security, communications and other functionalities into a unified home automation solution that enhances our consumers' daily lives. More than 78% of our consumers have integrated two or more of these functionalities with our solution. At the center of our solution is our advanced software platform, which we provide through our products that interface with a wide variety of connected devices that are developed both by us and by third parties.

        Our solution functions as the operating system of the home, making connected devices work together to control, automate and personalize the homes of our consumers.

        Consumer need for simplicity and a personalized experience, combined with advances in technology, are driving rapid growth in the connected home market. As a result of the significant growth in smart devices, mobile data networks, home broadband access and in-home wireless networking, consumers are more comfortable with ubiquitous connectivity and device interoperability. Accustomed to network connectivity and control of their digital lives, consumers are now looking for affordable ways to extend this functionality into their homes, driving growth in the mainstream home automation market.

        We were founded in 2003 to deliver a mainstream home automation solution by enabling consumers to unify their connected devices into a personalized system at an accessible and affordable entry point. Sold through our worldwide network of over 3,000 active direct dealers, our solution sits at the center of the mainstream home automation market by providing integrated and extensible control of over 7,700 third-party devices and services. These devices and services span a broad variety of product categories including music, video, lighting, temperature, security, communications and other devices. Our platform capabilities provide consumers with solutions that are easy to use, comprehensive, personalized, flexible and affordable.

        Based on our analysis, we estimate that we have automated more than 150,000 homes representing cumulative sales of more than 340,000 of our controller appliances, the brain of the connected home. We sell and deliver our solutions through an extensive worldwide dealer and distributor network and have solutions installed in 87 countries. Our top 100 dealers represented 22% of our total revenue in 2013.

        We generated revenue of $93.4 million, $109.5 million, and $128.5 million in 2011, 2012 and 2013, respectively. We had a net loss of $3.9 million and $3.7 million, and a net income of $3.5 million in 2011, 2012 and 2013, respectively.

Our Industry

        Within the last decade, the pace of innovation in the electronics industry has accelerated rapidly. Network-aware devices—such as televisions, smartphones, tablets, thermostats, appliances and security systems—that separately connect to a home network create the "connected home." Home automation technology integrates devices in the connected home, unlocking the collective potential of these devices working together to improve consumers' lives. The home automation market has reached a major inflection point and is becoming a mainstream offering accessible by a broad base of consumers.

        Home automation solutions unify the control of music, video, lighting, temperature, security, communications and other devices in the connected home to provide consumers with improved

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convenience, comfort, energy efficiency and security. The key functional elements of home automation include:

    Control.  Controlling devices is the most basic capability of home automation solutions. From a single interface, consumers can operate a wide array of devices using wired or wireless connections. With the recent growth in smartphones and tablets, control functionality is increasingly being extended to these mobile devices;

    Automation.  After initial programming, automation enables devices to function without additional human intervention. Automation also enables various devices to work in concert to perform more complex tasks and to take actions based on external conditions; and

    Personalization.  Personalization enables home automation solutions to be tailored to the unique lifestyle requirements of individual consumers and their families. Personalization unlocks the full potential of home automation to enhance, enrich and simplify the lives of consumers.

Our Solution

        The Control4 solution, built around our advanced software platform, sits at the center of the fast growing mainstream segment of the home automation market. We unlock the potential of connected devices, making entertainment systems easier to use, homes more comfortable and energy efficient, and families more secure. Our solution functions as the operating system of the home, integrating music, video, lighting, temperature, security, communications and other devices into a unified automation solution that enhances our consumers' lives.

        The Control4 solution integrates more than 7,700 third-party devices and systems into a unified, easy-to-use solution for mainstream consumers. As a result, our solution provides the consumer with the following benefits:

    Easy to Use.  Our solution is designed to be simple and intuitive. Through our unified software platform, consumers can easily interact with their entire automated home without learning multiple interfaces or numerous remote controls. We have designed our solution so that anyone, from a young child to a grandparent, can pick up a Control4 device, push a button and watch a movie without any prior instruction;

    Broad Device Interoperability.  Our open and flexible platform provides consumers with access to a broad universe of third-party devices that become connected and interoperable through our solution. The Control4 software platform currently operates with over 7,700 discrete third-party devices;

    Advanced Personalization.  Our adaptable solution enables our consumers to personalize the features and functionality of their Control4 system. Our modular design also enables the smooth integration of new third-party products to meet the evolving needs of our consumers as their lifestyles change;

    Attractive Entry Point.  Consumers can start with a single room multi-media automation experience for about $1,000 and scale to an integrated solution with an average cost of $26,000. Based on our research, more than half of our consumers have Control4 system configurations with one controller, with an average cost of $4,000 and a median cost of $2,500 (including estimated installation costs);

    Professional Installation and Support through Our Global Dealer Network.  As the number and types of connected devices continues to grow, the need for local professional consultation, installation and support is currently essential for a successful home automation experience. We have built a global network of over 3,000 active direct dealers and distributors. Our certified dealers receive in-depth training, on-going education and support, enabling them to help consumers develop and

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      install their personalized home automation experiences with the Control4 solution. To further increase consumer satisfaction, we also maintain a Customer Advocacy & Care Group that responds directly to consumer questions and concerns; and

    Remote Access.  We have developed service offerings that complement our product solutions in order to provide consumers even more access, control and enhanced functionality over their automated homes. 4Sight subscription services provide consumers with the ability to remotely monitor and adjust settings in their homes (such as lights, temperature settings, door locks, gates and cameras) as well as receive event-based email alerts when predefined events either occur or do not occur by a specific time.

Our Growth Strategy

        Our goal is to be the leading provider of mainstream home automation solutions and the operating system of choice for the home. The following are key elements of our growth strategy:

    Enhance Our Software Platform and Products.  We believe that our success to-date has been largely driven by the capabilities of our software platform. We will continue to invest in our software platform to develop and support new products, features and capabilities that deliver exceptional performance and value to our consumers;

    Strengthen and Expand Our Global Dealer Network.  We have developed a global network of over 3,000 active direct dealers and 29 distributors to sell, install and support our solutions. We will continue to expand and optimize our dealer network to ensure that we have sufficient geographic coverage across both existing and new markets. We will also continue to devote significant resources to increase the productivity and competency of our dealers and distributors by providing them with ongoing training, tools and support;

    Increase Penetration of Our North America Core Market.  We intend to continue to focus on the residential market in North America, which represented approximately 76% of our revenue for the year ended December 31, 2013. We believe the residential market offers us an opportunity for significant long-term growth, and we will continue to devote sales and marketing resources to increase penetration of that core market;

    Expand Our Focus on Adjacent Markets.  We are also making investments to capitalize on opportunities outside the residential market and internationally. Internationally, our user interfaces are now available in 28 languages and our products are distributed in 87 countries. In addition, we have had initial success in the light commercial, multi-dwelling unit and hospitality markets, and we plan to continue our focus on these and other adjacent opportunities to expand our addressable market;

    Enhance Our Solution with Services and Apps.  In addition to automating devices within the home, our solution also enables a wide variety of service and application opportunities. We plan to continue to enhance our 4Sight subscription services to provide consumers with enhanced home monitoring and control capabilities from any Internet-connected mobile device or computer;

    Pursue Technology Licensing Opportunities.  We plan to make our technology increasingly available to third parties through licensing agreements. We have also begun making our device auto-discovery technology, Simple Device Discovery Protocol ("SDDP"), available on a royalty-free basis to third parties to streamline and automate the setup, identification and configuration of their devices into our system. As of December 31, 2013, 59 third parties had agreed to license SDDP from us, and 22 of them had begun shipping SDDP-enabled devices. We also plan to expand our licensing activities to leverage third-party distribution channels, grow our partner relationships, simplify the home automation experience for dealers and consumers, and increase interoperability; and

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    Pursue Strategic Acquisitions.  We believe that our software platform has a strategic position as the operating system of the connected home. As a result, we believe we are ideally positioned to identify, acquire and integrate strategic acquisitions that are complementary to our current offerings, strengthen and expand our technology foundation, enhance our market positioning, distribution channels and sales, and are consistent with our overall growth strategy.

Our Products and Services

        The primary benefits we provide consumers and dealers lie in the value and competitive differentiation of our software platform. We deliver value and differentiation to consumers and generate revenues by embedding our software into a range of physical products.

Software Platform

        At the center of the Control4 product line is the Control4 Home Operating System, which we refer to as the C4 OS, and the associated application software and software development kits, or SDKs. The high-level software components include:

    Director.  Director is a real-time, extensible home operating system kernel that is responsible for monitoring and receiving events from numerous devices and services, processing those events according to consumer personalized settings, and then dispatching commands to the appropriate devices to perform predefined actions. Director runs on our controller appliances and certain authorized partner products such as Sony ES receivers;

    Navigator.  Navigator displays intuitive and rich graphical user interfaces on televisions, in-wall and table-top touch panels, smartphones and tablets, as well as list-based devices such as remote controls with LCD text-displays;

    Composer Professional Edition.  Composer Professional Edition is a software application that enables trained and certified Control4 dealers and installers to design, configure and personalize a Control4 home automation system for consumers;

    Composer Home Edition and Composer Media Edition.  Composer Home Edition and Media Edition enable consumers to view and configure their Control4 managed devices. These drag-and-drop programs provide the ability to manage digital media and create and modify simple programs and policies (such as changing lighting scenes, modifying custom buttons and controlling behaviors among devices based on schedules or times of the day);

    DriverWorks SDK.  DriverWorks SDK is a software development kit that enables dealers, programmers and device manufacturers to independently develop and test custom two-way interface drivers to support the integration of a new device or device model into our system, or to customize and enhance an existing driver. DriverWorks SDK has enabled 7,700 different products and services to be incorporated into the Control4 ecosystem; and

    Navigator SDK and Application SDK.  Navigator SDK and Application SDK are software development kits that enable third-party dealers and programmers to customize and deliver new application functionality within Navigator user interfaces on Control4 interface devices through the development of apps.

Products with Embedded Software and Services

        Our products leverage our software platform to provide consumers with a comprehensive and easy-to-use connected home experience. We designed our software platform to be extensible, which has allowed us to improve and augment the functionality of hardware products (both those designed by us

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and by others) over time. We also design and manufacture our products via contract manufacturers as well as certify partner products for sale through our dealers. Our products and services include:

    Controller Appliances.  Our controller appliances run our Director software to monitor, process and automate events, statuses and actions for numerous devices and services, creating a comprehensive connected home experience. Currently we offer the HC-800, a whole home controller appliance, and the HC-250, a single-room controller appliance;

    Interface Devices.  We offer touch panels, handheld remote controls and keypads as interface devices. We also develop and deliver software applications for Apple iOS and Android smartphones and tablets that enable these personal devices to become control interfaces to Control4 connected homes, both on-premise and remotely;

    Audio/Video Equipment.  The Wireless Music Bridge is a simple, elegant way to allow consumers to enjoy the music available on their smartphone, tablet or computer—their own music collection as well as streaming services like Pandora, Rhapsody, Spotify or TuneIn—by wirelessly streaming their selection to their home audio system using AirPlay, DLNA or Bluetooth technologies. We also offer 4x4 and 8x8 zone power amplifiers, network-enabled 4x4 and 8x8 zone matrix amplifiers, and a 16x16 audio matrix switch for versatile multi-room and whole-home audio distribution. In addition, we offer an 8x8 HDMI matrix switch and an HDBaseT receiver that distribute eight HDMI sources to eight video display locations with full HD, an integrated digital media player for integration of local digital audio and video, as well as Wi-Fi and Ethernet amplified speaker points for streaming digital audio to speakers in areas without an audio receiver;

    Lighting Products.  We offer a suite of lighting products that provide personalized control and energy management. Our suite of wireless light switches and dimmers can easily replace devices in an existing home or be installed in new homes. We offer innovative in-wall wireless switches and dimmers for 120V, 240V and 277V electrical loads, which meet the requirements of North America and many international markets. We also offer panelized systems, where all of the lighting control will be done on a remote panel. In addition to providing lighting control, our switches can be programmed to operate other systems in the home, such as allowing consumers to access their favorite music playlist with the touch of a button.

    Thermostats.  Our wireless multi-stage thermostat is completely programmable with up to six set points per day and, using our 4Sight subscription service, is remotely accessible and controllable. Through the Control4 operating system, we also integrate with third-party products (such as automated shades and pool controls) that provide additional energy savings, convenience and efficiency;

    Security Products.  We provide a set of products and software services created by us as well as distribute certified third-party products, including deadbolts, door and window sensors, motion sensors, garage access systems and water leak detection systems, from our security partners such as Baldwin, Card Access, Kwikset and Yale. Through our SDDP technology, we also integrate with over 1,500 network video recorders and surveillance cameras sold by five of the top security monitoring manufacturers;

    Communication Products.  We offer full motion video and high quality audio intercom capability through our in-wall and tabletop touchscreens, as well as our exterior weather-resistant door stations; and

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    Subscription Services.  4Sight is a subscription service that enables 24x7 home monitoring and control from virtually anywhere, remote home programming and support, and instant email alerts based on home events so that homeowners are always in-the-know. For example, 4Sight allows consumers to remotely unlock the front door to let in a repairman, to turn on the air conditioning on the way home, and to monitor their home security cameras from a smartphone.

        Sales of our controller appliances, including software, represented 37% of our total revenue in 2013.

        Our installed solutions include functionalities in the following percentages:

Video

    100 %

Music

    57  

Lighting

    51  

Communications

    32  

Security

    31  

Temperature

    23  

        More than 78% of our consumers have integrated two or more of these functionalities with our solution.

Our Distribution Network

        In 2005, we started selling our solutions through a network of over 450 independent dealers. Since that time, our distribution network has grown to over 3,000 active direct dealers and distributors in 87 countries. Dealers range in size from small family businesses to very large organizations.

        Our dealers are home automation specialists that have significant experience in designing, installing and servicing both low- and high-voltage systems including music, video, security, communications and temperature control. Every Control4 dealer has gone through extensive training and has passed the necessary certification tests—either in one of our training facilities located in the United States, the United Kingdom, China, or India or in a training facility of one of our 29 distributors. Every installer for each dealer must complete course work and pass pre-training examinations, as well as pass rigorous testing at the conclusion of the multi-day formal training in order to become certified to sell and install our solutions.

        We sell directly through dealers in the United States, Canada, the United Kingdom and 43 other countries. We partner with 29 distributors to serve 41 additional countries where currently we do not have dealer training and support facilities. Our distributors recruit, train and manage dealers within their region and also help dealers find country specific solutions for unique needs based on the special home automation market characteristics within each country. In recent years, we have moved more toward a dealer-direct model in specific international regions as we have added and continue to add sales and support staff, namely in the United Kingdom, China and India.

        During the years ended December 31, 2011, 2012 and 2013, none of our dealers or distributors accounted for more than 5% of our revenue. None of our dealers or distributors have minimum or long-term purchase obligations. Dealer orders are typically placed on a project-by-project basis. As such, our dealers do not typically carry significant levels of inventory. The resulting just-in-time model helps reduce dealer inventory investment and also reduces dealer returns. Our dealers around the world are each responsible for local marketing, selling, installing and servicing our solution for the consumer.

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Our Partners

        The home automation market is made up of a collection of thousands of electronically controllable products made by hundreds of key manufacturers. We believe that our success has come, in part, due to our success in forming relationships with many of these manufacturers. As of December 31, 2013, we had agreements with over 150 manufacturers, of which 49 have formally submitted their devices to us for Control4 certification so that our worldwide dealer network can be assured that these third-party devices work well with our platform.

        In addition to standard interoperability with Control4, more and more manufacturers are realizing the value our technology can bring when it is embedded inside their products. For example, we recently launched our device auto-discovery technology, SDDP, which enables seamless installation of devices by embedding code at the manufacturer, making it easier for dealers and consumers to add new products to existing systems. As of December 31, 2013, 59 third parties had agreed to license SDDP from us, and 22 of them had begun shipping SDDP-enabled devices.

        Third-party manufacturers are currently selling over 800 different products representing 43 brands (including brands such as Sony, Baldwin, Kwikset, Leaf, Yale and TruAudio) through our online store. Our online store provides manufacturers valuable reach into our trained dealer network, and it helps our dealers gain easy access to products that they know are certified by Control4. We also partner with other companies for purposes of strategic initiatives.

Our Technology

Core Automation Enabling Technology

        At the core of the Control4 platform is the C4 OS. The C4 OS consists of two main components, our Director and Navigator software that work in concert with different modules within the system to provide consumers with a unified and comprehensive connected home experience. These modules help our software platform manage media, update connected devices and interoperate using a variety of communication protocols including Ethernet, Wi-Fi, Bluetooth, ZigBee, Infrared, or IR, serial interfaces and more.

    Director Software.  Director is the brain of the C4 OS and interfaces with a Linux kernel. Director architecture includes a proprietary "driver pairing" technology that creates a hardware abstraction layer and exposes a single common software Applications Programming Interface ("API") for all devices of the same type. This enables an application developer to write an application to manage a lighting system that will work with any brand of lighting control equipment. Director also includes an advanced scheduling engine and astronomical clock that allows for time-based control of anything in a Control4 system. Director has a component called "Connection Manager" that is responsible for discovering new devices and maintaining connections with all of the diverse devices in an automation system.

    Navigator Software.  Navigator is the C4 OS user interface application. Navigator connects to Director through the Director API and based on what is in the system, automatically provides a customized user interface for control of the system. All Control4 controller appliances and touch panels run Navigator. When running on a controller appliance, Navigator produces an "On-Screen" interface for use on TVs and projection systems with a remote control. Navigator can also produce an interface that is touch-based. Navigator is also available for Macs, PCs, Apple iOS and Android devices.

    Media Manager.  Media Manager discovers, scrubs and indexes media audio and video content across various sources—from local content spread across Macs, PCs, NAS drives, tablets, smartphones, cable boxes and satellite receivers to streaming content scattered across online services such as Rhapsody, TuneIn, Netflix, Vudu, Hulu and Amazon Prime. Using the C4 OS, a

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      consumer can search for music by a particular artist and get a unified result of all content from that artist across all devices and services.

    Update Manager.  Update Manager manages complex device and system updates in a synchronized way. The Update Manager will automatically check for updates on devices connected to the Control4 system, and when prompted update all of the disparate devices in the correct order, whether or not they are directly connected to the Internet.

    Audio Server.  Audio Server is the C4 OS component that manages music playback in a Control4 system. Audio Server implements Control4's patented audio synchronization system that enables synchronized music playback across traditional analog, wired digital and wireless digital audio devices.

    ZigBee Server.  ZigBee Server creates an Internet Protocol-to-ZigBee bridge and maintains a robust wireless communications system through ZigBee's open wireless mesh networking standard. Our controller appliances use this bridge to communicate with low-bandwidth, low-cost and low-power applications such as thermostats, light switches and remote controls.

    IO Server.  IO Server functions as an Internet Protocol bridge to various incompatible communication protocols such as IR, RS-232, RS-485 and contact closures. Our controller appliances implement these physical layers in order to handle the devices that do not implement Internet Protocol, allowing the connected home to communicate with more devices.

Simple Device Discovery Protocol (SDDP)

        We have a patented device auto-discovery technology called Simple Device Discovery Protocol, or SDDP, that we developed to enable seamless installation of devices in our system. When a new SDDP-enabled device is installed in a home, the device sends out a signal that is immediately discovered by the system, thereby allowing the new device to easily be added.

4Sight Subscription Service

        We offer a subscription service called 4Sight that enables secure remote access to the connected home without exposing the installer or consumer to the complexities of communicating around firewalls and private Internet Protocol addresses. This service facilitates connections between remote client devices and our systems through a cloud-based service. Using 4Sight, consumers can remotely monitor and control their Control4 systems as if they were at their homes.

Our Research and Development

        Our flexible research and development model relies upon a combination of in-house staff and offshore design and manufacturing partners to improve and enhance our existing products and services, as well as develop new products, features and functionality in a cost-effective manner. We believe that our software platform is critical to expanding our leadership position within the mainstream home automation market. As a result, we devote the majority of our research and development resources to software development. We work closely with our consumers to understand their current and future needs and have designed a product development process that captures and integrates feedback from our consumers.

        As of December 31, 2013, we had 164 employees in our research and development organization, substantially all of whom were located at our headquarters in Salt Lake City, Utah. Our research and development expenses were $19.2 million in 2011, $20.3 million in 2012 and $25.0 million in 2013. We intend to continue to significantly invest in research and development to expand our solutions and capabilities in the future.

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Our Manufacturing

        We outsource the manufacturing of our hardware products to contract manufacturers. The majority of our hardware products are manufactured by Sanmina and LiteOn at their respective facilities located in southern China, with additional manufacturing performed by six contract manufacturers located throughout Asia. Our agreement with Sanmina expires in June 2017, after which it automatically renews for successive one-year terms unless either party terminates the agreement with 90 days' notice. Our agreement with LiteOn expires in December 2014, after which it automatically renews for successive one-year terms unless either party terminates the agreement with 180 days' notice. Our manufacturing partners assemble our products using our design specifications, quality assurance programs and standards, and procure components and assemble our products based on our demand forecasts. These forecasts represent our estimates of future demand for our products based upon historical trends and analysis from our sales and product management functions. We maintain fulfillment centers in Salt Lake City, Utah and York, England. Our manufacturing partners currently ship all hardware products to our fulfillment centers and then we ship them directly to our dealers and distributors around the world.

        We have multiple sources for most of our components. However, we do depend on single source manufacturers for certain critical components, including processors, memory modules and touch panels. We can choose to change processor and memory modules for any of our products but because of high implementation costs, we generally choose to make these changes only upon development of new products. We also rely on certain custom connectors, cables and mechanical enclosures for our hardware products that are single sourced because of the high tooling costs of sourcing the components from multiple suppliers. In each of these cases, we own the drawings and design of these custom components.

Our Marketing

        Our marketing team supports our sales channel with dealer-directed advertising and promotions, lead-generation, social media engagements and training events, as well as the design and production of consumer-facing collateral, showroom signage and market-specific advertising. Our website is the anchor to our online and social media strategy, from which we direct leads to our dealers. Control4's bi-annual magazine, Home Smart Home, features lifestyle stories of Control4 installations from around the world and is available on iTunes and on our website. The publication is also reproduced and distributed to customers and prospects on our behalf by our dealers and partners.

        We are active participants at global industry conferences and maintain a significant presence at CEDIA trade shows. Beyond CEDIA in the United States, we sponsored the 2013 CEDIA Conference in London and an exhibit at Integrated Systems Europe ("ISE") in February 2014, the annual industry trade show held in Amsterdam. Additionally, beginning in the second quarter of 2014, we will be participating in CEDIA-specific events and tradeshows throughout China. We are frequently featured in the trade press and maintain strong relationships with the industry's key analysts and associations.

        In 2013 and early 2014, we invested in an automated marketing platform to deliver leads and creative assets to our dealers that can be customized at a local level. Dealers can leverage the automated marketing platform to run online advertising campaigns, download and customize video and ad creative, showroom collateral, direct mail templates and newsletters.

        We believe that partnering with device manufacturers, leveraging co-marketing partnerships, expanding our sales channels and increasing our brand recognition among consumers are key components of our growth strategy.

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Our Competition

        The market for home automation systems is fragmented, highly competitive and continually evolving. Our current competitors fall into several categories:

    Providers that focus primarily on the luxury segment of the home automation market, including AMX, Crestron and Savant;

    Providers of point products that address a narrow set of control and automation capabilities, including Logitech, Lutron, Nest Labs (recently acquired by Google), Roku, Sonos and Universal Remote Control; and

    Providers of managed home automation and security services, including ADT, Comcast, Verizon and Vivint (which in turn may utilize third-party software from companies including Alarm.com and iControl).

        Companies that provide popular point solutions have eliminated or restricted, and may again eliminate or restrict, our ability to control and be compatible with their products.

        In addition, large technology companies such as Apple, Google (which recently acquired Nest Labs), Microsoft and Samsung offer control capabilities among their own products, applications and services, and have ongoing development efforts to address the broader home automation market. Given the growth dynamics of this market, there are many new and existing companies targeting portions of the mainstream home automation market. To the extent that consumers adopt products, applications and services from a single large technology company or any of these companies broaden their home automation capabilities, we will face increased competition.

        The principal competitive factors in our market include the:

    Breadth of home automation capabilities provided;

    Simplicity of use and installation;

    Interoperability with third-party devices;

    Price and total cost of ownership;

    Sales reach and local installation and support capabilities; and

    Brand awareness and reputation.

        We believe that our home automation solution competes favorably with respect to these factors. Nevertheless, many of our competitors have substantially greater financial, technical and other resources, greater name recognition, larger sales and marketing budgets, broader distribution channels, and larger and more mature intellectual property portfolios than we do.

Our Intellectual Property

        Our success and ability to compete effectively depend in part on our ability to protect our proprietary technology and to establish and adequately protect our intellectual property rights. To accomplish these objectives, we rely on a combination of patent, trademark, copyright and trade secret laws in the United States and other jurisdictions, as well as license agreements, confidentiality agreements and other contractual protections.

        As of December 31, 2013, we owned 41 issued United States patents (16 of which are design patents) that are scheduled to expire between 2025 and 2031, with respect to utility patents, and between 2020 and 2022, with respect to design patents. We continue to file patent applications in multiple jurisdictions and as of December 31, 2013, we had one patent application allowed, 8 patent applications published and 11 patent applications pending in the United States. We also had two issued

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patents and 10 pending patent applications under foreign jurisdictions and treaties such as Canada, Australia, New Zealand, the United Kingdom and the European Patent Convention. The claims for which we have sought patent protection apply to both our hardware and software products. Our patent and patent applications generally apply to the features and functions of our C4 OS and the applications associated with our platform.

        We also rely on several registered and unregistered trademarks to protect our brand. We have registered the trademarks Control4, Control4 MyHome, the Control4 logo, the Control4 design, 4Store and Everyday Easy in the United States, and Control4 in the European Union and Mexico. We have a trademark application pending in the United States, and 10 trademark applications, for various marks, pending in Brazil, Canada, China, the European Union, and India.

        We have filed for United States copyright protection for our source code for all major releases of our software. We also license software from third parties for integration into or use with our products, including open-source software and other commercially available software.

        In addition, we seek to protect our intellectual property rights by requiring our employees and independent contractors involved in development to enter into agreements acknowledging that all inventions, trade secrets, works of authorship, developments, concepts, processes, improvements and other works generated by them on our behalf are our intellectual property, and assigning to us any rights, including intellectual property rights, that they may claim in those works.

Employees

        As of December 31, 2013, we had 386 employees, including 353 employees in the United States and 33 employees internationally. None of our employees are represented by a labor union with respect to his or her employment with us. We have not experienced any work stoppages and we consider our relations with our employees to be good.

Available Information

        We were incorporated in Delaware in 2003. Our principal executive offices are located at 11734 South Election Road, Salt Lake City, Utah 84020, and our telephone number is (801) 523-3100. Our principal website address is www.control4.com. Information contained on our website does not constitute a part of, and is not incorporated by reference into, this Form 10-K or in any other report or document we file with the Securities and Exchange Commission ("SEC").

        Control4, the Control4 logo, 4Sight, 4Store and Control4 MyHome are registered trademarks or trademarks of Control4 Corporation in the United States and, in certain cases, in other countries. This Form 10-K contains additional trade names, trademarks and service marks of other companies. We do not intend our use or display of these companies' trade names, trademarks or service marks to imply a relationship with, or endorsement or sponsorship of us by, these other companies.

        We are an emerging growth company as defined in the Jumpstart Our Business Startups Act of 2012 (the "JOBS Act"). We will remain an emerging growth company until the earliest to occur of: the last day of the fiscal year in which we have more than $1.0 billion in annual revenue; the date we qualify as a "large accelerated filer," with at least $700 million of equity securities held by non-affiliates; the issuance, in any three-year period, by us of more than $1.0 billion in non-convertible debt securities; or the last day of the fiscal year ending after the fifth anniversary of our initial public offering.

        We file reports with the SEC, including Annual Reports on Form 10-K, Quarterly Reports on Form 10-Q, Current Reports on Form 8-K, and any other filings required by the SEC. Through our website, we make available free of charge our Annual Reports on Form 10-K, Quarterly Reports on

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Form 10-Q, Current Reports on Form 8-K, and all amendments to those reports, as soon as reasonably practicable after we electronically file such material with, or furnish it to, the SEC.

        The public may read and copy any materials we file with, or furnish to, the SEC at the SEC's Public Reference Room at 100 F Street, NE, Washington, DC 20549. The public may obtain information on the operation of the Public Reference Room by calling the SEC at 1-800-SEC-0330. The SEC maintains an Internet site (www.sec.gov) that contains reports, proxy and information statements, and other information regarding issuers that file electronically with the SEC.

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ITEM 1A.    Risk Factors

        A description of the risks and uncertainties associated with our business is set forth below. You should carefully consider such risks and uncertainties, together with the other information contained in this report, and in our other public filings. If any of such risks and uncertainties actually occurs, our business, financial condition or operating results could differ materially from the plans, projections and other forward-looking statements included in the section titled "Management's Discussion and Analysis of Financial Condition and Results of Operations" and elsewhere in this report and in our other public filings. In addition, if any of the following risks and uncertainties, or if any other risks and uncertainties, actually occurs, our business, financial condition or operating results could be harmed substantially, which could cause the market price of our stock to decline, perhaps significantly.

Risks Related to Our Business and Industry

We have incurred operating losses in the past, may incur operating losses in the future, and may not achieve or maintain profitability.

        We began our operations in 2003. For substantially all of our history, we have experienced net losses and negative cash flows from operations. As of December 31, 2013, we had an accumulated deficit of $102.1 million. We expect our operating expenses to increase in the future as we expand our operations. Furthermore, as a public company, we incur additional legal, accounting and other expenses that we did not incur as a private company. If our revenue does not grow to offset these increased expenses, we will not become profitable. We may incur significant losses in the future for a number of reasons, including without limitation the other risks and uncertainties described herein. Additionally, we may encounter unforeseen operating or legal expenses, difficulties, complications, delays and other unknown factors that may result in losses in future periods. If these losses exceed our expectations or our revenue growth expectations are not met in future periods, our financial performance will be harmed.

The markets in which we participate are highly competitive and many companies, including large technology companies, broadband and security service providers and other managed service providers, are actively targeting the home automation market. Our failure to differentiate ourselves and compete successfully with these companies would make it difficult for us to add and retain consumers, and would reduce or impede the growth of our business.

        The market for automation and control solutions for the connected home is increasingly competitive and global. Many large technology companies have expanded into the connected home market by developing their own solutions, or by acquiring other companies with home automation solution offerings. For example, Microsoft Corporation recently acquired id8 Group R2 Studios Inc., a home entertainment technology company, and Google recently acquired Nest Labs, which manufactures thermostats and smoke detectors. These large technology companies already have broad consumer awareness and sell a variety of devices for the home, and consumers may choose their offerings instead of ours, even if we offer superior products and services. Similarly, many managed service providers, such as cable TV, telephone and security companies, are beginning to offer services that provide device control and automation capability within the home for an additional monthly service fee. For example, Comcast is expanding its Xfinity service to provide residential security, energy and automation services. These managed service providers have the advantage of leveraging their existing consumer base, network of installation and support technicians and name recognition to gain traction in the home automation market. In addition, consumers may prefer the monthly service fee with little to no upfront cost offered by some of these managed service providers over a larger upfront cost with little to no monthly service fees.

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        We expect competition from these large technology companies and managed service providers to increase in the future. This increased competition could result in pricing pressure, reduced sales, lower margins or the failure of our solutions to achieve or maintain broad market acceptance. To remain competitive and to maintain our position as a leading provider of automation and control solutions for the connected home, we will need to invest continuously in product development, marketing, dealer and distributor service and support, and product delivery infrastructure. We may not have sufficient resources to continue to make the investments in all of the areas needed to maintain our competitive position. In addition, most of our competitors have longer operating histories, greater name recognition, larger consumer bases and significantly greater financial, technical, sales, marketing and other resources than us, which may provide them with an advantage in developing, marketing or servicing new solutions. Increased competition could reduce our market share, revenue and operating margins, increase our operating costs, harm our competitive position and otherwise harm our business and results of operations.

Consumers may choose to adopt point products that provide control of discrete home functionality rather than adopting our unified home automation solution. If we are unable to increase market awareness of the benefits of our unified solution, our revenue may not continue to grow, or it may decline.

        Many vendors have emerged, and may continue to emerge, to provide point products with advanced functionality for use in the home, such as a thermostat that can be controlled by an application on a smartphone. We expect more and more consumer electronic and consumer appliance products to be network-aware and connected—each very likely to have its own smart device (phone or tablet) application. Consumers may be attracted to the relatively low costs of these point products and the ability to expand their home control solution over time with minimal upfront costs, despite some of the disadvantages of this approach. While we have built our solution to be flexible and support third-party point products, these products may reduce the revenue we receive for each installation. It is therefore important that we have technical expertise and provide attractive top quality products in many areas, such as lighting and video, and establish broad market awareness of these solutions. If a significant number of consumers in our target market choose to adopt point products rather than our unified automation solution, then our business, financial condition and results of operations will be harmed, and we may not be able to achieve sustained growth or our business may decline.

Many of the competitors in our market, including providers of luxury integrated installations with long operating histories, established markets, broad user bases and proven consumer acceptance, may be successful in expanding into the mainstream home automation market, which may harm our growth and future prospects.

        Many companies with which we directly compete have been operating in this industry for many years and, as a result, have established significant name recognition in the home automation industry. For example, Crestron, a provider of luxury integrated installations, has been in business for over 40 years and has become an established presence in the home automation industry. Another provider of luxury integrated installations is Savant Systems, which provides home automation based on the Apple iOS operating platform. To the extent these providers are able to develop more affordable products that compete more directly with our solution, our growth may be constrained and our business could suffer. In addition, given the strong growth potential of the market, we expect there to be many new entrants in the future.

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Since we rely on third-party dealers and distributors to sell and install our solutions, we do not have a direct sales pipeline, which makes it difficult for us to accurately forecast future sales and correctly predict manufacturing requirements.

        We depend on our dealer and distributor network to sell and install our solution. As a result, we do not develop or control our sales pipeline, making it difficult for us to predict future sales. In addition, because the production of certain of our products requires long lead times, we enter into agreements for the manufacture and purchase of certain of our products well in advance of the time in which those products will be sold. These contracts are based on our best estimates of our near-term product needs. If we underestimate consumer demand, we may forego revenue opportunities, lose market share and damage our relationships. Conversely, if we overestimate consumer demand, we may purchase more inventory than we are able to sell at any given time, or at all. If we fail to accurately estimate demand for our products, we could have excess or obsolete inventory, resulting in a decline in the value of our inventory, which would increase our costs of revenues and reduce our liquidity. Our failure to accurately manage inventory relative to demand would adversely affect our results of operations.

We have relatively limited visibility regarding the consumers that ultimately purchase our products, and we often rely on information from third-party dealers and distributors to help us manage our business. If these dealers and distributors fail to provide timely or accurate information, our ability to quickly react to market changes and effectively manage our business may be harmed.

        We sell our solutions through dealers and distributors. These dealers and distributors work with consumers to design, install, update and maintain their home automation installations. While we are able to track orders from dealers and distributors and have access to certain information about the configurations of their Control4 systems that we receive through our controller appliances, we also rely on dealers and distributors to provide us with information about consumer behavior, product and system feedback, consumer demographics, buying patterns and information on our competitors. We use this channel sell-through data, along with other metrics, to assess consumer demand for our solutions, develop new products, adjust pricing and make other strategic business decisions. Channel sell-through data is subject to limitations due to collection methods and the third-party nature of the data and thus may not be complete or accurate. In addition, to the extent we collect information directly from consumers, for example through surveys that we conduct, the consumers who supply this sell-through data self select and vary by geographic region and from period to period, which may impact the usefulness of the results. If we do not receive consumer information on a timely or accurate basis, or if we do not properly interpret this information, our ability to quickly react to market changes and effectively manage our business may be harmed.

Our quarterly results of operations have fluctuated and may continue to fluctuate. As a result, we may fail to meet or exceed the expectations of investors or securities analysts, which could cause our stock price to decline.

        Our quarterly revenue and results of operations may fluctuate as a result of a variety of factors, many of which are outside of our control. If our quarterly revenue or results of operations fall below the expectations of investors or securities analysts, the price of our common stock could decline substantially. Fluctuations in our results of operations may be due to a number of factors, including:

    Demand for and market acceptance of our solutions;

    Our ability to increase, retain and incentivize the certified dealers and distributors that market, sell, install and support our solutions;

    The ability of our contract manufacturers to continue to manufacture high-quality products, and to supply sufficient products to meet our demands;

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    The timing and success of introductions of new products, solutions or upgrades by us or our competitors and the entrance of new competitors;

    The strength of regional, national and global economies;

    The impact of natural disasters or manmade problems such as terrorism;

    Changes in our business and pricing policies, or those of our competitors;

    Competition, including entry into the industry by new competitors and new offerings by existing competitors;

    The impact of seasonality on our business;

    The amount and timing of expenditures, including those related to expanding our operations, increasing research and development, introducing new solutions or paying litigation expenses; and

    Changes in the payment terms for our solutions.

        Due to the foregoing factors and the other risks discussed herein, you should not rely on quarter-to-quarter comparisons of our results of operations as an indication of our future performance. You should not consider our recent revenue growth as indicative of our future performance.

If we are unable to develop new solutions, sell our solutions into new markets or further penetrate our existing markets, our revenue may not grow as expected.

        Our ability to increase sales will depend in large part on our ability to enhance and improve our solutions, to introduce new solutions in a timely manner, to sell into new markets and to further penetrate our existing markets. The success of any enhancement or new product or solution depends on several factors, including the timely completion, introduction and market acceptance of enhanced or new solutions, the ability to attract, retain and effectively train sales and marketing personnel, the ability to develop relationships with dealers and distributors and the effectiveness of our marketing programs. Any new product or solution we develop or acquire may not be introduced in a timely or cost-effective manner, and may not achieve the broad market acceptance necessary to generate significant revenue. Any new markets into which we attempt to sell our solutions, including new vertical markets and new countries or regions, may not be receptive. Our ability to further penetrate our existing markets depends on the quality of our solutions and our ability to design our solutions to meet consumer demand. Moreover, we are frequently required to enhance and update our solutions as a result of changing standards and technological developments, which makes it difficult to recover the cost of development and forces us to continually qualify new solutions with our consumers. If we are unable to successfully develop or acquire new solutions, enhance our existing solutions to meet consumer requirements, sell solutions into new markets or sell our solutions to additional consumers in our existing markets, our revenue may not grow as expected.

Our success depends, in part, on our ability to develop and expand our global network of dealers and distributors.

        As of December 31, 2013, we have developed a global network of over 3,000 active direct dealers and 29 distributors to sell, install and support our solutions. We rely on our dealers and distributors to provide consumers with a successful Control4 home automation experience. In some cases, dealers may choose not to offer our solution and instead offer a product from one of our competitors or, in other cases, the dealer may simply discontinue its operations. In order to continue our growth and expand our business, it is important that we continue to add new dealers and distributors and maintain most of our existing relationships. We must also work to expand our network of dealers and distributors to ensure that we have sufficient geographic coverage and technical expertise to address new markets and

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technologies. While it is difficult to estimate the total number of available dealers in our markets, there are a finite number of dealers that are able to perform the types of technical installations required for home automation systems. In the event that we saturate the available dealer pool, or if market or other forces cause the available pool of dealers to decline, it may be increasingly difficult to grow our business. As consumers' home automation options grow, it is important that we enhance our dealer footprint by broadening the expertise of our dealers, working with larger and more sophisticated dealers and expanding the mainstream consumer products our dealers offer. If we are unable to expand our network of dealers and distributors, our business could be harmed.

We rely on our dealers and distributors to sell our solution, and if our dealers and distributors fail to perform, our ability to sell and distribute our products and services will be limited, and our results of operations may be harmed.

        Substantially all of our revenue is generated through the sales of our solution by our dealers and distributors. Our dealers and distributors are independent businesses that voluntarily sell our products as well as the products of other companies to consumers. We provide our dealers and distributors with specific training and programs to assist them in selling our products, but we cannot assure that these steps will be effective. We have observed, and expect to continue to observe, high volatility in the monthly, quarterly and annual sales performance of individual dealers and distributors. Although we can make estimated forecasts of cumulative sales of large numbers of dealers and distributors, we cannot assure their accuracy collectively or individually. Accordingly, we may not be able to reduce or slow our spending quickly enough if our actual sales fall short of our expectations. As a result, we expect that our revenues, results of operations and cash flows may fluctuate significantly on a quarterly basis. We believe that period-to-period comparisons of our revenues, results of operations and cash flows may not be meaningful and should not be relied upon as an indication of future performance.

        Our dealers and distributors may be unsuccessful in marketing, selling, and supporting our products and services. If we are unable to develop and maintain effective sales incentive programs for our third-party dealers and distributors, we may not be able to incentivize them to sell our products to consumers and, in particular, to larger businesses and organizations. Our dealers and distributors may also market, sell and support products and services that are competitive with ours, and may devote more resources to the marketing, sales, and support of such competitive products. Our dealers and distributors may have incentives to promote our competitors' products to the detriment of our own, or may cease selling our products altogether. Our agreements with our dealers and distributors may generally be terminated for any reason by either party with advance notice. We cannot assure you that we will retain these dealers and distributors, or that we will be able to secure additional or replacement dealers and distributors. Further, if we alter our sales process in a region by switching from a distributor to a direct dealer model, our sales may be impacted leading up to or in connection with such change in sales process. In addition, while we take certain steps to protect ourselves from liability for the actions of our dealers and distributors, consumers may seek to recover amounts from us for any damages caused by dealers in connection with system installations, or the failure of a system to perform properly due to an incorrect installation by a dealer. In addition, our dealers and distributors may use our name and our brand in ways we do not authorize, and any such improper use may harm our reputation or expose us to liability for their actions.

        If we fail to effectively manage our existing sales channels, if our dealers or distributors are unsuccessful in fulfilling the orders for our products, or if we are unable to enter into arrangements with, and retain a sufficient number of, high quality dealers and distributors in each of the regions in which we sell products, and keep them motivated to sell our products, our results of operations may be harmed. The termination of our relationship with any significant dealer or distributor may also adversely impact our sales and results of operations.

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We have entered into several strategic arrangements and intend to pursue additional strategic opportunities in the future. If the intended benefits from our strategic relationships are not realized, our results of operations may be harmed.

        We are in the process of growing our relationships with strategic partners in order to attempt to reach markets that we cannot currently address cost-effectively and to increase awareness of our solution. If these relationships do not develop in the manner we intend, our future growth could be impacted. Furthermore, the termination of our relationship with a partner may cause us to incur expenses without corresponding revenue, incur a termination penalty and harm our sales and results of operations. For example, in 2012, we discontinued energy products for utility customers and, in connection with that decision, we incurred an expense related to an inventory purchase commitment and paid a fee to our counterparty to terminate the arrangement. Any loss of a major partner or distribution channel or other channel disruption could harm our results of operations and make us more dependent on alternate channels, damage our reputation, increase pricing and promotional pressures from other partners and distribution channels, increase our marketing costs, or harm buying and inventory patterns, payment terms or other contractual terms.

If we do not maintain the compatibility of our solutions with third-party products and applications that our consumers use, demand for our solutions could decline.

        Our solutions are designed to interoperate with a wide range of other third-party products, including products in the areas of music, video, lighting, temperature and security. If we do not support the continued integration of our solutions with third-party products and applications, including through the provision of application programming interfaces that enable data to be transferred readily between our solutions and third-party products and applications, demand for our solutions could decline and we could lose sales. We will also be required to make our solutions compatible with new or additional third-party products and applications that are introduced into the markets that we serve. To help us meet this challenge, we have developed our Simple Device Discovery Protocol ("SDDP"), designed to enable our devices to recognize and control third-party products by embedding software in such products at the manufacturer, making it easier for dealers and consumers to add them to their Control4 systems. Although we are making SDDP available on a royalty-free basis to product manufacturers, its adoption is not yet substantial, and may not achieve greater or broad market acceptance. In addition, companies that provide popular point solutions have and may continue to eliminate or restrict our ability to control and be compatible with these products. As a result, we may not be successful in making our solutions compatible with these third-party products and applications, which could reduce demand for our solutions. In addition, if prospective consumers require customized features or functions that we do not offer, then the market for our solutions may be harmed.

Our inability to adapt to technological change could impair our ability to remain competitive.

        The market for home automation and control solutions is characterized by rapid technological change, frequent introductions of new products and evolving industry standards. Our ability to attract new consumers and increase revenue from existing consumers will depend in significant part on our ability to anticipate changes in industry standards and to continue to enhance or introduce existing solutions on a timely basis to keep pace with technological developments. We are currently changing several aspects of our operating system, and may utilize Android open source technology in the future, which may cause difficulties including compatibility, stability and time to market. The success of this or any enhanced or new product or solution will depend on several factors, including the timely completion and market acceptance of the enhanced or new product or solution. Similarly, if any of our competitors implement new technologies before we are able to implement them, those competitors may be able to provide more effective products than ours, possibly at lower prices. Any delay or failure in

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the introduction of new or enhanced solutions could harm our business, results of operations and financial condition.

We currently rely on contract manufacturers to manufacture our products and component vendors to supply parts used in our products. The majority of our components are supplied by a single source. Any disruption in our supply chain, or our failure to successfully manage our relationships with our contract manufacturers or component vendors could harm our business.

        Our reliance on contract manufacturers reduces our control over the assembly process, exposing us to risks, including reduced control over quality assurance, production costs and product supply. We rely on a limited number of contract manufacturers to manufacture substantially all of our products. We also do business with a number of component vendors, and the parts they supply may not perform as expected. For certain of our products and components, we rely on a sole-source manufacturer or supplier. For the year ended December 31, 2013, two contract manufacturers, Sanmina and LiteOn, manufactured 72% of our inventory purchases. Certain of our contract manufacturers and component vendors are located outside of the United States and may be subject to political, economic, social and legal uncertainties that may harm our relationships with these parties. If we fail to manage our relationships with our contract manufacturers or component vendors effectively, or if our contract manufacturers or component vendors experience delays, disruptions, capacity constraints or quality control problems in their operations, our ability to ship products may be impaired and our competitive position and reputation could be harmed. In addition, any adverse change in our contract manufacturers' or component vendors' financial or business condition could disrupt our ability to supply quality products to our dealers and distributors. If we are required to change contract manufacturers or component vendors, we may lose revenue, incur increased costs or damage our relationships, or we might be unable to find a new contract manufacturer or component vendor on acceptable terms, or at all. In addition, qualifying a new contract manufacturer or component vendor can be an expensive and lengthy process. If we experience increased demand that our contract manufacturers or component vendors are unable to fulfill, or if they are unable to provide us with adequate supplies of high-quality products for any reason, we could experience a delay in our order fulfillment, and our business, results of operations and financial condition would be harmed.

Growth of our business will depend on market awareness and a strong brand, and any failure to develop, maintain, protect and enhance our brand would hurt our ability to retain or attract consumers.

        Because of the early stage of development of the mainstream home automation market, we believe that building and maintaining market awareness, brand recognition and goodwill is critical to our success. This will depend largely on our ability to continue to provide high-quality solutions, and we may not be able to do so effectively. While we may choose to engage in a broader marketing campaign to further promote our brand, this effort may not be successful. Our efforts in developing our brand may be affected by the marketing efforts of our competitors and our reliance on our dealers, distributors and strategic partners to promote our brand. If we are unable to cost-effectively maintain and increase awareness of our brand, our business, results of operations and financial condition could be harmed.

We operate in the emerging and evolving home automation market, which may develop more slowly or differently than we expect. If the mainstream home automation market does not grow as we expect, or if we cannot expand our solutions to meet the demands of this market, our revenue may decline, fail to grow or fail to grow at an accelerated rate, and we may incur additional operating losses.

        The market for home automation and control solutions is in an early stage of development, and it is uncertain whether, how rapidly or how consistently this market will develop, and even if it does develop, whether our solutions will achieve and sustain high levels of demand and market acceptance.

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Some consumers may be reluctant or unwilling to use our solutions for a number of reasons, including satisfaction with traditional solutions, concerns for additional costs and lack of awareness of our solutions. Unified home automation solutions such as ours have traditionally been luxury purchases for the high end of the residential market. Our ability to expand the sales of our solutions to a broader consumer base depends on several factors, including the awareness of our solutions, the timely completion, introduction and market acceptance of our solutions, the ability to attract, retain and effectively train sales and marketing personnel, the ability to develop relationships with dealers and distributors, the effectiveness of our marketing programs, the costs of our solutions and the success of our competitors. If we are unsuccessful in developing and marketing our home automation solutions to mainstream consumers, or if these consumers do not perceive or value the benefits of our solutions, the market for our solutions might not continue to develop or might develop more slowly than we expect, either of which would harm our revenue and growth prospects.

Our consumers may experience service failures or interruptions due to defects in the software, infrastructure, third-party components or processes that comprise our existing or new solutions, or due to dealer errors in product installation, any of which could harm our business.

        Our solutions may contain undetected defects in the software, infrastructure, third-party components or processes. If these defects lead to service failures after introduction of or an upgrade to a product or solution by a dealer, we could experience harm to our branded reputation, claims by our consumers, dealers, distributors, strategic partners or developers or lost revenue during the period required to address the cause of the defects. We may find defects in new or upgraded solutions, resulting in loss of, or delay in, market acceptance of our solutions, which could harm our business, results of operations and financial condition.

        Since our solutions are installed by our dealers, if they do not install or maintain our solutions correctly, our solutions may not function properly. If the improper installation or maintenance of our solutions leads to service failures after introduction of, or an upgrade to, a product or solution, we could experience harm to our branded reputation, claims by our consumers, dealers, distributors, strategic partners or developers or lost revenue during the period required to address the cause of the problem. This could harm our business, results of operations and financial condition.

        Any defect in, or disruption to, our solutions could cause consumers not to purchase additional products from us, prevent potential consumers from purchasing our solutions, or harm our reputation. Although our contracts with our consumers limit our liability to our consumers for these defects, disruptions or errors, we nonetheless could be subject to litigation for actual or alleged losses to our consumers' businesses, which may require us to spend significant time and money in litigation or arbitration, or to pay significant settlements or damages. Defending a lawsuit, regardless of its merit, could be costly, divert management's attention and affect our ability to obtain or maintain liability insurance on acceptable terms and could harm our business. Although we currently maintain some warranty reserves, we cannot assure you that these warranty reserves will be sufficient to cover future liabilities. Furthermore, we may be required to indemnify our dealers, distributors and partners against certain liabilities they may incur as a result of defects of our products. In 2012, we incurred significant costs associated with the recall and replacement of a defective chip from a third-party component used within one of our products.

We encounter seasonality in sales, which could harm the amount, timing and predictability of our revenue and cause our stock price to fluctuate.

        We have little recurring revenue or backlog and our revenue is generated from orders of our solutions from new and existing consumers, which may cause our quarterly results to fluctuate. We may experience seasonality in the sales of our solutions. Historically, our revenue is generally higher in the fourth quarter and lower in the first quarter. Seasonal variations in our sales may lead to significant

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fluctuations in our cash flows and results of operations on a quarterly basis. If we experience a delay in signing or a failure to sign a significant partner agreement in any particular quarter, then our results of operations for such quarter and for subsequent quarters may be below the expectations of securities analysts or investors, which may result in a decline in our stock price.

We may not generate significant revenue as a result of our current research and development efforts.

        We have made and expect to continue to make significant investments in research and development and related product opportunities. For the year ended December 31, 2013, we spent $25.0 million on research and development expenses. High levels of expenditures for research and development could harm our results of operations, especially if not offset by corresponding future revenue increases. We believe that we must continue to dedicate a significant amount of resources to our research and development efforts to maintain our competitive position. However, it is difficult to estimate when, if ever, we will generate significant revenue as a result of these investments.

Our strategy includes pursuing acquisitions and our potential inability to successfully integrate newly-acquired technologies, assets or businesses may harm our financial results.

        We believe part of our growth will be driven by acquisitions of other companies or their technologies, assets and businesses. Any acquisitions we complete will give rise to risks, including:

    Incurring higher than anticipated capital expenditures and operating expenses;

    Failing to assimilate the operations and personnel or failing to retain the key personnel of the acquired company or business;

    Failing to integrate the acquired technologies, or incurring significant expense to integrate acquired technologies into our solutions;

    Disrupting our ongoing business;

    Dissipating our management resources;

    Failing to maintain uniform standards, controls and policies;

    Incurring significant accounting charges;

    Impairing relationships with employees, dealers, distributors, partners or consumers;

    Finding that the acquired technology, asset or business does not further our business strategy, that we overpaid for the technology, asset or business or that we may be required to write off acquired assets or investments partially or entirely;

    Failing to realize the expected synergies of the transaction;

    Being exposed to unforeseen liabilities and contingencies that were not identified prior to acquiring the company; and

    Being unable to generate sufficient revenue from acquisitions to offset the associated acquisition costs.

        Fully integrating an acquired technology, asset or business into our operations may take a significant amount of time. We may not be successful in overcoming these risks or any other problems encountered with acquisitions. To the extent we do not successfully avoid or overcome the risks or problems related to any such acquisitions, our results of operations and financial condition could be harmed. Acquisitions also could impact our financial position and capital needs, or could cause fluctuations in our quarterly and annual results of operations.

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        Acquisitions could include significant goodwill and intangible assets, which may result in future impairment charges that would reduce our stated earnings. We may incur significant costs in our efforts to engage in strategic transactions and these expenditures may not result in successful acquisitions.

Future acquisitions of technologies, assets or businesses, which are paid for partially or entirely through the issuance of stock or stock rights, could dilute the ownership of our existing stockholders.

        We expect that the consideration we might pay for any future acquisitions of technologies, assets or businesses could include stock, rights to purchase stock, cash or some combination of the foregoing. If we issue stock or rights to purchase stock in connection with future acquisitions, net income (loss) per share and then-existing holders of our common stock may experience dilution.

Our gross margins can vary significantly depending on multiple factors, which can result in fluctuations in our results of operations.

        Our gross margins are likely to vary due to consumer demand, product mix, new product introductions, unit volumes, commodity and supply chain costs, product delivery costs, geographic sales mix, foreign currency exchange rates, excess and obsolete inventory and the complexity and functionality of new product innovations. In particular, if we are not able to introduce new solutions in a timely manner at the cost we expect, or if consumer demand for our solutions is less than we anticipate, or if there are product pricing, marketing and other initiatives by our competitors to which we need to react that lower our margins, then our overall gross margin will be less than we project. The impact of these factors on gross margins can create unanticipated fluctuations in our results of operations, which may cause volatility in our stock price.

If we are unable to substantially utilize our net operating loss carryforwards, our financial results will be harmed.

        As of December 31, 2013, our net operating loss ("NOL") carryforward amounts for U.S. federal income and state tax purposes were $77.4 million and $75.6 million, respectively. Under Section 382 of the Internal Revenue Code, a corporation that undergoes an "ownership change" may be subject to limitations on its ability to utilize its pre-change NOLs to offset future taxable income. Purchases of our common stock in amounts greater than specified levels, which will be beyond our control, could create an additional limitation on our ability to utilize our NOLs for tax purposes in the future. Limitations imposed on our ability to utilize NOLs could cause U.S. federal and state income taxes to be paid earlier than would be paid if such limitations were not in effect and could cause such NOLs to expire unused, in each case reducing or eliminating the benefit of such NOLs. Furthermore, we may not be able to generate sufficient taxable income to utilize our NOLs before they expire. If any of these events occur, we may not derive some or all of the expected benefits from our NOLs. In addition, at the state level there may be periods during which the use of NOLs is suspended or otherwise limited, which would accelerate or permanently increase state taxes owed.

Governmental regulations affecting the import or export of products could harm our revenue.

        The U.S. and various foreign governments have imposed controls, export license requirements and restrictions on the import or export of some technologies, especially encryption technology, and may impose additional or broader controls, export license requirements and restrictions on the import or export of some technologies in the future. In addition, from time to time, governmental agencies have proposed additional regulation of encryption technology, such as requiring the escrow and governmental recovery of private encryption keys. Although we do not believe that any of our products currently require an export license, if our products or components of our products become subject to governmental regulation of encryption technology or other governmental regulation of imports or exports, we may be required to obtain import or export approval for such products, which could increase our costs and harm our international and domestic sales and our revenue. In addition, failure to comply with such regulations could result in penalties, costs and restrictions on export privileges, which would harm our results of operations.

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If we are unable to manage our growth and diverse and complex operations, our reputation in the market and our ability to generate revenue from new or existing consumers may be harmed.

        Because our operations are geographically diverse and complex, our personnel resources and infrastructure could become strained and our reputation in the market and our ability to successfully implement our business plan may be harmed. We have experienced a period of rapid growth in our headcount and operations. The growth in the size, complexity and diverse nature of our business and the expansion of our product lines and consumer base have placed increased demands on our management and operations, and further growth, if any, may place additional strains on our resources in the future. Our ability to effectively compete and to manage our planned future growth will depend on, among other things:

    Maintaining continuity in our senior management and key personnel;

    Increasing the productivity of our existing employees;

    Attracting, retaining, training and motivating our employees, particularly our technical and management personnel;

    Maintaining existing relationships and developing new relationships with contract manufacturers;

    Improving our operational, financial and management controls; and

    Improving our information reporting systems and procedures.

        If we do not manage the size, complexity and diverse nature of our business effectively, we could experience delayed product releases and longer response times by our dealers for assisting our consumers with implementation of our solutions, and could lack adequate resources to support our consumers on an ongoing basis, any of which could harm our reputation in the market, our ability to successfully implement our business plan and our ability to generate revenue from new or existing consumers.

If we fail to retain our key employees, our business would be harmed and we might not be able to implement our business plan successfully.

        Given the complex nature of the technology on which our business is based and the speed with which such technology advances, our future success is dependent, in large part, upon our ability to attract and retain highly qualified managerial, engineering and sales personnel. Competition for talented personnel is intense, and we cannot be certain that we can retain our managerial, engineering and sales personnel or that we can attract, assimilate or retain such personnel in the future. Our inability to attract and retain such personnel could harm our business, results of operations and financial condition.

Downturns in general economic and market conditions, including but not limited the global housing and mortgage market, and reductions in spending may reduce demand for our solutions, which could harm our revenue, results of operations and cash flows.

        Our revenue, results of operations and cash flows depend on the overall demand for our solutions. Concerns about the systemic impact of a potential widespread recession, energy costs, geopolitical issues, the availability and cost of credit and the global housing and mortgage markets have contributed to increased market volatility, decreased consumer confidence and diminished growth expectations in the U.S. economy and abroad. The current unstable general economic and market conditions have been characterized by a dramatic decline in consumer discretionary spending and have disproportionately affected providers of products and services that represent discretionary purchases. While the decline in consumer spending has recently moderated, these economic conditions could still lead to continued declines in consumer spending over the foreseeable future, and may have resulted in

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a resetting of consumer spending habits that may make it unlikely that such spending will return to prior levels for the foreseeable future.

        During weak economic times, the available pool of dealers and distributors may decline as the prospects for home building and home renovation projects diminish, which may have a corresponding impact on our growth prospects. In addition, there is an increased risk during these periods that an increased percentage of our dealers will file for bankruptcy protection, which may harm our reputation, revenue, profitability and results of operations. We also face risks from international dealers and distributors that file for bankruptcy protection in foreign jurisdictions, in that the outcome of the application of foreign bankruptcy laws may be more difficult to predict. In addition, we may determine that the cost of pursuing any claim may outweigh the recovery potential of such claim. Likewise, consumer bankruptcies can detrimentally affect the business stability of our dealers and distributors. Prolonged economic slowdowns and reductions in new home construction and renovation projects may result in diminished sales of our solutions. Further worsening, broadening or protracted extension of the economic downturn could have a negative impact on our business, revenue, results of operations and cash flows.

If our estimates or judgments relating to our critical accounting policies are based on assumptions that change or prove to be incorrect, our results of operations could fall below expectations of securities analysts and investors, resulting in a decline in our stock price.

        The preparation of financial statements in conformity with generally accepted accounting principles ("GAAP") requires management to make estimates and assumptions that affect the amounts reported in our consolidated financial statements and accompanying notes. We base our estimates on historical experience and on various other assumptions that we believe to be reasonable under the circumstances, as provided in "Management's Discussion and Analysis of Financial Condition and Results of Operations," the results of which form the basis for making judgments about the carrying values of assets, liabilities and equity, and the amount of revenue and expenses that are not readily apparent from other sources. Significant assumptions and estimates used in preparing our consolidated financial statements include, or may in the future include, those related to revenue recognition, allowance for doubtful accounts, inventories, product warranties, income taxes and stock-based compensation expense. Our results of operations may be harmed if our assumptions change or if actual circumstances differ from those in our assumptions, which could cause our results of operations to fall below the expectations of securities analysts and investors, resulting in a decline in our stock price.

Changes in existing financial accounting standards or practices, or taxation rules or practices, may harm our results of operations.

        Changes in existing accounting or taxation rules or practices, new accounting pronouncements or taxation rules, or varying interpretations of current accounting pronouncements or taxation practice could harm our results of operations or the manner in which we conduct our business.

Mergers or other strategic transactions involving our competitors could weaken our competitive position, which could harm our results of operations.

        Our industry is highly fragmented, and we believe it is likely that some of our existing competitors will consolidate or be acquired. In addition, some of our competitors may enter into new alliances with each other or may establish or strengthen cooperative relationships with systems integrators, third-party consulting firms or other parties. Any such consolidation, acquisition, alliance or cooperative relationship could lead to pricing pressure and our loss of market share and could result in a competitor with greater financial, technical, marketing, service and other resources, all of which could harm our business, results of operations and financial condition.

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We incur increased costs and demands upon management as a result of complying with the laws and regulations affecting public companies, which could harm our results of operations and our ability to attract and retain qualified executives and board members.

        As a public company, we have and will continue to incur significant legal, accounting and other expenses that we did not incur as a private company, including costs associated with public company reporting and corporate governance requirements. These requirements include compliance with Section 404 and other provisions of the Sarbanes-Oxley Act of 2002, the Dodd-Frank Wall Street Reform and Consumer Protection Act (the "Dodd-Frank Act"), as well as rules implemented by the Securities and Exchange Commission ("SEC"), The NASDAQ Stock Market LLC, and other applicable securities or exchange-related rules and regulations. In addition, our management team has also had to adapt to the requirements of being a public company. We expect complying with these rules and regulations will substantially increase our legal and financial compliance costs and make some activities more difficult, time consuming or costly, particularly if we are no longer an "emerging growth company," as defined in the Jumpstart Our Business Startups Act of 2012 (the "JOBS Act").

        As a public company, we also expect that it may be more difficult and more expensive for us to maintain director and officer liability insurance, and we may be required to accept reduced policy limits and coverage or incur substantially higher costs to obtain the same or similar coverage. As a result, it may be more difficult for us to attract and retain qualified individuals to serve on our board of directors or as our executive officers.

We are an "emerging growth company," and any decision on our part to comply with certain reduced disclosure requirements applicable to emerging growth companies could make our common stock less attractive to investors.

        We are an "emerging growth company," as defined in the JOBS Act, and we may take advantage of certain exemptions from various reporting requirements that are applicable to other public companies that are not "emerging growth companies" including not being required to comply with the auditor attestation requirements of Section 404 of the Sarbanes-Oxley Act, reduced disclosure obligations regarding executive compensation in our periodic reports and proxy statements, and exemptions from the requirements of holding an annual non-binding advisory vote on executive compensation and nonbinding stockholder approval of any golden parachute payments not previously approved. If we choose not to comply with the auditor attestation requirements of Section 404 of the Sarbanes-Oxley Act, our auditors will not be required to opine on the effectiveness of our internal control over financial reporting. As a result, investors may become less comfortable with the effectiveness of our internal controls and the risk that material weaknesses or other deficiencies in our internal controls go undetected may increase. If we choose to provide reduced disclosures in our periodic reports and proxy statements while we are an emerging growth company, investors would have access to less information and analysis about our executive compensation, which may make it difficult for investors to evaluate our executive compensation practices. We cannot predict if investors will find our common stock less attractive because we may rely on these exemptions and provide reduced disclosure. If some investors find our common stock less attractive as a result, there may be a less active trading market for our common stock and our stock price may be harmed. We will remain an "emerging growth company" for up to five years following our initial public offering or such earlier time that we are no longer an emerging growth company. We will remain an emerging growth company until the earliest to occur of: the last day of the fiscal year in which we have more than $1.0 billion in annual revenue; the date we qualify as a "large accelerated filer," with at least $700 million of equity securities held by non-affiliates; the issuance, in any three-year period, by us of more than $1.0 billion in non-convertible debt securities; or the last day of the fiscal year ending after the fifth anniversary of our initial public offering.

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        In addition, Section 107 of the JOBS Act provides that an emerging growth company can take advantage of the extended transition period provided in Section 7(a)(2)(B) of the Securities Act of 1933, as amended (the "Securities Act"), for complying with new or revised accounting standards. In other words, an emerging growth company can delay the adoption of certain accounting standards until those standards would otherwise apply to private companies. However, we have chosen to "opt out" of such extended transition period, and as a result, we will comply with new or revised accounting standards on the relevant dates on which adoption of such standards is required for non-emerging growth companies. Section 107 of the JOBS Act provides that our decision to opt out of the extended transition period for complying with new or revised accounting standards is irrevocable.

Failure to achieve and maintain effective internal control over financial reporting could result in our failure to accurately report our financial results. Any inability to report and file our financial results accurately and timely could harm our business and adversely impact investor confidence in our company and, as a result, the value of our common stock.

        Effective internal controls are necessary for us to produce reliable financial reports and are important to helping prevent financial fraud. If we cannot provide reliable financial reports or prevent fraud, our business and results of operations could be harmed, investors could lose confidence in our reported financial information, and the trading price of our stock could drop significantly. We will be required, pursuant to Section 404 of the Sarbanes-Oxley Act of 2002, to furnish a report by management on, among other things, the effectiveness of our internal control over financial reporting in the second annual report we file with the SEC. This assessment will need to include disclosure of any material weaknesses identified by our management in our internal control over financial reporting. However, our auditors will not be required to formally opine on the effectiveness of our internal control over financial reporting pursuant to Section 404 until we are no longer an "emerging growth company" as defined in the JOBS Act if we take advantage of the exemptions available to us through the JOBS Act.

        We are in the early stages of the costly and challenging process of compiling the system and processing documentation necessary to perform the evaluation needed to comply with Section 404. We may not be able to remediate any future material weaknesses, or to complete our evaluation, testing and any required remediation in a timely fashion. During the evaluation and testing process, if we identify one or more material weaknesses in our internal control over financial reporting, we will be unable to assert that our internal controls are effective. If we are unable to assert that our internal control over financial reporting is effective, or if our auditors are unable to express an opinion on the effectiveness of our internal controls when they are required to issue such opinion, investors could lose confidence in the accuracy and completeness of our financial reports, which could harm our stock price.

Our failure to raise additional capital or generate cash flows necessary to expand our operations and invest in new technologies in the future could reduce our ability to compete successfully and harm our results of operations.

        We believe that our existing cash and cash equivalents will be sufficient to meet our anticipated cash requirements for at least the next 12 months. We may need to raise additional funds, and we may not be able to obtain additional debt or equity financing on favorable terms, if at all. If we raise additional equity financing, our security holders may experience significant dilution of their ownership interests and the value of shares of our common stock could decline. If we engage in debt financing, we may be required to accept terms that restrict our ability to incur additional indebtedness, force us to maintain specified liquidity or other ratios or restrict our ability to pay dividends or make acquisitions. If we need additional capital and cannot raise it on acceptable terms, if at all, we may not be able to, among other things:

    Develop and enhance our solutions;

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    Continue to expand our research and development, sales and marketing organizations;

    Hire, train and retain employees;

    Respond to competitive pressures or unanticipated working capital requirements; or

    Pursue acquisition opportunities.

        Our inability to do any of the foregoing could reduce our ability to compete successfully and harm our results of operations.

We may be subject to additional tax liabilities, which would harm our results of operations.

        We are subject to income, sales, use, value added and other taxes in the United States and other countries in which we conduct business, which laws and rates vary greatly by jurisdiction. Certain jurisdictions in which we do not collect sales, use, value added or other taxes on our sales may assert that such taxes are applicable, which could result in tax assessments, penalties and interest, and we may be required to collect such taxes in the future. Significant judgment is required in determining our worldwide provision for income taxes. These determinations are highly complex and require detailed analysis of the available information and applicable statutes and regulatory materials. In the ordinary course of our business, there are many transactions and calculations where the ultimate tax determination is uncertain. Although we believe our tax estimates are reasonable, the final determination of tax audits and any related litigation could be different from our historical tax practices, provisions and accruals. If we receive an adverse ruling as a result of an audit, or we unilaterally determine that we have misinterpreted provisions of the tax regulations to which we are subject, our tax provision, results of operations or cash flows could be harmed. In addition, liabilities associated with taxes are often subject to an extended or indefinite statute of limitations period. Therefore, we may be subject to additional tax liability (including penalties and interest) for a particular year for extended periods of time.

Our business is subject to the risks of earthquakes, fire, power outages, floods and other catastrophic events, and to interruption by manmade problems such as terrorism.

        A significant natural disaster, such as an earthquake, fire or a flood, or a significant power outage could harm our business, results of operations and financial condition. Natural disasters could affect our manufacturing vendors or logistics providers' ability to perform services such as manufacturing products or assisting with shipments on a timely basis. Sanmina and LiteOn, two of our contract manufacturers that manufactured 72% of our inventory purchases for the year ended December 31, 2013, have manufacturing facilities located in China. In the event our manufacturing vendors' information technology systems or manufacturing or logistics abilities are hindered by any of the events discussed above, shipments could be delayed, resulting in missing financial targets, such as revenue and shipment targets, for a particular quarter. Further, if a natural disaster occurs in a region from which we derive a significant portion of our revenue, such as metropolitan areas in North America, consumers in that region may delay or forego purchases of our solutions from dealers and distributors in the region, which may harm our results of operations for a particular period. In addition, acts of terrorism could cause disruptions in our business or the business of our manufacturers, logistics providers, dealers, distributors, consumers or the economy as a whole. Given our typical concentration of sales at the end of each month and quarter, any disruption in the business of our manufacturers, logistics providers, dealers, distributors and consumers that impacts sales at the end of our quarter could have a greater impact on our quarterly results. All of the aforementioned risks may be augmented if the disaster recovery plans for us and our suppliers prove to be inadequate. To the extent that any of the above results in delays or cancellations of orders, or delays in the manufacture, deployment or shipment of our products, our business, financial condition and results of operations would be harmed.

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Global or regional economic, political and social conditions could harm our business and results of operations.

        External factors such as potential terrorist attacks, acts of war, financial crises, trade friction or geopolitical and social turmoil in those parts of the world that serve as markets for our solutions, such as Europe, Asia or elsewhere, could harm our business and results of operations. These uncertainties may cause our consumers to reduce discretionary spending on their home and make it difficult for us to accurately plan future business activities. More generally, these geopolitical, social and economic conditions could result in increased volatility in worldwide financial markets and economies that could harm our sales. We are not insured for losses or interruptions caused by terrorist acts or acts of war. The occurrence of any of these events or circumstances could harm our business and results of operations.

Failure to comply with laws and regulations could harm our business.

        Our business is subject to regulation by various federal, state, local and foreign governmental agencies, including agencies responsible for monitoring and enforcing employment and labor laws, workplace safety, product safety, environmental laws, consumer protection laws, anti-bribery laws, import/export controls, federal securities laws and tax laws and regulations. In certain jurisdictions, these regulatory requirements may be more stringent than in the United States. Noncompliance with applicable regulations or requirements could subject us to investigations, sanctions, mandatory product recalls, enforcement actions, disgorgement of profits, fines, damages, civil and criminal penalties or injunctions. If any governmental sanctions are imposed, or if we do not prevail in any possible civil or criminal litigation, our business, results of operations and financial condition could be materially harmed. In addition, responding to any action will likely result in a significant diversion of management's attention and resources and an increase in professional fees. Enforcement actions and sanctions could further harm our business, results of operations and financial condition.

Risks Related to Our International Operations

In recent years, a significant amount of our revenue has come from sales outside of the United States, and we are therefore subject to a number of risks associated with international sales and operations.

        We have a limited history of marketing, selling, and supporting our products and services internationally. However, consumers in countries outside of North America accounted for 22% of our revenue for the year ended December 31, 2013 and we expect that percentage to grow in the future. As a result, we must hire and train experienced personnel to staff and manage our foreign operations. To the extent that we experience difficulties in recruiting, training, managing, and retaining an international staff, and specifically staff related to sales management and sales personnel, we may experience difficulties in sales productivity in foreign markets.

        If we are not able to increase the sales of our solutions to consumers located outside of North America, our results of operations or revenue growth may be harmed. In addition, in connection with our expansion into foreign markets, we are a receiver of currencies other than the U.S. dollar. Accordingly, changes in exchange rates, and in particular a strengthening of the U.S. dollar, will negatively affect our net sales and gross margins as expressed in U.S. dollars. There is also a risk that we will have to adjust local currency product pricing due to competitive pressures when there has been significant volatility in foreign currency exchange rates.

        Conducting and launching operations on an international scale requires close coordination of activities across multiple jurisdictions and time zones and consumes significant management resources. Our limited experience in operating our business outside of the United States increases the risk that our current and any future international expansion efforts will not be successful. Conducting

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international operations subjects us to risks that, generally, we do not face in the United States, including:

    Fluctuations in currency exchange rates;

    Unexpected changes in foreign regulatory requirements;

    Longer accounts receivable payment cycles and difficulties in collecting accounts receivable;

    Difficulties in managing and staffing international operations, including differences in labor laws;

    Potentially adverse tax consequences, including the complexities of foreign value added tax systems and restrictions on the repatriation of earnings;

    Localization of our solutions, including translation into foreign languages and associated expenses;

    Localization of our customer agreements under applicable foreign law;

    The burdens of complying with a wide variety of foreign laws and different legal standards, including laws and regulations related to privacy and data security and limitations on liability;

    Increased financial accounting and reporting burdens and complexities;

    Political, social and economic instability abroad, terrorist attacks and security concerns in general; and

    Reduced or varied protection for intellectual property rights in some countries.

        The impact of any one of these risks could harm our international business and, consequently, our results of operations generally. Additionally, operating in international markets also requires significant management attention and financial resources. We cannot be certain that the investment and additional resources required in establishing, acquiring or integrating operations in other countries will produce desired levels of revenue or profitability.

Due to the global nature of our business, we could be harmed by violations of the U.S. Foreign Corrupt Practices Act, the U.K. Bribery Act or similar anti-corruption laws in other jurisdictions in which we operate, or various international trade and export laws.

        The global nature of our business creates various domestic and local regulatory challenges. The U.S. Foreign Corrupt Practices Act (the "FCPA"), the U.K. Bribery Act 2010 (the "U.K. Bribery Act"), and similar anti-corruption laws in other jurisdictions generally prohibit U.S.-based companies and their intermediaries from making improper payments to non-U.S. officials for the purpose of obtaining or retaining business. In addition, U.S.-based companies are required to maintain records that accurately and fairly represent their transactions and have an adequate system of internal accounting controls. We operate in areas of the world that experience corruption by government officials to some degree and, in certain circumstances, compliance with anti-corruption laws may conflict with local customs and practices. Our global operations require us to import from and export to several countries, which geographically stretches our compliance obligations. In addition, changes in such laws could result in increased regulatory requirements and compliance costs which could harm our business, financial condition and results of operations. Our employees or other agents may engage in prohibited conduct and render us responsible under the FCPA, the U.K. Bribery Act or similar anti-corruption laws. If we are found to be in violation of the FCPA, the U.K. Bribery Act or other anti-corruption laws (either due to acts or inadvertence of our employees, or due to the acts or inadvertence of others), we could suffer criminal or civil penalties or other sanctions, which could harm our business.

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Risks Related to Our Intellectual Property

From time to time, we are defendants in legal proceedings as to which we are unable to assess our exposure and which could become significant liabilities in the event of an adverse judgment.

        We are defendants in legal proceedings from time to time. Companies in our industry have been subject to claims related to patent infringement and product liability, as well as contract and employment-related claims. We may not be able to accurately assess the risks related to these suits, and we may be unable to accurately assess our level of exposure. In 2012 and 2013, we entered into three separate settlement agreements relating to alleged patent infringements, which included future royalty payments on certain products, the payment of a lump sum amount for alleged past damages, and/or the payment of a fixed amount in exchange for a covenant not to sue.

If we fail to protect our intellectual property and proprietary rights adequately, our business could be harmed.

        We believe that proprietary technology is essential to establishing and maintaining our leadership position. We seek to protect our intellectual property through trade secrets, copyrights, confidentiality, non-compete and nondisclosure agreements, patents, trademarks, domain names and other measures, some of which afford only limited protection. We also rely on patent, trademark, trade secret and copyright laws to protect our intellectual property. Despite our efforts to protect our proprietary rights, unauthorized parties may attempt to copy aspects of our technology or to obtain and use information that we regard as proprietary. Our means of protecting our proprietary rights may not be adequate or our competitors may independently develop similar or superior technology, or design around our intellectual property. In addition, the laws of some foreign countries do not protect our proprietary rights to as great an extent as the laws of the United States. Intellectual property protections may also be unavailable, limited or difficult to enforce in some countries, which could make it easier for competitors to capture market share. Our failure or inability to adequately protect our intellectual property and proprietary rights could harm our business, financial condition and results of operations.

        To prevent substantial unauthorized use of our intellectual property rights, it may be necessary to prosecute actions for infringement and/or misappropriation of our proprietary rights against third parties. Any such action could result in significant costs and diversion of our resources and management's attention, and we cannot assure you that we will be successful in such action. Furthermore, many of our current and potential competitors have the ability to dedicate substantially greater resources to enforce their intellectual property rights than we do. Accordingly, despite our efforts, we may not be able to prevent third parties from infringing upon or misappropriating our intellectual property.

An assertion by a third party that we are infringing its intellectual property could subject us to costly and time-consuming litigation or expensive licenses that could harm our business and results of operations.

        The industries in which we compete are characterized by the existence of a large number of patents, copyrights, trademarks and trade secrets, and by frequent litigation based on allegations of infringement or other violations of intellectual property rights. We have been subject to patent litigation in the past and we may be subject to similar litigation in the future. Given that our solution integrates with all aspects of the home, the risk that our solution may be subject to these allegations is exacerbated. As we seek to extend our solutions, we could be constrained by the intellectual property rights of others. In addition, our dealer and distributor contracts require us to indemnify them against certain liabilities they may incur as a result of our infringement of any third-party intellectual property.

        We might not prevail in any intellectual property infringement litigation given the complex technical issues and inherent uncertainties in such litigation. Defending such claims, regardless of their merit, could be time-consuming and distracting to management, result in costly litigation or settlement, cause development delays or require us to enter into royalty or licensing agreements. In addition, we

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currently have a limited portfolio of issued patents compared to our larger competitors, and therefore may not be able to effectively utilize our intellectual property portfolio to assert defenses or counterclaims in response to patent infringement claims or litigation brought against us by third parties. Further, litigation may involve patent holding companies or other adverse patent owners who have no relevant products or revenues and against which our potential patents provide no deterrence, and many other potential litigants have the capability to dedicate substantially greater resources to enforce their intellectual property rights and to defend claims that may be brought against them. If our solutions exceed the scope of in-bound licenses or violate any third-party proprietary rights, we could be required to withdraw those solutions from the market, re-develop those solutions or seek to obtain licenses from third parties, which might not be available on reasonable terms or at all. Any efforts to re-develop our solutions, obtain licenses from third parties on favorable terms or license a substitute technology might not be successful and, in any case, might substantially increase our costs and harm our business, financial condition and results of operations. If we were compelled to withdraw any of our solutions from the market, our business, financial condition and results of operations could be harmed.

We are generally obligated to indemnify our dealers, distributors and partners for certain expenses and liabilities resulting from intellectual property infringement claims regarding our products, which could force us to incur substantial costs.

        We have agreed, and expect to continue to agree, to indemnify our dealers, distributors and partners for certain intellectual property infringement claims regarding our products. As a result, in the case of infringement claims against these dealers, distributors and partners, we could be required to indemnify them for losses resulting from such claims or to refund amounts they have paid to us. We expect that some of our dealers, distributors and partners may seek indemnification from us in connection with infringement claims brought against them. We evaluate each such request on a case-by-case basis and we may not succeed in refuting all such claims. If a dealer, distributor or partner elects to invest resources in enforcing a claim for indemnification against us, we could incur significant costs disputing it. If we do not succeed in disputing it, we could face substantial liability.

The use of open source software in our solutions may expose us to additional risks and harm our intellectual property.

        Some of our solutions use or incorporate software that is subject to one or more open source licenses. Open source software is typically freely accessible, usable and modifiable. Certain open source software licenses require a user who intends to distribute the open source software as a component of the user's software to disclose publicly part or all of the source code to the user's software. In addition, certain open source software licenses require the user of such software to make any derivative works of the open source code available to others on potentially unfavorable terms or at no cost.

        The terms of many open source licenses to which we are subject have not been interpreted by U.S. or foreign courts, and accordingly there is a risk that those licenses could be construed in a manner that imposes unanticipated conditions or restrictions on our ability to commercialize our solutions. In that event, we could be required to seek licenses from third parties in order to continue offering our solutions, to re-develop our solutions, to discontinue sales of our solutions or to release our proprietary software code under the terms of an open source license, any of which could harm our business. Further, given the nature of open source software, it may be more likely that third parties might assert copyright and other intellectual property infringement claims against us based on our use of these open source software programs.

        While we monitor the use of all open source software in our products, solutions, processes and technology and seek to ensure that no open source software is used in such a way as to require us to disclose the source code to the related product or solution when we do not wish to do so, we are currently conducting a comprehensive audit of open source software contained in our solutions.

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Although we are not aware of any use of open source software in our solutions that would require us to disclose all or a portion of the source code underlying our solutions, we have not completed our open source software audit; therefore, it is possible that such use may have inadvertently occurred in deploying our solutions. Additionally, if a third-party software provider has incorporated certain types of open source software into software we license from such third party for our solutions without our knowledge, we could, under certain circumstances, be required to disclose the source code to our solutions. This could harm our intellectual property position and our business, results of operations and financial condition.

We rely on the availability of third-party licenses. If these licenses are available to us only on less favorable terms or not at all in the future, our business and results of operations may be harmed.

        We have incorporated third-party licensed technology into our products. It may be necessary in the future to renew licenses relating to various aspects of these products or to seek additional licenses for existing or new products. The necessary licenses may not be available on acceptable terms, or at all. The inability to obtain certain licenses or other rights, or to obtain those licenses or rights on favorable terms, or the need to engage in litigation regarding these matters, could result in our inability to include certain features in our products or delays in product releases until such time, if ever, as equivalent technology could be identified, licensed or developed and integrated into our products, which may have a material adverse effect on our business, results of operations and financial condition. Moreover, the inclusion in our products of intellectual property licensed from third parties on a nonexclusive basis could limit our ability to protect our proprietary rights in our products.

Failure to maintain the security of our information and technology networks, including information relating to our dealers, distributors, consumers and employees, could adversely affect us.

        We are dependent on information technology networks and systems, including the Internet, to process, transmit and store electronic information and, in the normal course of our business, we collect and retain certain information pertaining to our dealers, distributors, consumers and employees. The legal, regulatory and contractual environment surrounding information security and privacy is constantly evolving and companies that collect and retain such information are under increasing attack by cyber-criminals around the world. A significant actual or potential theft, loss, fraudulent use or misuse of dealer, distributor, consumer, employee or other personally identifiable data, whether by third parties or as a result of employee malfeasance or otherwise, non-compliance with our contractual or other legal obligations regarding such data or a violation of our privacy and security policies with respect to such data could result in significant costs, fines, litigation or regulatory actions against us. Such an event could additionally result in adverse publicity and therefore adversely affect the market's perception of the security and reliability of our services. Security breaches of, or sustained attacks against, this infrastructure could create system disruptions and shutdowns that could result in disruptions to our operations. We cannot be certain that advances in cyber-capabilities or other developments will not compromise or breach the technology protecting the networks that access our products and services. If any one of these risks materializes our business, financial condition, results of operations and cash flows could be materially and adversely affected.

If security breaches in connection with the delivery of our services allow unauthorized third parties to obtain control or access of our consumers' appliances containing our products, our reputation, business, results of operations and financial condition could be harmed.

        Certain of our employees and dealers can access and update certain of our home automation products and services through the Internet. If security breaches in connection with the delivery of our services via the Internet allow unauthorized third parties to obtain control of our consumers' appliances containing our products, our reputation, business, results of operations and financial condition could be

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harmed. Furthermore, although we do not recommend or approve of port forwarding for remote access to our solutions, certain of our dealers have in the past and may in the future enable port forwarding, which could create security vulnerabilities in a consumer's home network. If security breaches in connection with the delivery of our solutions occur, our reputation, business, results of operations and financial condition could be harmed.

Risks Related to Owning Our Common Stock

Our share price may be volatile, which may result in securities class action litigation against us.

        The market price of our common stock could be subject to wide fluctuations in response to many risk factors listed in this section, and other factors beyond our control, including:

    Actual or anticipated fluctuations in our financial condition and results of operations;

    Overall conditions in our industry and market;

    Addition or loss of consumers;

    Changes in laws or regulations applicable to our solutions;

    Actual or anticipated changes in our growth rate relative to our competitors;

    Announcements by us or our competitors of significant acquisitions, strategic partnerships, joint ventures or capital commitments;

    Additions or departures of key personnel;

    Competition from existing products or new products that may emerge;

    Issuance of new or updated research or reports by securities analysts;

    Fluctuations in the valuation of companies perceived by investors to be comparable to us;

    Disputes or other developments related to proprietary rights, including patents, litigation matters and our ability to obtain intellectual property protection for our technologies;

    Sales of our common stock by us or our stockholders;

    Share price and volume fluctuations attributable to inconsistent trading volume levels of our shares;

    The expiration of contractual lock-up agreements with our executive officers, directors and stockholders; and

    General economic and market conditions.

        Furthermore, the stock markets have experienced extreme price and volume fluctuations that have affected and continue to affect the market prices of equity securities of many companies. These fluctuations often have been unrelated or disproportionate to the operating performance of those companies. These broad market and industry fluctuations, as well as general economic, political and market conditions such as recessions, interest rate changes or international currency fluctuations, may harm the market price of our common stock. In the past, companies that have experienced volatility in the market price of their stock have been subject to securities class action litigation. We may be the target of this type of litigation in the future. Securities litigation against us could result in substantial costs and divert our management's attention from other business concerns, which could harm our business.

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If securities or industry analysts do not publish research or reports about our business, or publish negative reports about our business, our share price and trading volume could decline.

        The trading market for our common stock depends in part on the research and reports that securities or industry analysts publish about us or our business. We do not have any control over these analysts. If one or more of the analysts who cover us downgrade our shares or change their opinion of our shares, our share price will likely decline. If one or more of these analysts cease coverage of our company or fail to regularly publish research or reports on us, we could lose visibility in the financial markets, which could cause our stock price or trading volume to decline.

The concentration of ownership of our capital stock limits your ability to influence corporate matters.

        As of December 31, 2013, our directors, executive officers and holders of more than 5% of our common stock, together with their affiliates, beneficially own, in the aggregate, 65.8% of our outstanding common stock. As a result, these stockholders, acting together, would have the ability to control the outcome of matters submitted to our stockholders for approval, including the election of directors and any merger, consolidation or sale of all or substantially all of our assets. In addition, these stockholders, acting together, would have the ability to control the management and affairs of our company. Accordingly, this concentration of ownership might harm the market price of our common stock by:

    Delaying, deferring or preventing a change in corporate control;

    Impeding a merger, consolidation, takeover or other business combination involving us; or

    Discouraging a potential acquirer from making a tender offer or otherwise attempting to obtain control of us.

Anti-takeover provisions in our charter documents and under Delaware law could make an acquisition of us, which may be beneficial to our stockholders, more difficult and may prevent attempts by our stockholders to replace or remove our current management and limit the market price of our common stock.

        Provisions in our amended and restated certificate of incorporation and amended and restated bylaws may have the effect of delaying or preventing a change of control or changes in our management. Our amended and restated certificate of incorporation and amended and restated include provisions that:

    Authorize our board of directors to issue, without further action by the stockholders, up to 25,000,000 shares of undesignated preferred stock;

    Require that any action to be taken by our stockholders be effected at a duly called annual or special meeting and not by written consent;

    Specify that special meetings of our stockholders can be called only by our board of directors, the Chairman of the Board, the Chief Executive Officer or the President;

    Establish an advance notice procedure for stockholder approvals to be brought before an annual meeting of our stockholders, including proposed nominations of persons for election to our board of directors;

    Provide that directors may be removed only for cause;

    Provide that vacancies on our board of directors may be filled only by a majority of directors then in office, even though less than a quorum;

    Establish that our board of directors is divided into three classes—Class I, Class II and Class III—with each class serving staggered terms; and

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    Require a super-majority of votes to amend certain of the above-mentioned provisions.

        These provisions, alone or together, could delay or prevent hostile takeovers and changes in control. These provisions may also frustrate or prevent any attempts by our stockholders to replace or remove our current management by making it more difficult for stockholders to replace members of our board of directors, which is responsible for appointing the members of our management.

        As a Delaware corporation, we are also subject to provisions of Delaware law, including Section 203 of the Delaware General Corporation law, which prevents some stockholders holding more than 15% of our outstanding common stock from engaging in certain business combinations without approval of the holders of substantially all of our outstanding common stock.

        Any provision of our certificate of incorporation or bylaws or Delaware law that has the effect of delaying or deterring a change of control could limit the opportunity for our stockholders to receive a premium for their shares of our common stock, and could also affect the price that some investors are willing to pay for our common stock.

ITEM 1B.    Unresolved Staff Comments

        None.

ITEM 2.    Properties

        Our corporate headquarters are located in Salt Lake City, Utah, where we lease approximately 56,000 square feet of commercial space under a lease that expires on June 30, 2018. We use this space for sales, research and development, dealer and distributor service and support, administrative purposes. We also lease approximately 45,000 square feet of warehouse space in Salt Lake City, Utah under a lease that expires on March 31, 2017.

        In connection with our sales efforts in the United States and abroad, we lease office space typically on a short-term renewable basis domestically in San Jose, California, Charlotte, North Carolina and Chicago, Illinois, and internationally in York, United Kingdom, Shanghai, China, and Bangalore, India.

        We believe that our facilities are suitable to meet our current needs. We intend to expand our existing facilities or add new facilities as we add employees and enter new geographic markets, and we believe that suitable additional or alternative space will be available as needed to accommodate any such growth. However, we expect to incur additional expenses in connection with such new or expanded facilities.

ITEM 3.    Legal Proceedings

        From time to time, we may become involved in legal proceedings arising in the ordinary course of our business. We are not presently a party to any legal proceedings that, if determined adversely to us, we believe would individually or in the aggregate have a material adverse effect on our business, results of operations, financial condition or cash flows.

ITEM 4.    Mine Safety Disclosures

        Not applicable.

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PART II.

ITEM 5.    Market for Registrant's Common Equity, Related Stockholder Matters and Issuer Purchases of Equity Securities

Market Information

        Our common stock has been listed on the NASDAQ Global Select Market under the symbol "CTRL" since August 2, 2013. Prior to that time, there was no public market for our common stock.

Price Range of Common Stock

        The price range per share of common stock presented below represents the highest and lowest closing prices for our common stock on the NASDAQ Global Select Market during each quarter since our initial public offering.

2013
  High   Low  

Fourth Quarter

  $ 17.86   $ 14.17  

Third Quarter (commencing August 2, 2013)

  $ 23.80   $ 17.32  

Holders of Record

        As of February 14, 2014, there were 76 holders of record of our common stock. The actual number of stockholders is greater than this number of holders of record, and includes stockholders who are beneficial owners, but whose shares are held in street name by brokers and other nominees. This number of holders of record also does not include stockholders whose shares may be held in trust by other entities.

Stock Performance Graph and Cumulative Total Return

        Notwithstanding any statement to the contrary in any of our previous or future filings with the SEC, the following information relating to the price performance of our common stock shall not be deemed to be "filed" with the SEC or to be "soliciting material" under the Securities Exchange Act of 1934, as amended, or the Exchange Act, and it shall not be deemed to be incorporated by reference into any of our filings under the Securities Act or the Exchange Act, except to the extent we specifically incorporate it by reference into such filing.

        The following graph shows a comparison from August 2, 2013 (the date our common stock commenced trading on the NASDAQ Global Select Market) through December 31, 2013 of the total cumulative return of our common stock with the total cumulative return of the S&P 500 Index and S&P 500 Information Technology Sector Index. The comparisons in this graph below are based on historical data and are not intended to forecast or be indicative of future performance of our common stock.

        The comparison assumes that $100.00 was invested in our common stock, the S&P 500 Index and S&P 500 Information Technology Sector Index, and assumes reinvestment of dividends, if any. The graph assumes the initial value of our common stock on August 2, 2013 was the closing sale price on that day of $20.05 per share and not the initial offering price to the public of $16.00 per share. The performance shown on the graph below is based on historical results and is not intended to suggest future performance.

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GRAPHIC

Dividend Policy

        We have never declared or paid any cash dividends on our common stock and do not intend to pay any cash dividends in the foreseeable future. We anticipate that we will retain all of our future earnings for use in the operation of our business and for general corporate purposes. Any determination to pay dividends in the future will be at the discretion of our board of directors. Accordingly, investors must rely on sales of their common stock after price appreciation, which may never occur, as the only way to realize any future gains on their investments.

Unregistered Sale of Equity Securities

        From January 1, 2013 through August 2, 2013, we sold and issued to our employees, consultants and former service providers an aggregate of 51,454 shares of common stock pursuant to option exercises under our 2003 Equity Incentive Plan at exercise prices ranging from $0.52 to $8.84 per share for an aggregate purchase price of $221,591.60.

        From January 1, 2013 through August 2, 2013, we granted options under our 2003 Equity Incentive Plan to purchase an aggregate of 386,898 shares of common stock to our employees, directors and consultants, having an exercise price of $11.28 per share for an aggregate exercise price of $4,365,757.03.

        In August 2013, we issued 293,232 shares of common stock pursuant to the cashless net exercise of warrants to purchase our common stock.

        Unless otherwise stated, the sales of the above securities were deemed to be exempt from registration under the Securities Act of 1933, as amended (the "Securities Act"), in reliance upon

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Section 4(2) of the Securities Act (or Regulation D or Regulation S promulgated thereunder), or Rule 701 promulgated under Section 3(b) of the Securities Act as transactions by an issuer not involving any public offering or pursuant to benefit plans and contracts relating to compensation as provided under Rule 701. The recipients of the securities in each of these transactions represented their intentions to acquire the securities for investment only and not with a view to or for sale in connection with any distribution thereof, and appropriate legends were placed upon the stock certificates issued in these transactions. All recipients had adequate access, through their relationships with the Registrant, to information about the Registrant. The sales of these securities were made without any general solicitation or advertising.

Issuer Purchases of Equity Securities

        We did not purchase any of our securities during the year ended December 31, 2013.

Use of Proceeds from Public Offering of Common Stock

        On August 7, 2013, we closed our initial public offering ("IPO"), in which we sold 4,600,000 shares of common stock at a price to the public of $16.00 per share. The offer and sale of all of the shares in the IPO were registered under the Securities Act pursuant to a registration statement on Form S-1 (File No. 333-189736), which was declared effective by the SEC on August 1, 2013. We raised $65.6 million in net proceeds after deducting underwriting discounts and commissions of $5.2 million and offering expenses of $2.8 million. No payments were made by us to directors, officers or persons owning ten percent or more of our common stock or to their associates, or to our affiliates, other than payments in the ordinary course of business to officers for salaries. There has been no material change in the planned use of proceeds from our IPO as described in our final prospectus filed with the SEC on August 2, 2013 pursuant to Rule 424(b). We invested the funds received in accordance with our board approved investment policy. The managing underwriters of our IPO were Merrill Lynch, Pierce, Fenner & Smith Incorporated and Raymond James & Associates, Inc.

Securities Authorized for Issuance under Equity Compensation Plans

        See Part III, Item 12 of this Form 10-K for disclosure relating to our equity compensation plans. Such information will be included in our proxy statement relating to our 2014 annual meeting of stockholders, which is incorporated herein by reference.

ITEM 6.    Selected Financial Data

        We have derived the selected consolidated statements of operations data for the years ended December 31, 2011, 2012 and 2013 and the selected consolidated balance sheet data as of December 31, 2012 and 2013 from our audited consolidated financial statements and related notes included elsewhere in this Form 10-K. We have derived the selected consolidated statements of operations data for the years ended December 31, 2009 and 2010 and the selected consolidated balance sheet data as of December 31, 2011 from our audited consolidated financial statements not included in this Form 10-K. The following selected consolidated financial data should be read in conjunction with "Management's Discussion and Analysis of Financial Condition and Results of Operations" and our consolidated financial statements and related notes included elsewhere in this Form 10-K. Our historical results are not necessarily indicative of the results to be expected for any future period and

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the results for any interim period are not necessarily indicative of the results to be expected in the full year.

 
  Years Ended December 31,  
 
  2009   2010   2011   2012   2013  
 
  (In thousands, except per share data)
 

Consolidated Statements of Operations Data:

                               

Revenue

  $ 67,742   $ 74,925   $ 93,376   $ 109,512   $ 128,511  

Cost of revenue

    41,674     43,357     50,534     57,225     64,234  

Cost of revenue—inventory purchase commitment

                1,840     (380 )
                       

Gross margin

    26,068     31,568     42,842     50,447     64,657  

Operating expenses:

                               

Research and development

    10,862     15,922     19,211     20,310     24,979  

Sales and marketing

    16,483     22,491     17,546     20,182     21,975  

General and administrative

    6,690     8,876     9,805     10,150     12,329  

Litigation settlement

                2,869     440  
                       

Total operating expenses

    34,035     47,289     46,562     53,511     59,723  
                       

Income (loss) from operations

    (7,967 )   (15,721 )   (3,720 )   (3,064 )   4,934  

Interest and other expense, net

    (401 )   (544 )   (165 )   (518 )   (1,183 )
                       

Income (loss) before income taxes

    (8,368 )   (16,265 )   (3,885 )   (3,582 )   3,751  

Income tax expense

                (141 )   (248 )
                       

Net income (loss)

  $ (8,368 ) $ (16,265 ) $ (3,885 ) $ (3,723 ) $ 3,503  
                       
                       

Net income (loss) per common share:

                               

Basic

  $ (5.42 ) $ (9.93 ) $ (2.02 ) $ (1.58 ) $ 0.33  

Diluted

  $ (5.42 ) $ (9.93 ) $ (2.02 ) $ (1.58 ) $ 0.16  

Non-GAAP Financial Measures

        In addition to our GAAP operating results, we use certain non-GAAP financial measures to understand and evaluate our operating performance and trends, to prepare and approve our annual budget, and to develop short- and long-term operational plans. These measures, which we refer to as our non-GAAP financial measures, are not prepared in accordance with generally accepted accounting principles in the United States. Non-GAAP gross margin, non-GAAP income from operations, and non-GAAP net income exclude non-cash expenses related to stock-based compensation as well as gains or losses on inventory purchase commitments. We further exclude expenses related to litigation settlement, stock warrants, and executive severance from non-GAAP income from operations and non-GAAP net income.

        Management believes that it is useful to exclude stock-based compensation expense because the amount of such expense in any specific period may not directly correlate to the underlying performance of our business operations. We believe it is useful to exclude gains or losses on inventory purchase commitments because it is income or expense that arose from our commitment to purchase energy-related products from our contract manufacturing partner that we will not use due to our decision to discontinue our energy product line for utility customers. We have not recognized that type of income or expense in periods prior to 2012, and we believe that past and future periods are more comparable if we exclude that income or expense. Furthermore, we believe it is useful to exclude expenses related to litigation settlement, stock warrants and executive severance because of the variable and unpredictable nature of these expenses which are not indicative of past or future operating performance. We believe that past and future periods are more comparable if we exclude those expenses.

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        We believe these adjustments provide useful comparative information to investors. Non-GAAP results are presented for supplemental informational purposes only for understanding our operating results. The non-GAAP results should not be considered a substitute for financial information presented in accordance with generally accepted accounting principles, and may be different from non-GAAP measures used by other companies. Our non-GAAP financial measures may not provide information that is directly comparable to that provided by other companies in our industry, as other companies in our industry may calculate non-GAAP financial results differently, particularly related to non-recurring, unusual items. We urge our investors to review the reconciliation of our non-GAAP financial measures to the comparable GAAP financial measures included below, and not to rely on any single financial measure to evaluate our business.

 
  Years Ended December 31,  
 
  2009   2010   2011   2012   2013  
 
  (in thousands, except percentages and per share data)
 

Reconciliation of Gross Margin to Non-GAAP Gross Margin:

                               

Gross margin

  $ 26,068   $ 31,568   $ 42,842   $ 50,447   $ 64,657  

Stock-based compensation expense in cost of revenue

    26     28     49     78     63  

Cost of revenue—inventory purchase commitment

                1,840     (380 )
                       

Non-GAAP gross margin

  $ 26,094   $ 31,596   $ 42,891   $ 52,365   $ 64,340  
                       
                       

Revenue

  $ 67,742   $ 74,925   $ 93,376   $ 109,512   $ 128,511  

Gross margin percentage

    38.5 %   42.1 %   45.9 %   46.1 %   50.3 %

Non-GAAP gross margin percentage

    38.5 %   42.2 %   45.9 %   47.8 %   50.1 %

Reconciliation of Income (Loss) From Operations to Non-GAAP Income (Loss) From Operations:

   
 
   
 
   
 
   
 
   
 
 

Income (loss) from operations

  $ (7,967 ) $ (15,721 ) $ (3,720 ) $ (3,064 ) $ 4,934  

Stock-based compensation expense

    1,039     1,469     2,013     2,869     3,760  

Cost of revenue—inventory purchase commitment

                1,840     (380 )

Litigation settlement

                2,869     440  

Convertible preferred stock warrant

    6     140     (227 )   254     709  

Executive severance

                    340  
                       

Non-GAAP income (loss) from operations

  $ (6,922 ) $ (14,112 ) $ (1,934 ) $ 4,768   $ 9,803  
                       
                       

Revenue

  $ 67,742   $ 74,925   $ 93,376   $ 109,512   $ 128,511  

Operating margin percentage

    -11.8 %   -21.0 %   -4.0 %   -2.8 %   3.8 %

Non-GAAP operating margin percentage

    -10.2 %   -18.8 %   -2.1 %   4.4 %   7.6 %

Reconciliation of Net Income (Loss) to Non-GAAP Net Income (Loss):

   
 
   
 
   
 
   
 
   
 
 

Net income (loss)

  $ (8,368 ) $ (16,265 ) $ (3,885 ) $ (3,723 ) $ 3,503  

Stock-based compensation expense

    1,039     1,469     2,013     2,869     3,760  

Cost of revenue—inventory purchase commitment

                1,840     (380 )

Litigation settlement

                2,869     440  

Convertible preferred stock warrant

    6     140     (227 )   254     709  

Executive severance

                    340  
                       

Non-GAAP net income (loss)

  $ (7,323 ) $ (14,656 ) $ (2,099 ) $ 4,109   $ 8,372  
                       
                       

Reconciliation of Net Income (Loss) per Share to Non-GAAP Net Income (Loss) per Share:

                               

Basic net income (loss) per share

  $ (5.42 ) $ (9.93 ) $ (2.02 ) $ (1.58 ) $ 0.33  

Stock-based compensation expense

    0.67     0.90     1.05     1.22     0.36  

Cost of revenue—inventory purchase commitment

                0.78     (0.04 )

Litigation settlement

                1.22     0.04  

Convertible preferred stock warrant

        0.08     (0.12 )   0.10     0.07  

Executive severance

                    0.03  
                       

Non-GAAP basic net income (loss) per share

  $ (4.75 ) $ (8.95 ) $ (1.09 ) $ 1.74   $ 0.79  
                       
                       

Diluted net income (loss) per share

  $ (5.42 ) $ (9.93 ) $ (2.02 ) $ (0.20 ) $ 0.16  

Stock-based compensation expense

    0.67     0.90     1.05     0.15     0.17  

Cost of revenue—inventory purchase commitment

                0.10     (0.02 )

Litigation settlement

                0.15     0.02  

Convertible preferred stock warrant

        0.08     (0.12 )   0.02     0.03  

Executive severance

                    0.02  
                       

Non-GAAP diluted net income (loss) per share

  $ (4.75 ) $ (8.95 ) $ (1.09 ) $ 0.22   $ 0.38  
                       
                       

Weighted-average number of shares:

                               

Basic

    1,543     1,638     1,923     2,360     10,609  

Diluted

    1,543     1,638     1,923     18,909     22,263  

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Consolidated Balance Sheet Data

        The following table sets forth our selected consolidated balance sheet data as of the dates presented:

 
  As of December 31,  
 
  2011   2012   2013  
 
  (In thousands)
 

Consolidated Balance Sheet Data:

                   

Cash and cash equivalents

  $ 18,468   $ 18,695   $ 84,546  

Property and equipment, net

    2,127     2,666     3,943  

Working capital, excluding deferred revenue

    24,908     23,832     95,422  

Total assets

    43,534     50,638     122,686  

Long-term debt, including current portion

    2,320     3,159     2,966  

Redeemable convertible preferred stock and warrant liability

    116,660     116,914      

Total stockholders' equity (deficit)

    (92,506 )   (92,603 )   98,474  

ITEM 7.    Management's Discussion and Analysis of Financial Condition and Results of Operations

        You should read the various sections in MD&A in conjunction with our consolidated financial statements and the notes thereto included elsewhere in this Form 10-K. The following discussion contains forward-looking statements that reflect our plans, estimates and beliefs. Our actual results could differ materially from those discussed in the forward-looking statements. Factors that could cause or contribute to these differences include those discussed below and elsewhere in this Form 10-K, particularly in the "Special Note Regarding Forward-Looking Statements" and the "Risk Factors" section.

        Our Management's Discussion and Analysis of Financial Condition and Results of Operations (MD&A) is provided in addition to the accompanying consolidated financial statements and notes to assist readers in understanding our operations, financial condition and cash flows. MD&A is organized as follows:

    Overview.  Discussion of our business and overall analysis of financial and other highlights affecting the company in order to provide context for the remainder of MD&A.

    Factors and Trends Affecting our Performance.  A summary of certain market factors and trends that we believe are important to our business which we must successfully address in order to continue to grow our business.

    Key Operating and Financial Metrics.  Key operating and financial metrics that we use to evaluate and manage our business.

    Results of Operations.  An analysis of our financial results comparing 2012 to 2011 and comparing 2013 to 2012.

    Quarterly Results of Operations and Other Data.  An analysis of our quarterly results of operations for each of the quarters in the two-year period ended December 31, 2013.

    Liquidity and Capital Resources.  An analysis of changes in our balance sheets and cash flows, and discussion of our financial condition and potential sources of liquidity.

    Critical Accounting Estimates.  Accounting estimates that we believe are most important to understanding the assumptions and judgments incorporated in our reported financial results and forecasts.

    Contractual Obligations and Off-Balance Sheet Arrangements.  Overview of contractual obligations, contingent liabilities, commitments and off-balance sheet arrangements outstanding as of December 31, 2013, including expected payment schedule.

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Overview

        Control4 is a leading provider of automation and control solutions for the connected home. We unlock the potential of connected devices, making entertainment systems easier to use, homes more comfortable and energy efficient, and families more secure. We provide our consumers with the ability to integrate music, video, lighting, temperature, security, communications and other functionalities into a unified home automation solution that enhances our consumers' daily lives. At the center of our solution is our advanced software platform, which we provide through our products that interface with a wide variety of connected devices that are developed by us and by third parties.

        We derive virtually all of our revenue from the sale of products that contain our proprietary software, which functions as the operating system of the home. We derive a smaller portion of our revenue from licensing our MyHome software, which allows consumers to access their home control system from within their home using their smartphone, tablet or laptop. In 2013, we began bundling the MyHome software licenses with our controller appliances. As a result, we are currently only selling MyHome software licenses to legacy system owners. We anticipate that sales of individual MyHome software licenses will continue to decline and we will eventually discontinue the sale of the unbundled software. We also generate revenue from the sale of annual subscriptions to our 4Sight service, which allows consumers to remotely access and control their home control system, as well as receive alerts regarding activities in their home. 4Sight also allows dealers to perform remote diagnostic services. Although our subscription-based revenue is currently insignificant, we intend over time to develop additional subscription-based services and increase our subscription-based revenue.

        Consumers purchase our products from our worldwide network of certified independent dealers, regional and national retailers and distributors. These dealers design and install a solution to fit the specific needs of each consumer, whether it is a one-room home theatre solution or a whole-home automation solution that includes the integration of music, video, lighting, temperature, security and communications devices. Our products are installed in both new and existing residences. In addition, a portion of our revenue is attributable to small commercial installations and multi-dwelling units, including hotels. During the year ended December 31, 2013, we sold our products directly to over 3,000 active direct dealers in the United States, Canada, the United Kingdom and 43 other countries, and partnered with 29 distributors to cover an additional 41 countries where we do not have direct dealer relationships. These distributors sell our solutions through dealers and provide warehousing, training, technical support, billing and service for dealers in each of those countries.

        We were founded in 2003 and began shipping our products and generating revenue in 2005. Our compounded annual growth rate for revenue between 2006 and 2013 was 28%, as shown in the following table (dollars in millions):

 
  For the Year Ended December 31,  
 
  2006   2007   2008   2009   2010   2011   2012   2013  

Revenue

  $ 23.0   $ 40.1   $ 57.1   $ 67.7   $ 74.9   $ 93.4   $ 109.5   $ 128.5  

Growth over prior year

    215 %   75 %   42 %   19 %   11 %   25 %   17 %   17 %

        Our revenue growth has resulted primarily from a combination of adding new dealers and distributors to our sales channels, as well as increasing revenue from existing dealers and distributors by enhancing and expanding our product offerings and solutions.

        To date, nearly all of our revenue growth has been organic. We have completed small acquisitions, but those acquisitions have been technology and distribution-related and have not contributed materially to our revenue. We plan to identify, acquire and integrate strategic technologies, assets and businesses that we believe will enhance the overall strength of our business.

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        We have historically experienced seasonal variations in our revenue as a result of holiday-related factors that are common in our industry. Our revenue is generally highest in the fourth quarter due to consumers' desires to complete their home installations prior to the Thanksgiving and Christmas holidays. We generally see decreased sales in the first quarter due to the number of installations that were completed in the fourth quarter and the resulting decline in dealer activity in the first quarter. We generally expect these seasonal trends to continue in the future, which may cause quarterly fluctuations in our results of operations and certain financial metrics.

        On August 7, 2013, we completed our initial public offering ("IPO") of common stock in which we sold and issued 4,600,000 shares of common stock and received net proceeds of approximately $65.6 million after deducting underwriting discounts and commissions and offering expenses.

Factors and Trends Affecting Our Performance

        A number of industry trends have facilitated our growth over the past several years, including the proliferation of connected devices and the ubiquity and growth of network-enabled homes. From 2006 through 2008, the majority of our sales were for use in new, single-family homes. During the slowdown in the new housing market beginning in 2008, our dealers redirected their focus to existing homes, and today, we estimate that the majority of our installations are in existing homes. We expect that future increases in either new home construction or existing home renovations will have a positive impact on our revenue. We recently announced an initiative with Toll Brothers, Inc., a leading home builder in the United States, for Toll Brothers to offer several pre-configured Control4 automation packages to prospective home buyers through on-site product demonstrations, videos, marketing collateral and other materials. We plan to offer similar programs to other national and regional home builders in the United States.

        We believe that the growth of our business and our future success are dependent upon many factors, including the rates at which consumers adopt our products and services, our ability to strengthen and expand our dealer and distributor network, our ability to expand internationally and our ability to meet competitive challenges. While each of these areas presents significant opportunities for us, they also pose important challenges that we must successfully address in order to sustain or expand the growth of our business and improve our results of operations. These challenges include:

    Increasing Adoption Rates of Our Products and Services.  We are focused on increasing adoption rates of our products and services through enhancements to our software platform and product offerings. We intend to accomplish these enhancements through both continued investment in research and development activities and acquisitions of complementary businesses and technologies;

    Optimizing Our North America Dealer Network.  We intend to continue to optimize the performance of and expand our network of dealers in North America to ensure that we have geographic coverage and technical expertise to address our existing markets and new markets into which we plan to expand;

    Expanding our International Dealer and Distributor Network.  We believe that our future growth will be significantly impacted by our ability to expand our dealer and distributor network outside of North America, adapt our products and services to foreign markets and increase our brand awareness internationally. In particular, we believe that we will have significant opportunities to expand our business in emerging markets such as China and India; and

    Managing Competition.  The market for home automation is fragmented, highly competitive and continually evolving. A number of large technology companies such as Apple, Google, Microsoft and Samsung offer home control capabilities among some of their own products, applications and services and are engaged in ongoing development efforts to address the broader home

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      automation market. For example, Google recently acquired Nest Labs, Inc. which manufactures thermostats and smoke detectors. Our ability to gain significant market share in the home automation market and interoperate with the new technologies developed by other large technology companies over the next several years will be key factors in our ability to continue to grow our business and meet or exceed our future expectations.

Key Operating and Financial Metrics

        We use the following key operating and financial metrics to evaluate and manage our business.


North America Direct Dealers

 
  December 31,  
 
  2011   2012   2013  

Authorized dealers at the beginning of the year

    2,005     2,304     2,388  

Additions

    403     323     289  

Terminations

    (104 )   (239 )   (133 )
               

Authorized dealers at the end of the year

    2,304     2,388     2,544  
               

Number of active dealers

    2,215     2,350     2,465  

% of active dealers

    96 %   98 %   97 %


International Direct Dealers

 
  December 31,  
 
  2011   2012   2013  

Authorized dealers at the beginning of the year

    327     474     629  

Additions

    156     198     157  

Terminations

    (9 )   (43 )   (151 )
               

Authorized dealers at the end of the year

    474     629     635  
               

Number of active dealers

    375     501     578  

% of active dealers

    79 %   80 %   91 %

 

 
  For the Years Ended
December 31,
 
 
  2011   2012   2013  

Number of controller appliances sold

    62,760     69,209     66,674  

Core revenue growth

    24 %   20 %   20 %

International core revenue as a percentage of total revenue

    18 %   22 %   22 %

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Number of North America and International Direct Dealers

        Because our dealers promote, sell, install and support our products, a broader dealer network allows us to reach more potential consumers across more geographic regions. We expect our dealer network to continue to grow, both in North America and internationally. While we have historically focused on dealers affiliated with the Custom Electronics Design and Installation Association ("CEDIA"), we believe there is an opportunity to establish relationships with dealers outside of CEDIA, including electrical contractors, heating and cooling specialists, and security system installers. We define an active dealer as one that has placed an order with us in the trailing 12-month period.

        Our active international dealer network is generally growing at a faster rate than our active North America dealer network, and we expect this trend to continue as we increase our presence in new and existing international markets. In addition, in some international markets, we plan to establish direct relationships with selected dealers that we previously served through distributors, which we expect will further increase our number of direct international dealers. In 2013, we made a concerted effort to evaluate our international dealers and terminated 151 dealers who failed to meet training and sales volume minimums.

        While we believe we continue to have significant international opportunities, we face challenges in international expansion. Such challenges may cause our growth rate to be slower than anticipated. During the third quarter of 2013, we opened our technical support and training center in China which we believe will help us expand our presence in China and accelerate our transition from a distributor to direct-to-dealer channel model. A similar facility was opened in India during the fourth quarter of 2013. In addition, our efforts are focused on addressing other impediments to growth through new product introduction as well as promotion and pricing programs in certain markets.

Number of Controller Appliances Sold

        Our controller appliances contain our proprietary software and provide consumers with the essential software technology to enable home control, automation and personalization. The number of controller appliances we sell in a given period provides us with an indication of consumer adoption of our technology. Our sales of controller appliances also create significant opportunity to sell our other products and services. Once a consumer has deployed our controller appliances, we believe that the consumer is more likely to remain committed to our technology platform and purchase more of our products, applications and services in the future.

        In the first quarter of 2012, we introduced our HC-800 controllers and in the second quarter of 2012, we introduced our HC-250 controllers. These controllers offer increased capability and performance compared to the controllers that they replaced (i.e. the HC-1000, the HC-300, and the HC-200). As a result of the increased capability and higher performance of these controllers, many installations now require fewer controllers per system and we have therefore seen a decrease in the average number of controllers per system in 2013 compared to 2012. In addition, in 2013, we began bundling the MyHome software licenses with our controller appliances. The introduction of new controllers and the bundling of MyHome software with our controllers resulted in an increase in the average selling price of our controllers by 29% in 2013 compared to 2012. The net result is an increase in revenue and a decrease in the number of controllers sold for the year ended December 31, 2013 compared to the same period of 2012.

Core Revenue Growth

        The majority of our revenue comes from sales of our products through our distribution channels comprised of dealers in the United States and Canada and dealers and distributors located throughout the rest of the world. We refer to revenue attributable to sales through dealers located in the United States and Canada as North America Core revenue, and revenue attributable to sales through dealers

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and distributors located throughout the rest of the world as International Core revenue. Core revenue does not include revenue from sales to hotels or multi-dwelling units or certification fees paid to us. Our revenue from sales to hotels, multi-dwelling units and other sources is generally project-based and has been significant in some periods and insignificant in other periods. In the future, we expect revenue from these sources to continue to be attributable to large projects and will continue to be significant in some periods and insignificant in other periods. We, therefore, believe that our core revenue growth is a good measure of our market penetration and the growth of our business.

International Core Revenue as a Percentage of Total Revenue

        We believe that the international market represents a large and underpenetrated opportunity for us. In recent years, we have established offices in the UK, China, and India, we have formed relationships with international dealers and distributors and we have expanded foreign language support for our solutions. We track International revenue as a percentage of total revenue as a key measure of our success in expanding our business internationally.

Results of Operations

Revenue

        The following is a breakdown of our revenue between North America and International and a further breakdown between our Core revenue and other revenue:

 
  Years Ended December 31,  
 
  2011   2012   2013  
 
  (in thousands)
 

North America Core Revenue

  $ 71,472   $ 81,130   $ 98,070  

Other North America Revenue

    2,633     1,280     1,534  
               

Total North America Revenue

    74,105     82,410     99,604  
               

International Core Revenue

    16,797     24,471     28,323  

Other International Revenue

    2,474     2,631     584  
               

Total International Revenue

    19,271     27,102     28,907  
               

Total Revenue

  $ 93,376   $ 109,512   $ 128,511  
               
               

North America Core Revenue as a % of Total Revenue

    77 %   74 %   76 %

International Core Revenue as a % of Total Revenue

    18 %   22 %   22 %

        2012 Compared to 2011.    North America core revenue increased $9.7 million, or 14%, from 2011 to 2012 primarily as a result of a net increase in the number of active direct dealers selling our products.

        International core revenue increased $7.7 million, or 46%, from 2011 to 2012 primarily due to an increase in the number of active dealers and distributors selling our products as we grow in existing markets and expand into new ones.

        Other revenue decreased by $1.2 million due to a decrease in sales to hotels and other multi-dwelling units. Revenue from sales to hotels and multi-dwelling units is difficult for us to predict and we are uncertain as to how much revenue we will receive from these projects in the future.

        2013 Compared to 2012.    North America core revenue increased $16.9 million, or 21%, from 2012 to 2013 primarily as a result of a net increase in the number of active direct dealers selling our

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products and services and an increase in sales from existing direct dealers. In addition, while the number of controllers sold in 2013 decreased 4% from 2012, the average selling price per controller was up 29% during that same period.

        International core revenue increased $3.9 million, or 16%, from 2012 to 2013 primarily due to an increase in the number of dealers and distributors selling our products and services and the resulting increase in the number of system sales.

        Our International core revenue growth declined from 46% in 2012 to 16% in 2013. The number of international dealers was relatively flat at the end of 2013 compared to 2012, but the percentage of those dealers who are active increased from 80% in 2012 to 91% in 2013 as a result of our efforts to terminate non-performing dealers. We made investments internationally to improve our dealers' abilities to sell and install our products, particularly in India and China where we opened technical support and training centers during 2013. We believe this will help us expand our presence in China and accelerate our transition from a distributor to direct-to-dealer channel model. We are also investing in new products and pricing programs to meet certain international market requirements.

Gross Margin

        As a percentage of revenue, our gross margin has been and will continue to be affected by a variety of factors. Our gross margin is relatively consistent across our products. Our gross margin on third-party products we sell through our online distribution platform is higher than our gross margin on our other product sales because we only recognize our net profit on these sales as revenue. Our gross margin is higher on software licensing and subscription revenue than it is on product sales. Our gross margin is also higher on our sales made directly through dealers than it is on our sales made through distributors. Gross margin may be negatively affected by price competition in our target markets and associated promotional or volume incentive rebates offered to our dealers and distributors.

        Gross margin for the years ended December 31, 2011, 2012, and 2013 was as follows (in thousands, except percentages):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Gross margin

  $ 42,842   $ 50,447   $ 64,657  

Percentage of revenue

    46 %   46 %   50 %

        2012 Compared to 2011.    Our total cost of revenue for the year ended December 31, 2012 included a $1.8 million loss on inventory purchase commitments resulting from our decision to discontinue our energy product line. We generated less than 1% of our total revenue from our energy product line in each year. Excluding the loss on inventory purchase commitments, gross margin as a percentage of revenue would have increased from 45.9% in 2011 to 47.7% in 2012. That increase was due primarily to a decrease in fixed manufacturing overhead as a percentage of revenue and component cost reductions.

        2013 Compared to 2012.    As a percentage of revenue, our gross margin increased from 46% in 2012 to 50% in 2013. In 2013, we recorded a gain related to inventory purchase commitments of approximately $0.4 million, as our proceeds from liquidating the underlying inventory and our ability to consume common components exceeded our original estimates. Adjusting for the impact in 2012 and 2013 on inventory purchase commitment reserves, our gross margin as a percent of revenue would have increased from 47.7% in 2012 to 50.0% in 2013. That increase was due to a variety of factors, including higher prices charged for our controller products and associated software, higher sales of third party products sold through our online distribution platform and lower component costs as a percent of revenue.

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        We expect the favorable impact on our gross margin percentage related to higher prices for our controller products and associated software to continue in future periods; however, the impact will decline as software sold separately for use with legacy systems will diminish over time.

        We expect the positive impact on our gross margin percentage resulting from increased sales of third-party products sold through our online distribution platform to continue in future periods; however, the impact will be less significant as the growth rate of that revenue slows in future periods.

        We expect product component cost reductions to continue to have a positive impact on our gross margin as a percentage of revenue as those reductions are the result of negotiated price decreases with our contract manufacturers that are long-term in nature.

        The impact of lower manufacturing overhead as a percentage of revenue on our gross margin percentage will vary depending on overhead spending in a given period. For the year ended December 31, 2013, we received credits for duties paid in previous periods. We expect to receive duty draw-back credits in future periods, which will have a favorable impact on our gross margin percentages; however, we anticipate that the favorable impact will be less significant in future periods.

Research and Development Expenses

        Research and development expenses consist primarily of compensation for our engineers and product managers. Research and development expenses also include prototyping and field-testing expenses incurred in the development of our products, including products used for testing. We also include fees paid to agencies to obtain regulatory certifications.

        Research and development expenses for the years ended December 31, 2011, 2012, and 2013 were as follows (in thousands, except percentages):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Research and development

  $ 19,211   $ 20,310   $ 24,979  

Percentage of revenue

    21 %   19 %   19 %

        2012 Compared to 2011.    Research and development expenses increased by $1.1 million, or 6%, in 2012 compared to 2011. The increase in research and development expense was primarily due to increased compensation, including non-cash stock-based compensation, as a result of increased research and development personnel as well as due to prototyping and compliance agency fees for new product introductions in 2012.

        2013 Compared to 2012.    Research and development expenses increased by $4.7 million, or 23%, in 2013 compared to 2012. These increases were primarily due to an increase in headcount and related expenses, including non-cash stock-based compensation expense, to support on-going and expanded product development activities.

        We expect our research and development expenses to increase in absolute dollars for the foreseeable future as we continue to invest in the development of new solutions; however, we expect those expenses to fluctuate as a percentage of our revenue in future periods based on fluctuations in our revenue and the timing of those expenses.

Sales and Marketing Expenses

        Sales and marketing expenses consist primarily of compensation and related travel expenses for our sales and marketing personnel. Sales and marketing expenses also include expenses associated with trade shows, marketing events, advertising and other marketing-related programs.

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        Sales and marketing expenses for the years ended December 31, 2011, 2012, and 2013 were as follows (in thousands, except percentages):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Sales and marketing

  $ 17,546   $ 20,182   $ 21,975  

Percentage of revenue

    19 %   18 %   17 %

        2012 Compared to 2011.    Sales and marketing expenses increased by $2.6 million, or 15%, in 2012 compared to 2011. The increase in sales and marketing expense was due primarily to increased payroll related expenses from hiring additional sales and marketing personnel. In addition, we increased spending on advertising, public relations and general marketing expenses in 2012 compared to 2011. These increases were partially offset by a reduction in our domestic tradeshow expenses.

        2013 Compared to 2012.    Sales and marketing expenses increased by $1.8 million, or 9%, in 2013 compared to 2012. The period over period increases in absolute dollars for sales and marketing expenses was primarily due to headcount increases and the related expenses as well as increased credit card merchant fees, which grew proportionate to our growth in revenue. In addition, we increased our spending for tradeshow and other marketing related expenses to support new product releases and grow our dealer and distributor networks throughout the world.

        We expect our sales and marketing expenses to increase in absolute dollars for the foreseeable future as we add sales personnel, particularly in our international channel, and continue to invest in advertising and promotions to increase awareness of our products.

General and Administrative Expenses

        General and administrative expenses consist primarily of compensation for our employees in our executive administration, finance, information systems, human resource and legal departments. Also included in general and administrative expenses are outside legal fees, audit fees, facilities expenses and insurance costs.

        General and administrative expenses for the years ended December 31, 2011, 2012, and 2013 were as follows (in thousands, except percentages):

 
  Years Ended December 31,  
 
  2011   2012   2013  

General and administrative

  $ 9,805   $ 10,150   $ 12,329  

Percentage of revenue

    11 %   9 %   10 %

        2012 Compared to 2011.    General and administrative expenses increased by $0.3 million, or 4%, in 2012 compared to 2011. The increase in general and administrative expenses was due to increased compensation expense, including non-cash stock-based compensation expense, resulting from increased administrative personnel. In addition, legal fees were higher in 2012 compared to 2011, offset in part by lower rent expense resulting from the renegotiation of our corporate office lease.

        2013 Compared to 2012.    General and administrative expenses increased by $2.2 million, or 21%, in 2013 compared to 2012. The increase in absolute dollars in general and administrative expenses was due primarily to increased headcount and related expenses, professional fees and facilities related costs as we prepared to be a public reporting company. In addition, we incurred $0.3 million in expenses resulting from an executive severance agreement.

        We expect our general and administrative expenses to increase in absolute dollars primarily as a result of the increased cost associated with being a public company. However, we also expect our

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general and administrative expenses to fluctuate as a percentage of our revenue in future periods based on fluctuations in our revenue and the timing of those expenses.

Litigation Settlement Expenses

        Litigation settlement expenses for the years ended December 31, 2011, 2012, and 2013 were as follows (in thousands, except percentages):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Litigation settlement

  $   $ 2,869   $ 440  

Percentage of revenue

        3 %   0 %

        2012 Compared to 2011.    During 2012, we expensed $2.9 million in connection with two separate legal settlements. There were no similar expenses in 2011.

        2013 Compared to 2012.    During 2013, we expensed $440,000 in connection with two separate legal matters.

Other Income (Expense)

        Other income (expense) for the years ended December 31, 2011, 2012, and 2013 were as follows (in thousands, except percentages):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Other income (expense)

  $ 227   $ (254 ) $ (729 )

Percentage of revenue

    0 %   0 %   (1 )%

        Other income (expense) increased by $0.5 million in 2012 compared to 2011 and increased by $0.5 million in 2013 compared to 2012. The increases were due to change in the fair value of the warrant liability. Upon the effective date of our initial public offering, we adjusted the liability to fair value based upon the offering price of $16.00 per share. As a result, we recognized $0.7 million of other expense in 2013. Upon the closing of our initial public offering, the holders of the Series G-1 warrants net-exercised their warrants in exchange for 76,964 shares of our common stock. The warrant liability of $1.3 million was reclassified from long-term liabilities to additional paid-in capital, a component of stockholders' equity, and we ceased to record any further periodic fair value adjustments relating to the warrant liability.

Quarterly Results of Operations and Other Data

        The following table presents our quarterly consolidated results of operations and other data for each of the quarters presented, both in absolute dollars and as a percentage of revenue. This quarterly consolidated information has been prepared on the same basis as our audited consolidated financial statements and, in the opinion of management, the statement of operations data includes all adjustments, consisting of normal recurring adjustments, necessary for the fair presentation of the results of operations for these periods. You should read this table in conjunction with our audited consolidated financial statements and related notes located elsewhere in this Form 10-K. The results of

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operations for any quarter are not necessarily indicative of the results of operations for a full year or any future periods.

 
  Three Months Ended  
 
  March 31,
2012
  June 30,
2012
  Sept 30,
2012
  Dec 31,
2012
  March 31,
2013
  June 30,
2013
  Sept 30,
2013
  Dec 31,
2013
 
 
  (In thousands)
 

Revenue

  $ 22,628   $ 27,614   $ 28,605   $ 30,665   $ 26,571   $ 32,543   $ 33,641   $ 35,756  

Gross margin

    10,162     13,288     11,847     15,150     13,021     16,736     17,049     17,851  

Gross margin percentage

    44.9 %   48.1 %   41.4 %   49.4 %   49.0 %   51.4 %   50.7 %   49.9 %

Total operating expenses

    12,383     12,919     15,831     12,378     14,499     14,779     15,052     15,393  

Income (loss) from operations

    (2,221 )   369     (3,984 )   2,772     (1,478 )   1,957     1,997     2,458  

Net income (loss)

  $ (2,683 ) $ 519   $ (4,092 ) $ 2,533   $ (1,471 ) $ 973   $ 1,731   $ 2,270  

Net income (loss) per common share:

                                                 

Basic

  $ (1.19 ) $ 0.22   $ (1.73 ) $ 1.02   $ (0.59 ) $ 0.39   $ 0.12   $ 0.10  

Diluted

  $ (1.19 ) $ 0.03   $ (1.73 ) $ 0.13   $ (0.59 ) $ 0.05   $ 0.07   $ 0.09  

        We have historically experienced seasonal variations in our revenue as a result of holiday-related factors that are common in our industry. Our revenue is generally highest in the fourth quarter due to consumers' desire to complete their home installations prior to the Thanksgiving and Christmas holidays. We generally see decreased sales in the first quarter due to the number of installations that were completed in the fourth quarter and the resulting decline in dealer activity in the first quarter.

        Our gross margin percentage has improved from 44.9% in the first quarter of 2012 to 49.9% in the fourth quarter of 2013, but has been and will continue to be impacted by a variety of general and in some cases specific factors including the following:

    Negotiated decreases in the price of components purchased from our contract manufacturers resulting in lower product costs.

    The mix of customer type and products sold, including increased sales of third-party products sold through our online distribution platform where revenue is recognized on a net basis.

    Price competition resulting in promotional discounts or volume-incentive rebates.

    Achieving leverage in our fixed manufacturing overhead expense as a percent of revenue. The decreases in gross margin percentage in the first quarter of 2012 and the fourth quarter of 2013 were primarily due to higher fixed overhead expense as a percent of revenue.

    Our gross margin percentage in the third quarter of 2012 was negatively impacted by the loss on inventory purchase commitments resulting from our commitment to purchase energy-related products from one of our contract manufacturers that we will not use due to our decision to discontinue our energy product line for utility customers.

    Our gross margin in the fourth quarter of 2012 benefited from higher prices on certain product sales for large international multi-dwelling unit projects.

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    During the first and second quarters of 2013, we received credits for duties paid in previous periods positively impacting our gross margin percentages during those periods.

    In the second and fourth quarters of 2013, we recorded a gain related to inventory purchase commitments as our ability to consume common components exceeded our original estimates.

        In the near term, we generally expect our gross margin to increase modestly as a result of our continued efforts to work with our contract manufacturers and component vendors to reduce the cost of components we purchase, engineer product design and cost improvements, manage our supply chain and realize economies of scale as we grow our business. We also expect increased third-party product sales through our online distribution platform to have a positive impact on our gross margin going forward. From time to time, however, we may experience fluctuations in our gross margin as a result of the factors discussed in the preceding paragraph.

        Our operating expenses fluctuate from quarter to quarter based on changes in the number of our employees and associated expenses, the timing and magnitude of product development, the timing of marketing and sales expenditures and large or infrequent transactions such as litigation settlement expenses. Our quarterly operating expenses have generally increased in 2013 compared to 2012 to support the growth in our business, including the transition to being a public company.

        Sales and marketing expenses are typically higher in the first and third quarters of each year due to the timing of our primary trade shows.

        We recorded litigation settlement expense of $2.9 million in the third quarter of 2012 and $0.2 million in both the second and third quarter of 2013.

Liquidity and Capital Resources

Primary Sources of Liquidity

        Historically, we have experienced negative cash flows from operating activities primarily due to our continued investment in research and development and sales and marketing resources needed to design, develop, market and sell our solutions. Our future capital requirements will depend on many factors, including our rate of revenue growth, potential acquisitions of businesses, technologies or other assets, the expansion of our sales and marketing activities, continued investment in research and development, expansion into new territories, the timing of new product introductions and the continued market acceptance of our products.

        Through 2011, we funded our operations primarily through private sales of equity securities and, to a lesser extent, from borrowings under secured credit facilities. We raised $118.2 million through the sale of preferred stock to financial and strategic investors. Our last private financing round was completed in February 2011. In that financing round, we generated net proceeds of $19.8 million from the sale of Series H Preferred Stock.

        As of December 31, 2013, we had $84.5 million in cash and cash equivalents, an increase of $65.9 million from December 31, 2012. The increase in cash is primarily the result of the net proceeds received from our initial public offering of common stock of approximately $65.6 million offset by settlement obligation payments of $3.0 million.

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        The following table shows selected financial information and statistics as of December 31, 2011, 2012 and 2013 (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Cash and cash equivalents

  $ 18,468   $ 18,695   $ 84,546  

Accounts receivable, net

    10,662     13,078     15,064  

Inventories

    9,497     12,515     15,312  

Working capital

    24,356     23,290     94,778  

        We closely monitor our inventory, our days sales outstanding and our payment terms with our major vendors to maximize our cash flows from operating activities. We turn our inventory approximately 5 times per year. Our days sales outstanding has averaged 39 over the past 12 months. We have 45- and 60-day payment terms with our two major contract manufacturers.

        We maintain a revolving credit facility of $13.0 million. Borrowing under the revolving credit facility is subject to certain collateral restrictions relating primarily to our accounts receivable and inventory levels. As of December 31, 2013, our total borrowing capacity under the revolving credit facility was approximately $13.0 million, and no borrowings were outstanding. The revolving credit facility has a maturity date of May 29, 2015.

        In June 2013, we were provided with an additional $2.75 million in capacity with our term borrowings to fund purchases of property and equipment through May 2014, of which $2.0 million was available at December 31, 2013. We have historically used the term borrowing facility to fund capital purchases on a quarterly basis. During the third and fourth quarters of 2013, we did not borrow against the term facility as our capital requirements were addressed from the receipt of proceeds from our initial public offering. We will continue to evaluate on a quarterly basis whether to borrow additional amounts based on our future cash needs.

        Our credit facility and term loan agreements contain various restrictive and financial covenants and we were in compliance with each of these covenants as of December 31, 2013.

        We believe that our existing cash and cash equivalents will be sufficient to fund our operations for at least the next 12 months. From time to time, we may explore additional financing sources to develop or enhance our product solutions, to fund expansion of our business, to respond to competitive pressures, or to acquire or invest in complementary products, businesses or technologies. We cannot assure you that any additional financing will be available to us on acceptable terms, if at all. If we raise additional funds through the issuance of equity or convertible debt or other equity-linked securities, our existing stockholders could suffer significant dilution, and any new equity securities we issue could have rights, preferences and privileges senior to those of holders of our common stock.

Cash Flow Analysis

        A summary of our cash flows for the years ended December 31, 2011, 2012 and 2013 is set forth below (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Net cash (used in) provided by operating activities

    (586 )   991     3,668  

Net cash used in investing activities

    (1,989 )   (2,360 )   (3,617 )

Net cash provided by financing activities

    14,999     1,624     65,809  

Effect of exchange rate changes on cash and cash equivalents

    (10 )   (28 )   (9 )
               

Net increase in cash for the period

  $ 12,414   $ 227   $ 65,851  
               
               

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Operating Activities

        Cash provided by operating activities is net income adjusted for certain non-cash items and changes in certain assets and liabilities.

        The $1.6 million increase in cash flow from operating activities in 2012 compared to 2011 was due to primarily from an increase in non-cash adjustments associated with an increase in non-cash stock-based compensation expense and a $1.8 million loss on inventory purchase commitments.

        The increase in cash flows from operating activities of $2.7 million in 2013 compared to 2012 is due primarily to the increase in net income. The adjustments for non-cash items were lower in 2013 due primarily to the loss on inventory purchase commitments recognized in 2012, partially offset by higher non-cash stock-based compensation expense and warrant liability expense in 2013. Cash used to fund working capital and other operating accounts increased by $4.1 million in 2013 compared to 2012 due primarily to increases in our accounts receivable and inventory balances associated with the growth of our business. In addition, other liabilities decreased as a result of payments totaling $3.0 million related to litigation settlement obligations.

Investing Activities

        Investing cash flows consist primarily of capital expenditures and cash used for acquisitions. Our capital expenditures are primarily for computer equipment and software used internally, manufacturing tooling and test equipment that we purchase and own, but is located with at our partners' contract manufacturing locations, furniture and fixtures for our facilities and lab and warehouse equipment for our engineering and supply chain organizations.

        Our capital expenditures during 2013 and 2012 were $3.5 million and $2.4 million, respectively. The increase in capital expenditures during 2013 compared to 2012 was due primarily to the costs associated with expanding our facilities to accommodate our business growth including our international expansion.

Financing Activities

        Financing cash flows consist primarily of proceeds from the sale of common and preferred stock, issuance and repayment of long-term debt and proceeds from the sale of shares through employee equity incentive programs.

        In 2011, we received net proceeds of $19.8 million from the issuance of preferred stock. Approximately $6.3 million of these proceeds were used for repayment of our revolving line of credit.

        As a result of our initial public offering in August 2013, we raised a total of $73.6 million in gross proceeds, or approximately $65.6 million in net proceeds after deducting underwriting discounts and commissions of $5.2 million and offering expenses of approximately $2.8 million.

        Net borrowings (repayments) on our term loan agreements were $0.3 million, $0.8 million and $(0.2) million in 2011, 2012 and 2013, respectively. The decrease in cash flow from term loan borrowings during 2013 was a result of our decision to fund capital purchases using available cash instead of incremental borrowing.

Off-Balance Sheet Arrangements

        During the periods presented, we did not engage in any off-balance sheet activities. We do not have any off-balance interest in variable interest entities, which include special purpose entities and other structured finance entities.

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Contractual Obligations

        We enter into long-term contractual obligations in the normal course of business, primarily debt obligations and non-cancellable operating leases. In addition, in 2008 and 2012, we entered into settlement agreements with two different parties relating to alleged patent infringements, which included future payment obligations.

        Our contractual cash obligations at December 31, 2013 are as follows:

 
  Total   Less than
1 year
  1 - 3 years   3 - 5 years   More than
5 years
 
 
  (in thousands)
 

Long-term debt obligations, including interest(3)

  $ 3,710   $ 1,501   $ 1,989   $ 220   $  

Operating lease obligations

    6,717     1,613     3,124     1,980      

Settlement agreements(1)(2)

    980     940     40          

Purchase commitments

    22,636     22,636              
                       

Total contractual obligations

  $ 34,043   $ 26,690   $ 5,153   $ 2,200   $  
                       
                       

(1)
The counterparty in one of the settlement agreements had the contractual right to accelerate $0.9 million of the future obligation due in 2014 to a $0.7 million payment in June 2013. That right was not exercised.

(2)
Upon closing of our initial public offering, the balance due on one of the settlement obligations was accelerated and became immediately due and payable. As a result, we made a final payment on this obligation of $2.1 million on August 12, 2013. The difference between the carrying value of the note and the payment was recorded as a $0.2 million charge to interest expense.

(3)
Interest was calculated on outstanding borrowings at the date indicated in the table above and assumes the rate remains constant during the following years. The credit facility has a variable rate of interest of prime or LIBOR plus 2.50%, as selected by us. The variable rate was 3.25% at December 31, 2013. Term borrowings are payable in equal monthly payments of principal plus interest and bear interest at prime plus 0.50%, which was 3.75% at December 31, 2013.

Critical Accounting Estimates and Policies

        Our consolidated financial statements are prepared in accordance with GAAP. The preparation of these consolidated financial statements requires us to make estimates and assumptions that affect the reported amounts of assets, liabilities, revenue, expenses and related disclosures. We evaluate our estimates and assumptions on an ongoing basis. Our estimates are based on historical experience and various other assumptions that we believe to be reasonable under the circumstances. Our actual results could differ from these estimates.

        We believe that the assumptions and estimates associated with our revenue recognition, inventory valuation reserves, product warranty liability, income taxes and stock-based compensation have the greatest potential impact on our consolidated financial statements. Therefore, we consider these to be our critical accounting policies and estimates. For further information on all of our significant accounting policies, please see Note 1 of the accompanying notes to our consolidated financial statements.

        We are choosing to "opt out" of the extended transition period provided in Section 7(a)(2)(B) of the Securities Act for complying with new or revised accounting standards and, as a result, we will comply with new or revised accounting standards on the relevant dates on which adoption of such standards is required for non-emerging growth companies. Section 107 of the JOBS Act provides that

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our decision to opt out of the extended transition period for complying with new or revised accounting standards is irrevocable.

Revenue Recognition

        We sell our products through a network of independent dealers and distributors and not directly to consumers. These dealers and distributors generally sell our products to the consumer as part of a bundled sale, which typically includes other third-party products and related services, project design and installation services and ongoing support.

        Our controllers include embedded software that is essential to the functionality of the controller. Accordingly, the hardware and embedded software components are sold together as one product. In 2013, we began bundling MyHome software licenses with our new controllers. These software licenses do not include acceptance provisions, rights to updates (e.g., when-and-if-available enhancements or upgrades to the functionality of the software) or post-contract customer support such as technical support. When a software license and controller are sold together, a multiple element arrangement exists and revenue is allocated to each deliverable based on relative selling prices. Typically, delivery of both the product and the software license occurs at the same time. We recognize revenue when persuasive evidence of an arrangement exists, delivery has occurred, the sales price is fixed or determinable, and collection is probable. Product or licensed software is considered delivered once it has been shipped and title and risk of loss have been transferred. For most of our product sales, these criteria are met at the time the product is shipped.

        We record estimated reductions to revenue for dealer, retailer and distributor incentives, primarily comprised of volume rebates, at the time of the initial sale. The estimated reductions to revenue for rebates are based on the sales terms and our historical experience and trend analysis. The most common incentive relates to amounts paid or credited to dealers and distributors for achieving defined volume levels or growth objectives.

        Software license revenue represents fees earned from activating applications that allow consumers to manage and control their automation systems using tablets, smartphones and other third-party devices. Software products such as Composer Home and Media Editions are sold on a limited basis and do not constitute a significant portion of our revenue. Our perpetual software licenses do not include acceptance provisions, rights to updates or upgrades or post-contract customer support such as technical support. We generally recognize revenue at the time the software license is provided.

        We offer a subscription service that allows consumers to control and monitor their homes remotely and allows our dealers to perform remote diagnostic services. Subscription revenue is deferred at the time of payment and recognized on a straight-line basis over the period the service is provided.

        We recognize revenue net of cost of revenue for third-party products sold through our online ordering system. While we assume credit risk on sales to our dealers and distributors, we do not determine the product selling price, do not retain associated inventory risks and are not the primary obligor to the dealer or distributor.

        Our agreements with dealers and distributors generally do not include rights of return or acceptance provisions. Even though contractual agreements do not provide return privileges, there are circumstances in which we will accept returns. In addition, agreements with certain retail distributors contain price protection and limited rights of return. We maintain a reserve for such returns based on our historical return experience.

        Shipping charges billed to dealers and distributors are included in product revenue and related shipping costs are included in cost of revenue.

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Inventory Valuation

        Inventories consist of hardware and related component parts and are stated at the lower of cost or market using the first-in, first-out method. We periodically assess the recoverability of our inventory and reduce the carrying value of the inventory when items are determined to be obsolete, defective or in excess of forecasted sales requirements. Carrying value adjustments are based on expected demand and market conditions. For example, we may incur inventory write-offs during the introduction of new products that replace existing ones. We make estimates regarding transition inventory and if our estimates of demand for the "end-of—life" products are wrong, we may be required to record additional inventory carrying value adjustments.

        Inventory write-downs for excess, defective and obsolete inventory are recorded as cost of revenue and totaled $1.3 million, $1.5 million and $2.3 million in 2011, 2012 and 2013, respectively.

Product Warranty

        We provide our customers a limited product warranty of two years, which requires us to repair or replace (at our option) defective products during the warranty period at no cost to the customer. We estimate the costs that may be incurred to replace or repair defective products and record a reserve at the time revenue is recognized. Factors that affect our warranty liability include the number of installed systems, our historical experience and management's judgment regarding anticipated rates of product warranty returns, net of refurbished products. We assess the adequacy of our recorded warranty liability each period and make adjustments to the liability as necessary. Our warranty liability was $1.2 million at both December 31, 2012 and 2013.

Income Taxes

        We recognize deferred tax assets and liabilities for the future tax consequences attributable to the differences between the financial statement carrying value of existing assets and liabilities and their respective tax bases. Deferred tax assets and liabilities are measured using enacted tax rates in effect for the fiscal year in which those temporary differences are expected to be recovered or settled. Valuation allowances are established when necessary to reduce deferred tax assets to the amount expected to be realized. In evaluating our ability to recover our deferred tax assets, in full or in part, we consider all available positive and negative evidence, including our past operating results, our forecast of future market growth, forecasted earnings, future taxable income, and prudent and feasible tax planning strategies. The assumptions utilized in determining future taxable income require significant judgment and are consistent with the plans and estimates we are using to manage the underlying businesses. Due to the net losses incurred and the uncertainty of realizing the deferred tax assets, for all the periods presented, we have a full valuation allowance against the deferred tax assets of our domestic operations.

        We operate in various tax jurisdictions and are subject to audit by various tax authorities. We provide for tax contingencies whenever it is deemed probable that a tax asset has been impaired or a tax liability has been incurred for events such as tax claims or changes in tax laws. Tax contingencies are based upon their technical merits, relative tax law and the specific facts and circumstances as of each reporting period. Changes in facts and circumstances could result in material changes to the amounts recorded for such tax contingencies.

        We recognize uncertain income tax positions taken on income tax returns at the largest amount that is more-likely-than-not to be sustained upon audit by the relevant taxing authority. An uncertain income tax position will not be recognized if it has less than a 50% likelihood of being sustained.

        Our policy for recording interest and penalties associated with uncertain tax positions is to record such items as a component of our income tax provision. During the years ended December 31, 2011,

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2012 and 2013, we did not record any material interest income, interest expense or penalties related to uncertain tax positions or the settlement of audits for prior periods.

Stock-Based Compensation

        Stock-based compensation is measured at the grant date based on the fair value of the award and is recognized as expense, net of estimated forfeitures, over the requisite service period, which is the vesting period of the respective award.

        Determining the fair value of stock-based awards at the grant date requires judgment. We use the Black-Scholes option-pricing model to determine the fair value of stock options. The determination of the grant date fair value of options using an option-pricing model is affected by our estimated common stock fair value as well as assumptions regarding a number of other complex and subjective variables. These variables include the fair value of our common stock, our expected stock price volatility over the expected term of the options, stock option exercise and cancellation behaviors, risk-free interest rates and expected dividends, which are estimated as follows:

    Fair Value of Our Common Stock.  Prior to August 2, 2013, the date our common stock began trading on the NASDAQ Global Select Market, the fair value of common stock was determined by our board of directors, which intended all options granted to be exercisable at a price per share not less than the per share fair value of our common stock underlying those options on the date of grant. The valuations of our common stock were determined in accordance with the guidelines outlined in the American Institute of Certified Public Accountants Practice Aid, Valuation of Privately-Held-Company Equity Securities Issued as Compensation. The assumptions we use in the valuation model were based on future expectations combined with management judgment. In the absence of a public trading market, our board of directors, with input from management, exercised significant judgment and considered numerous objective and subjective factors to determine the fair value of our common stock as of the date of each option grant. Since our IPO, we determine the fair value of our common stock based on the closing price as quoted on the NASDAQ Global Select Market of our common stock.

    Expected Volatility.  As we do not have a trading history for our common stock, the expected stock price volatility for our common stock was estimated by taking the average of the historical volatilities of an index fund and industry peers based on daily price observations over a period equivalent to the expected term of the stock option grants. We did not rely on implied volatilities of traded options in our industry peers' common stock because the volume of activity was relatively low. We intend to continue to consistently apply this process using the same or similar public companies until a sufficient amount of historical information regarding the volatility of our own common stock share price becomes available.

    Risk-Free Interest Rate.  The risk-free interest rate is based on the U.S. Treasury yield in effect at the time of the grant for zero-coupon U.S. Treasury notes with remaining terms similar to the expected term of the options.

    Expected Dividend Yield.  We have never declared or paid any cash dividends and do not presently plan to pay cash dividends in the foreseeable future. Consequently, we used an expected dividend yield of zero.

    Expected Term.  The expected term represents the period that the stock-based awards are expected to be outstanding. For our option grants, we used the simplified method to determine the expected term as provided by the SEC. The simplified method calculates the expected term as the average of the time-to-vesting and the contractual life of the options. We used the simplified method to determine our expected term because of our limited history of stock option exercise activity.

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        In addition to the assumptions used in the Black-Scholes option-pricing model, we must also estimate a forfeiture rate to calculate the stock-based compensation for our awards. Our forfeiture rate is based on an analysis of our actual forfeitures. We will continue to evaluate the appropriateness of the forfeiture rate based on actual forfeiture experience, analysis of employee turnover and other factors. Quarterly changes in the estimated forfeiture rate can have a significant impact on our stock-based compensation expense as the cumulative effect of adjusting the rate is recognized in the period the forfeiture estimate is changed. If a revised forfeiture rate is higher than the previously estimated forfeiture rate, an adjustment is made that will result in a decrease to the stock-based compensation expense recognized in the financial statements. If a revised forfeiture rate is lower than the previously estimated forfeiture rate, an adjustment is made that will result in an increase to the stock-based compensation expense recognized in the financial statements.

        We will continue to use judgment in evaluating the expected volatility, expected terms and forfeiture rates utilized for our stock-based compensation calculations on a prospective basis. As we continue to accumulate additional data related to our common stock, we may have refinements to the estimates of our expected volatility, expected terms and forfeiture rates, which could materially impact our future stock-based compensation expense. If any of the assumptions used in the Black-Scholes model changes significantly, stock-based compensation for future awards may differ materially compared with the awards granted previously.

        The following table presents the weighted-average assumptions used to estimate the fair value of options granted during the periods presented:

 
  Years Ended December 31,
 
  2011   2012   2013

Expected volatility

  71 - 73%   59 - 63%   56 - 59%

Expected dividends

  0%   0%   0%

Expected terms (in years)

  5.0 - 6.1   5.0 - 6.1   3.3 - 7.2

Risk-free rate

  1.1 - 2.5%   0.7 - 1.0%   0.8 - 1.7%

Forfeiture rate

  11.6%   7.9%   7.2%

Transactions with Our Significant Stockholders

        In January 2011, we entered into an OEM-in hardware (with software) purchase and license agreement with Cisco Systems, Inc. ("Cisco"), which was amended and restated in February 2011 and further amended in June 2012. Our agreement with Cisco expired in February 2014. Although the parties currently intend to enter into a new agreement that would revise and optimize the expected Control4 and Cisco collaboration, innovation and channel capabilities, there can be no assurance that such a revised agreement will be reached.

        Purchase and payment terms with Cisco are consistent with other non-affiliated companies. In connection with our commercial agreements with Cisco, we recognized revenue of approximately $0.5 million, $2.6 million and $0.6 million for the years ended December 31, 2011, 2012 and 2013, respectively.

Recently Issued and Adopted Accounting Pronouncements

        For information with respect to recent accounting pronouncements and the impact of these pronouncements on our consolidated financial statements, see Note 1 "Description of Business and Summary of Significant Accounting Policies—Recent Accounting Pronouncements" in the notes to consolidated financial statements.

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ITEM 7A.    Qualitative and Quantitative Disclosures about Market Risk

        We are exposed to market risk in the ordinary course of our business. Market risk represents the risk of loss that may impact our financial position due to adverse changes in financial market prices and rates. Our market risk exposure is primarily a result of fluctuations in interest rates and foreign currency exchange rates. We do not hold or issue financial instruments for trading purposes.

Interest Rate Risk

        Our exposure to market risk for changes in interest rates relates primarily to our cash and cash equivalents as we do not have any short-term investments as of December 31, 2013. Our cash and cash equivalents as of December 31, 2013 was $84.5 million, and consisted primarily of cash and money market funds. Our primary exposure to market risk is interest income sensitivity, which is affected by changes in the general level of the interest rates in the United States. However, because of the short-term nature of our interest-bearing securities, a 10% change in market interest rates would not be expected to have a material impact on our consolidated financial condition or results of operations.

Foreign Currency Exchange Risk

        Our results of operations and cash flows are subject to fluctuations due to changes in foreign currency exchange rates, particularly changes in the Canadian dollar, the Euro and the British pound. The volatility of exchange rates depends on many factors that we cannot forecast with reliable accuracy. We believe that our operating activities act as a natural hedge for a substantial portion of our foreign currency exposure because we typically collect revenue and incur costs in the currency in the location in which we provide our solutions. Although we have experienced and will continue to experience fluctuations in our net income (loss) as a result of transaction gains (losses) related to transactions denominated in currencies other than the U.S. dollar, we believe that a 10% change in foreign exchange rates would not have a material impact on our financial condition or results of operations. To date, we have not entered into any foreign currency hedging contracts, but we may consider entering into such contracts in the future. As our international operations grow, we will continue to reassess our approach to managing our risk relating to fluctuations in foreign currency exchange rates.

ITEM 8.    Financial Statements and Supplementary Data

        The Consolidated Financial Statements and Schedules listed in the Index to Financial Statements, Schedules and Exhibits on page F-1 are filed as part of this Annual Report on Form 10-K.

ITEM 9.    Changes in and Disagreements With Accountants on Accounting and Financial Disclosure

        None.

ITEM 9A.    Controls and Procedures

Evaluation of Disclosure Controls and Procedures

        Our management, with the participation of our Chief Executive Officer and Chief Financial Officer, has evaluated the effectiveness of our disclosure controls and procedures (as defined in Rules 13a-15(e) and 15d-15(e) under the Securities Exchange Act of 1934, as amended (the "Exchange Act")), as of the end of the period covered by this Form 10-K. Based on such evaluation, our Chief Executive Officer and Chief Financial Officer have concluded that as of such date, our disclosure controls and procedures were effective.

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Changes in Internal Control over Financial Reporting

        There were no changes in our internal control over financial reporting during our most recent fiscal quarter that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.

Inherent Limitations of Internal Controls

        Our management, including our Chief Executive Officer and Chief Financial Officer, does not expect that our disclosure controls and procedures or our internal controls will prevent all error and all fraud. A control system, no matter how well conceived and operated, can provide only reasonable, not absolute, assurance that the objectives of the control system are met. Because of the inherent limitations in all control systems, no evaluation of controls can provide absolute assurance that all control issues and instances of fraud, if any, within the Company have been detected. These inherent limitations include the realities that judgments in decision-making can be faulty, and that breakdowns can occur because of a simple error or mistake. Additionally, controls can be circumvented by the individual acts of some persons, by collusion of two or more people, or by management override of the control. The design of any system of controls also is based in part upon certain assumptions about the likelihood of future events, and there can be no assurance that any design will succeed in achieving its stated goals under all potential future conditions. Over time, controls may become inadequate because of changes in conditions, or the degree of compliance with the policies or procedures may deteriorate. Because of the inherent limitations in a cost-effective control system, misstatements due to error or fraud may occur and not be detected.

Management's Report on Internal Control over Financial Reporting

        This Form 10-K does not include a report of management's assessment regarding internal control over financial reporting due to a transition period established by the rules of the SEC for newly public companies. Additionally, our auditors will not be required to formally opine on the effectiveness of our internal control over financial reporting pursuant to Section 404 until we are no longer an "emerging growth company" as defined in the JOBS Act as we have taken advantage of the exemptions available to us through the JOBS Act.

ITEM 9B.    Other Information

        None.

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PART III.

        We are incorporating by reference the information required by Part III of this Form 10-K from our proxy statement relating to our 2014 annual meeting of stockholders (the "2014 Proxy Statement"), which will be filed with the SEC within 120 days after the end of the fiscal year to which this report relates.

ITEM 10.    Directors, Executive Officers and Corporate Governance

        The information required by this Item will be contained in the 2014 Proxy Statement and is incorporated herein by reference.

ITEM 11.    Executive Compensation

        The information required by this Item will be contained in the 2014 Proxy Statement and is incorporated herein by reference.

ITEM 12.    Security Ownership of Certain Beneficial Owners and Management and Related Stockholder Matters

        The information required by this Item will be contained in the 2014 Proxy Statement and is incorporated herein by reference.

ITEM 13.    Certain Relationships and Related Transactions and Director Independence

        The information required by this Item will be contained in the 2014 Proxy Statement and is incorporated herein by reference.

ITEM 14.    Principal Accountant Fees and Service

        The information required by this Item will be contained in the 2014 Proxy Statement and is incorporated herein by reference.

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PART IV.

ITEM 15.    Exhibits, Consolidated Financial Statements and Financial Statement Schedules

(a)
Documents filed as part of this report:

            1.    Consolidated Financial Statements.    We have filed the consolidated financial statements listed in the index to Consolidated Financial Statements, Schedules and Exhibits on page F-1 as part of this Annual Report on Form 10-K.

            2.    Financial Statement Schedules and Other.    All financial statement schedules have been omitted because they are not applicable, not material or the required information is shown in the consolidated financial statements or the notes thereto.

            3.    Exhibits.    The exhibits listed below are filed or incorporated by reference as part of this Annual Report on Form 10-K.

(b)
Exhibits:

Exhibit
Number
  Description of Exhibits   Incorporated by
Reference from
Form
  Incorporated by
Reference from
Exhibit
Number
  Date Filed
  3.1   Amended and Restated Certificate of Incorporation of the Registrant.   10-Q     3.1   August 30, 2013

 

3.2

 

Amended and Restated Bylaws of the Registrant.

 

S-1

 

 

3.4

 

July 1, 2013

 

4.1

 

Specimen Common Stock Certificate of the Registrant.

 

S-1/A

 

 

4.1

 

July 18, 2013

 

4.2

 

Eighth Amended and Restated Investors' Rights Agreement, dated January 21, 2011.

 

S-1

 

 

4.2

 

July 1, 2013

 

4.3

 

Warrant to Purchase Stock of the Registrant issued to Silicon Valley Bank, dated December 29, 2005.

 

S-1

 

 

4.4

 

July 1, 2013

 

4.4

 

Warrant to Purchase Stock of the Registrant issued to Silicon Valley Bank, dated June 13, 2007.

 

S-1

 

 

4.5

 

July 1, 2013

 

10.1

 

Form of Director and Executive Officer Indemnification Agreement.

 

S-1

 

 

10.1

 

July 1, 2013

 

10.2

 

2003 Equity Incentive Plan and forms of award agreements thereunder.

 

S-1

 

 

10.2

 

July 1, 2013

 

10.3

 

2013 Stock Option and Incentive Plan and forms of award agreements thereunder.

 

S-1

 

 

10.3

 

July 1, 2013

 

10.4

 

Offer Letter to Martin Plaehn, dated August 20, 2011.

 

S-1

 

 

10.4

 

July 1, 2013

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Exhibit
Number
  Description of Exhibits   Incorporated by
Reference from
Form
  Incorporated by
Reference from
Exhibit
Number
  Date Filed
  10.5   Employment Agreement, dated July 28, 2003 and as amended on June 17, 2004 and August 3, 2011, between the Registrant and William B. West.   S-1     10.5   July 1, 2013

 

10.6

 

Employment Agreement, dated on or about January 4, 2008, between the Registrant and Dan Strong.

 

S-1

 

 

10.6

 

July 1, 2013

 

10.7

 

Offer Letter to Jeff Dungan, dated August 1, 2006.

 

S-1

 

 

10.7

 

July 1, 2013

 

10.8

 

Offer Letter to Eric Anderson, dated June 19, 2012.

 

S-1

 

 

10.8

 

July 1, 2013

 

10.9

 

Relationship Agreement, dated June 27, 2013, between the Registrant and Sanmina Corporation.

 

S-1/A

 

 

10.9

 

July 18, 2013

 

10.10

 

OEM Supply Agreement: OEM Design, dated December 3, 2010, between the Registrant and Lite-On Electronic Company Ltd.

 

S-1/A

 

 

10.10

 

July 18, 2013

 

10.11

 

Amended and Restated Loan and Security Agreement, dated June 17, 2013, between the Registrant and Silicon Valley Bank.

 

S-1

 

 

10.11

 

July 1, 2013

 

10.12

 

Lease dated June 29, 2004 by and between the Registrant and WDCI, Inc., as amended on May 24, 2006, February 25, 2011 and November 7, 2011.

 

S-1

 

 

10.12

 

July 1, 2013

 

10.13

 

Advisor Agreement, effective as of February 28, 2013, by and between the registrant and Tom Kuhn.

 

S-1

 

 

10.13

 

July 1, 2013

 

10.14

 

Severance Agreement by and between William B. West and Control4 Corporation, dated as of December 21, 2013

 

8-K

 

 

10.1

 

December 23, 2013

 

21.1

 

List of Subsidiaries of the Registrant.

 

S-1

 

 

21.1

 

July 1, 2013

 

23.1

 

Consent of Ernst & Young LLP, Independent Registered Public Accounting Firm.

 

Filed herewith

 

 

 

 

 

 

31.1

 

Certification of the Chief Executive Officer pursuant to Section 302 of the Sarbanes-Oxley Act.

 

Filed herewith

 

 

 

 

 

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Exhibit
Number
  Description of Exhibits   Incorporated by
Reference from
Form
  Incorporated by
Reference from
Exhibit
Number
  Date Filed
  31.2   Certification of the Chief Financial Officer pursuant to Section 302 of the Sarbanes-Oxley Act.   Filed herewith          

 

32.1

*

Certification of the Chief Executive Officer and the Chief Financial Officer pursuant to Section 906 of the Sarbanes-Oxley Act.

 

Furnished herewith

 

 

 

 

 

 

101.INS

**

XBRL Instance Document

 

Filed herewith

 

 

 

 

 

 

101.SCH

**

XBRL Taxonomy Extension Schema Document

 

Filed herewith

 

 

 

 

 

 

101.CAL

**

XBRL Taxonomy Extension Calculation Linkbase Document

 

Filed herewith

 

 

 

 

 

 

101.DEF

**

XBRL Taxonomy Extension Definition Linkbase Document

 

Filed herewith

 

 

 

 

 

 

101.LAB

**

XBRL Taxonomy Extension Label Linkbase Document

 

Filed herewith

 

 

 

 

 

 

101.PRE

**

XBRL Taxonomy Extension Presentation Linkbase Document

 

Filed herewith

 

 

 

 

 

*
The certifications furnished in Exhibit 32.1 hereto are deemed to accompany this Annual Report on Form 10-K and will not be deemed "filed" for purposes of Section 18 of the Securities Exchange Act of 1934, as amended, except to the extent that the Registrant specifically incorporates it by reference.

**
Users of this data are advised that, pursuant to Rule 406T of Regulation S-T, these interactive data files are deemed not filed or part of a registration statement or prospectus for purposes of Sections 11 or 12 of the Securities Act of 1933 or Section 18 of the Securities Exchange Act of 1934 and otherwise are not subject to liability under these sections.

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SIGNATURES

        Pursuant to the requirements of the Section 13 or 15(d) of Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.

Date: February 21, 2014

  CONTROL4 CORPORATION

 

By:

 

/s/ DAN STRONG


Dan Strong
Chief Financial Officer
(Principal Financial and Accounting Officer)

        Pursuant to the requirements of the Securities Exchange Act of 1934, this report has been signed below by the following persons on behalf of the Registrant and in the capacities indicated on February 21, 2014.

Signature
 
Title

 

 

 
/s/ MARTIN PLAEHN

Martin Plaehn
  President, Chairman and Chief Executive Officer (Principal Executive Officer)

/s/ DAN STRONG

Dan Strong

 

Chief Financial Officer (Principal Financial and Accounting Officer)

/s/ ROB BORN

Rob Born

 

Director

/s/ DAVID C. HABIGER

David C. Habiger

 

Director

/s/ LEN JORDAN

Len Jordan

 

Director

/s/ CHRISTOPHER B. PAISLEY

Christopher B. Paisley

 

Director

/s/ SCOTT PETTY

Scott Petty

 

Director

/s/ STEVEN VASSALLO

Steven Vassallo

 

Director

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INDEX TO CONSOLIDATED FINANCIAL STATEMENTS

F-1


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REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

The Board of Directors and Stockholders of
Control4 Corporation

        We have audited the accompanying consolidated balance sheets of Control4 Corporation as of December 31, 2013 and 2012, and the related consolidated statements of operations, comprehensive income (loss), redeemable convertible preferred stock and stockholders' equity (deficit), and cash flows for each of the three years in the period ended December 31, 2013. These financial statements are the responsibility of the Company's management. Our responsibility is to express an opinion on these financial statements based on our audits.

        We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. We were not engaged to perform an audit of the Company's internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Company's internal control over financial reporting. Accordingly, we express no such opinion. An audit also includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

        In our opinion, the financial statements referred to above present fairly, in all material respects, the consolidated financial position of Control4 Corporation as of December 31, 2013 and 2012, and the consolidated results of its operations and its cash flows for each of the three years in the period ended December 31, 2013, in conformity with U.S. generally accepted accounting principles.

/s/ Ernst & Young LLP

Salt Lake City, Utah
February 21, 2014

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CONTROL4 CORPORATION

CONSOLIDATED BALANCE SHEETS

(in thousands, except share data)

 
  December 31,
2012
  December 31,
2013
 

Assets

             

Current assets:

             

Cash and cash equivalents

  $ 18,695   $ 84,546  

Accounts receivable, net

    13,078     15,064  

Inventories

    12,515     15,312  

Prepaid expenses and other current assets

    1,871     1,773  
           

Total current assets

    46,159     116,695  

Property and equipment, net

    2,666     3,943  

Intangible assets, net

    926     928  

Other assets

    887     1,120  
           

Total assets

  $ 50,638   $ 122,686  
           
           

Liabilities, redeemable convertible preferred stock and stockholders' equity (deficit)

             

Current liabilities:

             

Accounts payable

  $ 14,435   $ 13,314  

Accrued liabilities

    6,571     6,821  

Deferred revenue

    542     644  

Current portion of notes payable

    1,321     1,138  
           

Total current liabilities

    22,869     21,917  

Notes payable

    1,838     1,828  

Warrant liability

    601      

Other long-term liabilities

    1,620     467  
           

Total liabilities

    26,928     24,212  

Commitments and contingencies

             

Redeemable convertible preferred stock, $0.0001 par value; 83,163,408 and no shares authorized; 15,293,960 and no shares issued and outstanding at December 31, 2012 and December 31, 2013, respectively; aggregate liquidation preference of $118,150 and $0 at December 31, 2012 and December 31, 2013, respectively

    116,313      

Stockholders' equity (deficit):

             

Preferred stock, $0.0001 par value, no and 25,000,000 shares authorized; no shares issued and outstanding at December 31, 2012 and December 31, 2013, respectively

         

Common stock, $0.0001 par value; 127,836,592 and 500,000,000 shares authorized; 2,490,870 and 22,785,104 shares issued and outstanding at December 31, 2012 and December 31, 2013, respectively

        2  

Additional paid-in capital

    12,988     200,545  

Accumulated deficit

    (105,587 )   (102,084 )

Accumulated other comprehensive income (loss)

    (4 )   11  
           

Total stockholders' equity (deficit)

    (92,603 )   98,474  
           

Total liabilities, redeemable convertible preferred stock and stockholders' equity (deficit)

  $ 50,638   $ 122,686  
           
           

   

See accompanying notes to consolidated financial statements.

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CONTROL4 CORPORATION

CONSOLIDATED STATEMENTS OF OPERATIONS

(in thousands, except per share data)

 
  Years Ended December 31,  
 
  2011   2012   2013  

Revenue

  $ 93,376   $ 109,512   $ 128,511  

Cost of revenue

    50,534     57,225     64,234  

Cost of revenue—inventory purchase commitment

        1,840     (380 )
               

Gross margin

    42,842     50,447     64,657  

Operating expenses:

                   

Research and development

    19,211     20,310     24,979  

Sales and marketing

    17,546     20,182     21,975  

General and administrative

    9,805     10,150     12,329  

Litigation settlement

        2,869     440  
               

Total operating expenses

    46,562     53,511     59,723  
               

Income (loss) from operations

    (3,720 )   (3,064 )   4,934  

Other income (expense):

                   

Interest income

    4     13     16  

Interest expense

    (396 )   (277 )   (470 )

Other income (expense)

    227     (254 )   (729 )
               

Total other income (expense)

    (165 )   (518 )   (1,183 )
               

Income (loss) before income taxes

    (3,885 )   (3,582 )   3,751  

Income tax expense

        (141 )   (248 )
               

Net income (loss)

  $ (3,885 ) $ (3,723 ) $ 3,503  
               
               

Net income (loss) per common share:

                   

Basic

  $ (2.02 ) $ (1.58 ) $ 0.33  

Diluted

  $ (2.02 ) $ (1.58 ) $ 0.16  

Weighted-average number of shares:

                   

Basic

    1,923     2,360     10,609  

Diluted

    1,923     2,360     22,263  

   

See accompanying notes to consolidated financial statements.

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CONTROL4 CORPORATION

CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS)

(in thousands)

 
  Years Ended December 31,  
 
  2011   2012   2013  

Net income (loss)

  $ (3,885 ) $ (3,723 ) $ 3,503  

Other comprehensive income (loss):

                   

Foreign currency translation adjustment

    (10 )   (28 )   15  
               

Total other comprehensive income (loss)

    (10 )   (28 )   15  
               

Comprehensive income (loss)

  $ (3,895 ) $ (3,751 ) $ 3,518  
               
               

   

See accompanying notes to consolidated financial statements.

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CONTROL4 CORPORATION

CONSOLIDATED STATEMENTS OF REDEEMABLE CONVERTIBLE PREFERRED STOCK AND
STOCKHOLDERS' EQUITY (DEFICIT)

(in thousands, except share data)

 
   
   
   
  Stockholders' Equity (Deficit)  
 
  Redeemable
Convertible
Preferred Stock
   
  Common Stock    
   
   
   
 
 
   
   
   
  Accumulated
Other
Comprehensive
(Loss) Income
  Total
Stockholders'
Equity
(Deficit)
 
 
   
  Number of Shares    
  Additional
Paid-In
Capital
  Accumulated
Deficit
 
 
  Shares   Amount    
  Amount  

Balance at December 31, 2010

    13,279,319   $ 97,670         1,664,044   $   $ 4,971   $ (97,979 ) $ 34   $ (92,974 )

Net loss

                            (3,885 )       (3,885 )

Other comprehensive loss

                                (10 )   (10 )

Issuance of Series H redeemable convertible preferred stock for cash in February 2011, net of issuance costs of $211

    2,014,641     18,643                              

Issuance of common stock warrants

                        1,146             1,146  

Stock-based compensation

                        1,988             1,988  

Issuance of common stock upon exercise of stock options

                577,437         1,204             1,204  

Issuance of common stock in exchange for services             

                4,040         25             25  
                                       

Balance at December 31, 2011

    15,293,960     116,313         2,245,521         9,334     (101,864 )   24     (92,506 )

Net loss

                            (3,723 )       (3,723 )

Other comprehensive loss

                                (28 )   (28 )

Stock-based compensation

                        2,869             2,869  

Issuance of common stock upon exercise of stock options

                245,349         785             785  
                                       

Balance at December 31, 2012

    15,293,960     116,313         2,490,870         12,988     (105,587 )   (4 )   (92,603 )

Net income

                            3,503         3,503  

Other comprehensive income

                                15     15  

Stock-based compensation

                        3,760             3,760  

Issuance of common stock options in connection with a business acquisition

                        174             174  

Conversion of redeemable convertible preferred stock into common stock

    (15,293,960 )   (116,313 )       15,293,960     2     116,311             116,313  

Issuance of common stock, net of issuance costs

                4,600,000         65,556             65,556  

Issuance of common stock upon net exercise of common stock warrants

                293,232                      

Reclassification of redeemable convertible preferred stock warrant liability upon conversion to preferred stock

                        1,310             1,310  

Issuance of common stock upon exercise of stock options

                107,042         446             446  
                                       

Balance at December 31, 2013

      $         22,785,104   $ 2   $ 200,545   $ (102,084 ) $ 11   $ 98,474  
                                       
                                       

   

See accompanying notes to consolidated financial statements.

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CONTROL4 CORPORATION

CONSOLIDATED STATEMENTS OF CASH FLOWS

(in thousands)

 
  Years Ended December 31,  
 
  2011   2012   2013  

Operating activities

                   

Net income (loss)

  $ (3,885 ) $ (3,723 ) $ 3,503  

Adjustments to reconcile net income (loss) to net cash (used in) provided by operating activities:

                   

Depreciation expense

    1,615     1,714     2,201  

Amortization of intangible assets

    139     271     319  

Provision for doubtful accounts

    283     184     159  

Loss (gain) on inventory purchase commitment

        1,840     (380 )

Loss on disposal of property and equipment

        107      

Stock-based compensation

    2,013     2,869     3,760  

Warrant liability expense

    (227 )   254     709  

Changes in assets and liabilities:

                   

Accounts receivable

    (2,645 )   (2,600 )   (2,104 )

Inventories

    2,323     (4,858 )   (2,723 )

Prepaid expenses and other current assets

    396     (352 )   111  

Other assets

    155     (823 )   (233 )

Accounts payable

    (975 )   4,622     (1,221 )

Accrued liabilities

    882     2,117     620  

Deferred revenue

    (95 )   (10 )   102  

Other long-term liabilities

    (565 )   (621 )   (1,155 )
               

Net cash (used in) provided by operating activities

    (586 )   991     3,668  

Investing activities

                   

Purchases of property and equipment

    (1,264 )   (2,360 )   (3,470 )

Business acquisition

    (725 )       (147 )
               

Net cash used in investing activities

    (1,989 )   (2,360 )   (3,617 )

Financing activities

                   

Net proceeds from issuance of redeemable convertible preferred stock and common stock warrants

    19,789          

Proceeds from issuance of common stock, net of issuance costs

            65,556  

Proceeds from exercise of options for common stock

    1,204     785     446  

Net repayment of revolving line of credit

    (6,314 )        

Proceeds from notes payable

    1,064     1,876     1,145  

Repayment of notes payable

    (744 )   (1,037 )   (1,338 )
               

Net cash provided by financing activities

    14,999     1,624     65,809  

Effect of exchange rate changes on cash and cash equivalents

    (10 )   (28 )   (9 )
               

Net increase in cash and cash equivalents

    12,414     227     65,851  

Cash and cash equivalents at beginning of period

    6,054     18,468     18,695  
               

Cash and cash equivalents at end of period

  $ 18,468   $ 18,695   $ 84,546  
               
               

Supplemental disclosure of cash flow information

                   

Cash paid for interest

  $ 396   $ 278   $ 461  

Cash paid for taxes

        26     153  

Supplemental schedule of non-cash investing and financing activities

                   

Options for common stock granted in connection with a business acquisition

            174  

Elimination of liability upon net exercise of warrants to purchase preferred stock

            1,310  

Conversion of redeemable convertible preferred stock to common stock

            116,313  

   

See accompanying notes to consolidated financial statements.

F-7


Table of Contents


Control4 Corporation

Notes to Consolidated Financial Statements

1. Description of Business and Summary of Significant Accounting Policies

        Control4 Corporation ("Control4" or the "Company") is a leading provider of automation and control solutions for the connected home. The Company unlocks the potential of connected devices, making entertainment systems easier to use, homes more comfortable, appliances more energy efficient, and families more secure. The Company was incorporated in the state of Delaware on March 27, 2003.

Reclassifications

        Certain prior-year amounts have been reclassified in order to conform to the current-year presentation. The reclassification is related to gains or losses on inventory purchase commitments from accrued liabilities into the applicable caption on the statements of cash flows. This reclassification had no effect on the previously reported net cash (used in) provided by operating activities.

Basis of Presentation

        The consolidated financial statements include the accounts of the Company and its wholly-owned subsidiaries. All intercompany balances and transactions have been eliminated in the consolidated financial statements.

Initial Public Offering

        On August 7, 2013, the Company completed its initial public offering ("IPO") of common stock in which the Company sold and issued 4,600,000 shares of common stock at a price of $16.00 per share. As a result of the IPO, the Company raised a total of $73.6 million in gross proceeds, or approximately $65.6 million in net proceeds after deducting underwriting discounts and commissions of $5.2 million and offering expenses of approximately $2.8 million.

Stock Split

        In July 2013, the Company's board of directors and stockholders approved an amendment to the Company's amended and restated certificate of incorporation. The amendment provided for a 1-for-5.2 reverse stock split of the outstanding common stock and outstanding convertible preferred stock (collectively, "Capital Stock"), which became effective on July 18, 2013. Accordingly, (i) every 5.2 shares of Capital Stock have been combined into one share of Capital Stock, (ii) the number of shares of Capital Stock into which each outstanding option or warrant to purchase Capital Stock is exercisable, as the case may be, have been proportionately decreased on a 5.2-for-1 basis, and (iii) the exercise price for each such outstanding option or warrant to purchase Capital Stock has been proportionately increased on a 1-for-5.2 basis. All of the share numbers, share prices, and exercise prices have been adjusted within these financial statements, on a retroactive basis, to reflect this 1-for-5.2 reverse stock split.

Segment Reporting

        Operating segments are identified as components of an enterprise about which separate discrete financial information is available for evaluation by the chief operating decision-maker, the Chief Executive Officer, in making decisions regarding resource allocation and accessing performance. To date, the Company has viewed its operations and manages its business as one operating segment.

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Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

1. Description of Business and Summary of Significant Accounting Policies (Continued)

Concentrations of Risk

        The Company's accounts receivable are derived from revenue earned from dealers and distributors primarily located in the United States and Canada. The Company's sales to dealers and distributors located outside the United States are generally denominated in United States dollars, except for sales to dealers and distributors located in the United Kingdom, which are denominated in pounds sterling. There were no individual account balances greater than 10% of total accounts receivable at December 31, 2012 and December 31, 2013.

        No dealer or distributor accounted for more than 10% of total revenue for the years ended December 31, 2011, 2012 and 2013.

        The Company relies on a limited number of suppliers for its contract manufacturing. A significant disruption in the operations of these manufacturers would impact the production of the Company's products for a substantial period of time, which could have a material adverse effect on the Company's business, financial condition and results of operations.

Geographic Information

        The Company's revenue includes amounts earned through sales to dealers and distributors located outside of the United States. With the exception of Canada, no single foreign country accounted for more than 10% of total revenue for the years ended December 31, 2011, 2012 and 2013. The following table sets forth revenue from the U.S., Canadian and all other international dealers and distributors combined (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Revenue-United States

  $ 63,625   $ 69,957   $ 85,525  

Revenue-Canada

    10,480     12,453     14,079  

Revenue-all other international sources

    19,271     27,102     28,907  
               

Total revenue

  $ 93,376   $ 109,512   $ 128,511  
               
               

International revenue (excluding Canada) as a percent of total revenue

    21 %   25 %   22 %

Use of Accounting Estimates

        The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities as of the date of the financial statements and the reported amounts of revenues and expenses during the reporting period. On an ongoing basis, the Company evaluates its estimates including those related to revenue recognition, sales returns, provisions for doubtful accounts, product warranty, inventory obsolescence, litigation, determination of fair value of stock options, deferred tax asset valuation allowances and income taxes. Actual results may differ from those estimates.

Product Warranty

        The Company provides its customers a limited product warranty of two years, which requires the Company to repair or replace (at its option) defective products during the warranty period at no cost

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Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

1. Description of Business and Summary of Significant Accounting Policies (Continued)

to the customer. The Company estimates the costs that may be incurred to replace or repair defective products and records a reserve at the time revenue is recognized. Factors that affect the Company's warranty liability include the number of installed systems, the Company's historical experience and management's judgment regarding anticipated rates of product warranty returns, net of refurbished products. The Company assesses the adequacy of its recorded warranty liability each period and makes adjustments to the liability as necessary. Warranty costs accrued includes amounts accrued for products at the time of shipment, adjustments for changes in estimated costs for warranties on products shipped in the period, and changes in estimated costs for warranties on products shipped in prior periods. It is not practicable for the Company to determine the amounts applicable to each of these components.

        The following table presents the changes in the product warranty liability (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Balance at the beginning of the period

  $ 775   $ 1,030   $ 1,155  

Warranty costs accrued

    727     1,050     1,025  

Warranty claims

    (472 )   (925 )   (967 )
               

Balance at the end of the period

  $ 1,030   $ 1,155   $ 1,213  
               
               

Fair Value of Financial Instruments

        The carrying amounts reported in the accompanying consolidated financial statements for cash and cash equivalents, accounts payable and accrued liabilities approximate their fair value because of the short-term nature of the accounts. The fair value of the notes payable approximates its carrying value based on the variable nature of interest rates and current market rates available to the Company.

Net Income (Loss) Per Share

        Basic net income (loss) per share is computed using the weighted-average number of common shares outstanding during the period. Diluted net income (loss) per share is computed using the weighted-average number of common shares outstanding and potentially dilutive common shares outstanding during the period that have a dilutive effect on net income per share. Potentially dilutive common shares result from the assumed exercise of outstanding stock options and the assumed conversion of outstanding convertible preferred stock and warrants using the if-converted method. In a net loss position, diluted net loss per share is computed using only the weighted-average number of common shares outstanding during the period, as any additional common shares would be anti-dilutive.

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Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

1. Description of Business and Summary of Significant Accounting Policies (Continued)

        The following table presents the reconciliation of the numerator and denominator used in the calculation of basic and diluted net income (loss) per share (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Numerator:

                   

Net income (loss)

  $ (3,885 ) $ (3,723 ) $ 3,503  
               
               

Denominator:

                   

Weighted average common stock outstanding for basic net income (loss) per common share

    1,923     2,360     10,609  

Effect of dilutive securities—stock options, convertible preferred stock, and warrants to purchase common stock and preferred stock

            11,654  
               

Weighted average common shares and dilutive securities outstanding

    1,923     2,360     22,263  
               
               

        The following weighted-average common stock equivalents were anti-dilutive and therefore were excluded from the calculation of diluted net income (loss) per share (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Convertible preferred stock

    15,257     15,294      

Options to purchase common stock

    3,953     4,317     356  

Warrants to purchase common stock

    510     541     1  

Warrants to purchase preferred stock

    194     194      
               

Total

    19,914     20,346     357  
               
               

Revenue Recognition

        The Company sells its products through a network of independent dealers, regional and national retailers and distributors. These dealers, retailers and distributors generally sell the Company's products to the end consumer as part of a bundled sale, which typically includes other third-party products and related services, project design and installation services and on-going support.

        The Company's products include embedded software that is essential to the functionality of the hardware. Accordingly, the hardware and embedded software are accounted for as a single deliverable. In 2013, the Company began bundling MyHome software licenses with its new controllers. These software licenses do not include acceptance provisions, rights to updates (e.g., when-and-if-available enhancements or upgrades to the functionality of the software) or post-contract customer support such as technical support. When a software license and controller are sold together, a multiple element arrangement exists and revenue is allocated to each deliverable based on relative selling prices. Typically, delivery of both the product and the software license occurs at the same time. The Company recognizes revenue when persuasive evidence of an arrangement exists, delivery has occurred, the sales price is fixed or determinable, and collection is reasonably assured. Product or licensed software is considered delivered once it has been shipped and title and risk of loss have been transferred. For most of the Company's product sales, these criteria are met at the time the product is shipped.

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Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

1. Description of Business and Summary of Significant Accounting Policies (Continued)

        The Company records estimated reductions to revenue for dealer, retailer and distributor incentives, primarily comprised of volume rebates, at the time of the initial sale. The estimated reductions to revenue for rebates are based on the sales terms and the Company's historical experience and trend analysis. The most common incentive relates to amounts paid or credited to dealers and distributors for achieving defined volume levels or growth objectives.

        Software license revenue represents fees earned from activating applications which allow end consumers to manage and control their automation systems using tablets, smartphones and other third-party devices. Software products such as Composer Home and Media Editions are sold on a limited basis and do not constitute a significant portion of revenue. The Company's perpetual software licenses do not include acceptance provisions, rights to updates or upgrades or post-contract customer support such as technical support; the Company generally recognizes revenue at the time the software license is provided.

        The Company offers a subscription service that allows consumers to control and monitor their homes remotely and allows the Company's dealers to perform remote diagnostic services. Subscription revenue is deferred at the time of payment and recognized on a straight-line basis over the period the service is provided.

        Total revenue for subscription services represents less than 10% of total revenue for all periods presented.

        The Company recognizes revenue net of cost of revenue for third-party products sold through the Company's online ordering system. While the Company assumes credit risk on sales to its dealers and distributors for third-party products, the Company does not determine the product selling price, does not retain associated inventory risks and is not the primary obligor to the end consumer.

        The Company's agreements with dealers and distributors generally do not include rights of return or acceptance provisions. Even though contractual agreements do not provide return privileges, there are circumstances in which the Company will accept returns. In addition, agreements with certain retail distributors contain price protection and limited rights of return. The Company maintains a reserve for such returns based on the Company's historical return experience.

        Shipping charges billed to dealers and distributors are included in revenue and related shipping costs are included in cost of revenue.

Cost of Revenue

        Cost of revenue includes the following: the cost of inventory sold during the period, inventory write-down costs, payroll and other direct installation services costs, purchasing costs, royalty obligations, shipping expenses to dealers and distributors and warehousing costs, which include inbound freight costs from manufacturers, rent and payroll and benefit costs.

Cash and Cash Equivalents

        The Company considers all highly liquid short-term investments with original maturities of three months or less at the time of purchase to be cash equivalents. Cash equivalents consist primarily of money market funds.

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Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

1. Description of Business and Summary of Significant Accounting Policies (Continued)

Allowance for Doubtful Accounts

        The Company extends credit to the majority of its dealers and distributors, which consist primarily of small, local businesses. Issuance of credit is based on ongoing credit evaluations by the Company of dealers' and distributors' financial condition and generally requires no collateral. Trade accounts receivable are recorded at the invoiced amount and do not bear interest. The Company maintains an allowance for doubtful accounts to reserve for potential uncollectible receivables. The allowance is based upon the creditworthiness of the Company's dealers and distributors, the dealers' and distributors' historical payment experience, the age of the receivables and current market and economic conditions. Provisions for potentially uncollectible accounts are recorded in sales and marketing expenses. The Company writes off accounts receivable balances to the allowance for doubtful accounts when it becomes likely that they will not be collected.

        The following table presents the changes in the allowance for doubtful accounts (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Balance at beginning of period

  $ 619   $ 651   $ 643  

Provision

    283     184     159  

Deductions

    (251 )   (192 )   (197 )
               

Balance at end of period

  $ 651   $ 643   $ 605  
               
               

Inventories

        Inventories consist of hardware and related component parts and are stated at the lower of cost or market using the first-in, first-out method. The Company periodically assesses the recoverability of its inventory and reduces the carrying value of the inventory when items are determined to be obsolete, defective or in excess of forecasted sales requirements. Inventory write-downs for excess, defective and obsolete inventory are recorded as a cost of revenue and totaled $1.3 million, $1.5 million, and $2.3 million for the years ended December 31, 2011, 2012 and 2013, respectively.

        In December 2012, the Company finalized termination of a sales contract and, as a result of the contract termination, recorded a $1.8 million expense associated with an anticipated loss on firm purchase commitments for components that would have been required to meet the Company's obligations under the terminated contract. The $1.8 million charge has been recorded as Cost of Revenue—Inventory Purchase Commitment in the accompanying consolidated statement of operations during the year ended December 31, 2012.

        In 2013, the Company recorded a gain related to inventory purchase commitments of approximately $0.4 million, as the proceeds from liquidating the underlying inventory and the Company's ability to consume common components exceeded original estimates.

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Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

1. Description of Business and Summary of Significant Accounting Policies (Continued)

Property and Equipment

        Property and equipment are recorded at historical cost, less accumulated depreciation. Depreciation is computed using the straight-line method over the following estimated useful lives:

Furniture and fixtures

  2 - 5 years

Manufacturing tooling and test equipment

  2 - 3 years

Lab and warehouse equipment

  2 - 4 years

Computer equipment and software

  3 - 4 years

Marketing equipment

  2 - 3 years

        Maintenance and repairs that do not extend the life of or improve the asset are expensed in the year incurred. Leasehold improvements are depreciated over the estimated useful life (usually 3-5 years) or the life of the associated lease, whichever is less.

Intangible Assets

        Intangible assets primarily consist of acquired technology. The Company amortizes, to cost of revenue, definite-lived intangible assets on a straight-line basis over the life of the technology.

Impairment of Long-Lived Assets

        The carrying value of long-lived assets is reviewed for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset or asset group may not be recoverable. An impairment loss is recognized when the carrying amount of an asset exceeds the estimated undiscounted future cash flows expected to result from the use of the asset and its eventual disposition. The amount of the impairment loss to be recorded is calculated by the excess of the asset's carrying value over its fair value. Fair value is generally determined using a discounted cash flow analysis.

Redeemable Convertible Preferred Stock Warrant

        Freestanding warrants and other similar instruments related to shares that are redeemable are accounted for in accordance with ASC 480, "Distinguishing Liabilities and Equity." Under ASC 480, freestanding warrants that relate to the Company's redeemable convertible preferred stock are classified as a liability on the balance sheet. The warrant to purchase Series G-1 redeemable convertible preferred stock was subject to re-measurement at each balance sheet date and any change in fair value was recognized as a component of other income or expense. Fair value was measured using the Black-Scholes option pricing model. The Company continued to adjust the liability for changes in fair value until the closing of its initial public offering, at which time the redeemable convertible preferred stock warrants were exercised and converted into common stock and, accordingly, the liability was reclassified to equity.

Foreign Currency Translation

        The functional currency of the Company's subsidiaries in England, China, Hong Kong and India are the pound sterling, the Chinese Yuan, the Hong Kong Dollar and the Indian Rupee, respectively. The subsidiary's assets and liabilities have been translated to U.S. dollars using the exchange rates in effect at the balance sheet dates. Statements of operations amounts have been translated using the

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Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

1. Description of Business and Summary of Significant Accounting Policies (Continued)

average exchange rate for each year. Resulting gains or losses from translating foreign currency financial statements are recorded as other comprehensive income (loss). Foreign currency transaction gains (losses) resulting from exchange rate fluctuations on transactions denominated in a currency other than the local currency are included in earnings and have not been material for the years ended December 31, 2011, 2012 or 2013.

Stock-Based Compensation

        The Company recognizes compensation expense for all stock-based awards issued to employees and directors based on estimated grant date fair values. The Company selected the Black-Scholes option-pricing model to determine the estimated fair value at the date of grant for stock options. The Company elected to amortize compensation expense using the straight-line attribution method, under which stock-based compensation expense is recognized on a straight-line basis over the period the employee performs the related services, generally the vesting period of four years, net of estimated forfeitures. The Company has estimated forfeiture rates based on its historical experience and will update the rates, as necessary, in subsequent periods if actual forfeitures differ from initial estimates.

        The Black-Scholes option-pricing model requires management assumptions regarding various factors that require extensive use of accounting judgment and financial estimates. The Company estimates the expected term for options using the simplified method, which utilizes the weighted average expected life of each tranche of the stock option, determined based on the sum of each tranche's vesting period plus one-half of the period from the vesting date of each tranche to the stock option's expiration, because the Company's options are considered "plain vanilla." The Company computed the expected volatility using multiple peer companies for a period approximating the expected term. The risk-free interest rate was determined using the implied yield on U.S. Treasury issues with a remaining term within the expected life of the award.

        The Company accounts for stock-based instruments and awards issued to non-employees at fair value using the Black-Scholes option-pricing model. Management believes that the fair value of the stock-based awards is more reliably measured than the fair value of the services received. The fair value of each non-employee award is re-measured each period until a commitment date is reached, which is generally the vesting date.

Income Taxes

        The Company recognizes deferred tax assets and liabilities for the future tax consequences attributable to the differences between the financial statement carrying value of existing assets and liabilities and their respective tax bases. Deferred tax assets and liabilities are measured using enacted tax rates in effect for the fiscal year in which those temporary differences are expected to be recovered or settled. Valuation allowances are established when necessary to reduce deferred tax assets to the amount expected to be realized.

        The Company operates in various tax jurisdictions and is subject to audit by various tax authorities. The Company provides for tax contingencies whenever it is deemed probable that a tax asset has been impaired or a tax liability has been incurred for events such as tax claims or changes in tax laws. Tax contingencies are based upon their technical merits, relative tax law and the specific facts and circumstances as of each reporting period. Changes in facts and circumstances could result in material changes to the amounts recorded for such tax contingencies.

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Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

1. Description of Business and Summary of Significant Accounting Policies (Continued)

        The Company recognizes uncertain income tax positions taken on income tax returns at the largest amount that is more-likely-than-not to be sustained upon audit by the relevant taxing authority. An uncertain income tax position will not be recognized if it has less than a 50% likelihood of being sustained.

        The Company's policy for recording interest and penalties associated with uncertain tax positions is to record such items as a component of its income tax provision. During the years ended December 31, 2011, 2012 and 2013, we did not record any material interest income, interest expense or penalties related to uncertain tax positions or the settlement of audits for prior periods.

Presentation of Certain Taxes

        The Company collects various taxes from dealers and distributors and remits these amounts to the applicable taxing authorities. The Company's accounting policy is to exclude these taxes from revenue and cost of revenue.

Research and Development

        Research and development expenses consist primarily of personnel costs, including incentive compensation, depreciation associated with research and development equipment, contract labor and consulting services, facilities-related costs, and travel-related costs. Research and development costs are expensed as incurred.

Recent Accounting Pronouncements

        In February 2013, the FASB issued ASU 2013-02, "Comprehensive Income: Reporting of Amounts Reclassified Out of Accumulated Other Comprehensive Income." The amended guidance requires an entity to present the effects on the line items of net income of significant reclassifications out of accumulated other comprehensive income if the amount being reclassified is required under U.S. generally accepted accounting principles to be reclassified in its entirety to net income in the same reporting period. The guidance is effective prospectively for the reporting periods beginning after December 15, 2012. This new guidance was effective for the Company beginning January 1, 2013. The adoption of this guidance did not have an impact on the Company's results of operations, financial position, or cash flows as it relates only to financial statement presentation.

2. Balance Sheet Components

        Inventories consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Finished goods

  $ 12,306   $ 14,061  

Component parts

    209     1,251  
           

  $ 12,515   $ 15,312  
           
           

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Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

2. Balance Sheet Components (Continued)

        Property and equipment, net consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Computer equipment and software

  $ 3,518   $ 4,152  

Manufacturing tooling and test equipment

    2,731     2,652  

Furniture and fixtures

    1,801     2,046  

Lab and warehouse equipment

    1,974     2,374  

Marketing equipment

    419     604  

Leasehold improvements

    803     1,450  
           

    11,246     13,278  

Less: accumulated depreciation

    (8,580 )   (9,335 )
           

  $ 2,666   $ 3,943  
           
           

        Intangible assets, net consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Acquired technology

  $ 1,357   $ 1,678  

Less: accumulated amortization

    (431 )   (750 )
           

  $ 926   $ 928  
           
           

        Other assets consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Prepaid licensing

  $ 700   $ 716  

Deposits

    187     404  
           

  $ 887   $ 1,120  
           
           

        Accrued liabilities consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Current portion of settlement obligations (see Note 6)

  $ 2,229   $ 907  

Sales returns and warranty accruals

    2,045     2,137  

Compensation accruals

    1,495     3,233  

Other accrued liabilities

    802     544  
           

  $ 6,571   $ 6,821  
           
           

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Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

3. Fair Value Measurements

        The Company's financial instruments that are measured at fair value on a recurring basis consist of money market funds and redeemable preferred stock warrants. The following three levels of inputs are used to measure the fair value of financial instruments:

            Level 1: Quoted prices in active markets for identical assets or liabilities. The Company classifies its money market funds as Level 1 instruments as they are traded in active markets with sufficient volume and frequency of transactions.

            Level 2: Observable prices that are based on inputs not quoted on active markets, but corroborated by market data. The Company did not have any Level 2 instruments during the reported periods.

            Level 3: Unobservable inputs are used when little or no market data is available. The Company utilized a Black-Scholes option-pricing model in order to determine the fair value of the redeemable preferred stock warrant, with such value determined on an as-converted basis. Certain inputs used in the model are unobservable.

        The fair market value of the Company's common stock was used to value the warrant liability. The fair value of the warrants was calculated using the income approach and is based on the following assumptions:

 
  December 31,
2012
 

Dividend yield

    0 %

Expected volatility

    54 %

Risk-free interest rate

    0.16 %

Remaining contractual term (in years)

    1.5  

        The fair values of these financial assets and the redeemable preferred stock warrants were as follows (in thousands):

 
  Fair value measurements at
December 31, 2012 using
 
 
  Level 1   Level 2   Level 3   Total  

Cash equivalents:

                         

Money market funds

  $ 15,554   $   $   $ 15,554  

Other liabilities:

                         

Redeemable preferred stock warrants

            601     601  

 

 
  Fair value measurements at
December 31, 2013 using
 
 
  Level 1   Level 2   Level 3   Total  

Cash equivalents:

                         

Money market funds

  $ 79,013   $   $   $ 79,013  

Other liabilities:

                         

Redeemable preferred stock warrants

                 

        During the years ended December 31, 2012 and 2013, the change in fair value for the redeemable preferred stock warrant liability of $0.3 million and $0.7 million were recorded to other expense. Upon

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Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

3. Fair Value Measurements (Continued)

the closing of the Company's initial public offering, the warrants to purchase shares of the Company's redeemable convertible preferred stock were net exercised. The then-current aggregate fair value of the warrant liability of $1.3 million was reclassified from long-term liabilities to additional paid-in capital, a component of stockholders' equity, and the Company ceased to record any further periodic fair value adjustments relating to the warrant liability.

4. Acquisition

        On June 21, 2013, the Company acquired the assets of a technology company, which constitute a business. The fair value of the consideration to purchase the business was approximately $259,000, which consisted of cash payments and options to purchase shares of common stock with an exercise price of $11.28. The estimated fair value of separately identifiable intangible assets will be amortized over an estimated useful life of two to three years. As a result, future amortization expense related to the acquisition will be $96,000, $88,000, and $40,000 for the years ending December 31, 2014, 2015, and 2016, respectively.

5. Intangible Assets

        In 2011, the Company entered into a purchase agreement to acquire software technology to be used in certain software applications. The total purchase price was determined based on a revenue-sharing formula for software licenses sold with the acquired technology between December 2011 and November 2012. The purchase agreement included a minimum purchase price of $0.7 million and a maximum purchase price of $2.0 million. In 2011, the Company recorded a finite-lived intangible asset and corresponding obligation for the minimum purchase price of $0.7 million, based on estimated future license sales under the agreement. Based on sales during that period, the final purchase price was $0.7 million. The asset is being amortized and expensed to cost of revenue on a straight-line basis over the estimated life of the associated technology, which was determined to be five years.

        In 2010, the Company completed the acquisition of software technology to be used in certain software applications for a total purchase price that consisted of a cash payment of approximately $0.3 million and the issuance of a warrant to purchase 71,153 shares of the Company's common stock at a fair value of $0.3 million. The total purchase price of approximately $0.6 million was recorded as a finite-lived intangible asset and is being amortized and expensed to cost of revenue on a straight-line basis over the estimated life of the associated technology which was determined to be five years.

        Amortization of finite-lived intangible assets as of December 31, 2013 is as follows for the next three years:

2014

  $ 392  

2015

    363  

2016

    173  
       

  $ 928  
       
       

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Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

6. Long-Term Obligations

Loan and Security Agreement

        In June 2013, the Company entered into an Amended and Restated Loan and Security Agreement with Silicon Valley Bank (the "SVB Agreement"), which consists of a revolving credit facility of $13.0 million (subject to certain borrowing base restrictions) and term borrowings to fund purchases of property and equipment. All borrowings under the SVB Agreement are collateralized by the general assets of the Company. The credit facility has a variable rate of interest of prime (as published in the Wall Street Journal) or LIBOR plus 2.50%, as selected by the Company. The rate was 3.25% at December 31, 2013. In addition, the Company pays an annual commitment fee of $20,000 and a quarterly unused line fee of 0.375% based on the difference between the borrowing commitment of $13.0 million and the then-current balance. The SVB Agreement provided for an additional $2.75 million in term borrowings to fund purchase of property and equipment through May 2014, of which $2.0 million was available at December 31, 2013. Term borrowings are payable in 36 equal monthly payments of principal plus interest and bear interest at prime plus 0.50%, which was 3.75% at December 31, 2013.

        Borrowing under the revolving credit facility is subject to certain collateral restrictions relating primarily to the Company's accounts receivable and inventory levels. As of December 31, 2013, the total borrowing capacity was approximately $13.0 million, and no borrowings were outstanding. The revolving credit facility has a maturity date of May 29, 2015.

        The SVB Agreement contains various restrictive and financial covenants and the Company was in compliance with each of these covenants as of December 31, 2013.

        Future principal payments on outstanding term borrowings as of December 31, 2013 are as follows (in thousands):

2014

  $ 1,138  

2015

    915  

2016

    727  

2017

    186  
       

  $ 2,966  
       
       

Settlement Obligation

        The Company has entered into various settlement agreements relating to alleged patent infringements, which included future payments under non-interest bearing, unsecured notes payable. The carrying values of the notes payable have been discounted using an implied interest rate of 3.75% and are included in accrued and other long-term liabilities in the accompanying consolidated balance sheets.

        Upon closing of the Company's initial public offering, the balance due on one of the settlement obligations was accelerated and became immediately due and payable. As a result, the Company made a final payment on this obligation of $2.1 million on August 12, 2013. The difference between the carrying value of the note and the payment was recorded as a $0.2 million charge to interest expense.

F-20


Table of Contents


Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

6. Long-Term Obligations (Continued)

        Future annual payments on the settlement obligations as of December 31, 2013 are shown in the table below (in thousands):

2014

  $ 940  

2015

    20  

2016

    20  
       

    980  

Less amount representing interest

    (33 )
       

Present value of settlement obligations

    947  

Less current portion of settlement obligations

    (907 )
       

Long-term portion of settlement obligations

  $ 40  
       
       

7. Income Taxes

        The domestic and foreign components of net income (loss) before income tax expense consists of the following for the periods shown below (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Income (loss) before income taxes:

                   

Domestic

  $ (4,697 ) $ (4,055 ) $ 3,633  

Foreign

    812     473     118  
               

Total income (loss) before income taxes

  $ (3,885 ) $ (3,582 ) $ 3,751  
               
               

        The provision for income taxes consisted of the following components (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Current:

                   

Domestic

                   

Federal

  $   $ 15   $ 64  

State

        57     53  

Foreign

        69     147  
               

Total current tax expense

        141     264  
               

Deferred:

                   

Domestic

                   

Federal

    (1,773 )   (710 )   1,572  

State

    (280 )   (65 )   44  

Foreign

    251     88     (16 )

Valuation allowance

    1,802     687     (1,616 )
               

Total deferred tax benefit

            (16 )
               

Total income tax expense

  $   $ 141   $ 248  
               
               

F-21


Table of Contents


Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

7. Income Taxes (Continued)

        A reconciliation from the U.S. statutory federal income tax rate to the effective income tax rate follows:

 
  Years Ended December 31,  
 
  2011   2012   2013  

Federal income tax rate

    (34.0 )%   (34.0 )%   34.0 %

State taxes, net of federal benefit

    (4.1 )   1.1     1.1  

Stock-based compensation

    9.1     15.0     22.7  

Stock warrant

            6.4  

Research and development credits

    (16.0 )       (18.3 )

Change in valuation allowance

    46.4     17.3     (42.0 )

Other, net

    (1.4 )   4.5     2.7  
               

Effective income tax rate

    0.0 %   3.9 %   6.6 %
               
               

        Deferred tax assets and (liabilities) are comprised of the following (in thousands):

 
  December 31,  
 
  2012   2013  

Deferred Tax Assets:

             

Reserves and accruals

  $ 3,396   $ 2,146  

Inventories

    606     1,059  

Net operating loss carryforwards

    30,165     27,865  

Property, plant and equipment

    1,054     1,327  

Stock-based compensation

    783     1,233  

Research and development credit carryforwards

    3,254     4,091  

Other

    204     163  
           

Total deferred tax assets

    39,462     37,884  

Valuation allowance

    (39,462 )   (37,842 )
           

Total deferred tax assets

  $   $ 42  

Deferred Tax Liabilities:

   
 
   
 
 

Undistributed earnings of foreign subsidiaries

      $ (15 )

Property and equipment

        (11 )
           

Total deferred tax liabilities

  $   $ (26 )
           

Net deferred tax asset

  $   $ 16  
           
           

        During the year ended December 31, 2012, the Company reversed the valuation allowance for deferred tax assets related to its subsidiary operating in the UK totaling $92,000. This subsidiary had a history of generating income and used its remaining net operating loss carryforwards in the year ended December 31, 2012.

        At December 31, 2012 and 2013, the Company had a full valuation allowance against the deferred tax assets of its domestic operations as it believes it is more likely than not that these benefits will not be realized. Significant judgment is required in making this assessment, and it is very difficult to predict

F-22


Table of Contents


Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

7. Income Taxes (Continued)

when, if ever, the assessment may conclude that the remaining portion of the deferred tax assets are realizable. The net valuation allowance increased by approximately $0.7 million and decreased by approximately $1.6 million during the years ended December 31, 2012 and 2013, respectively.

        Net operating loss and tax credit carryforwards as of December 31, 2013 are as follows (in thousands):

 
  Amount   Expiration Years

Net operating losses, federal

  $ 77,435   2023 - 2031

Net operating losses, state

    75,640   2018 - 2031

Tax credit carryforwards, federal

    3,158   2023 - 2033

Tax credit carryforwards, state

    1,413   2018 - 2028

Net operating losses, foreign

    21   None

        Approximately $2.7 million of the net operating losses reported above represents unrecorded tax benefits for stock-based compensation, which will be recorded in additional paid in capital when realized. Utilization of the net operating loss carryforwards and credits may be subject to a substantial annual limitation due to the ownership change limitations provided by the Internal Revenue Code of 1986, as amended (the "IRC"), and similar state provisions. The Company has not performed a detailed analysis to determine whether an ownership change under Section 382 of the IRC has occurred or will occur. The effect of an ownership change would be the imposition of an annual limitation on the use of net operating loss carryforwards attributable to periods before the change.

        The following is a reconciliation of the changes in the gross balance of unrecognized tax benefits, excluding interest and penalties (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Balance at the beginning of the period

  $ 1,862   $ 2,318   $ 2,318  

Current year additions

    456         625  
               

Balance at the end of the period

  $ 2,318   $ 2,318   $ 2,943  
               
               

        The Company does not believe there will be any material changes in its unrecognized tax benefits over the next 12 months. As of December 31, 2013, the amount of unrecognized tax benefits that would, if recognized, impact the Company's effective income tax rate is approximately $2.9 million.

        The Company files income tax returns in the United States, including various state and local jurisdictions. The Company's subsidiaries file income tax returns in the United Kingdom, Hong Kong, China and India. The Company is subject to examination in the United States, the United Kingdom, Hong Kong, China, and India as well as various state jurisdictions. As of December 31, 2013, the Company was not under examination by any tax authorities. Tax years beginning in 2008 are subject to examination by taxing United States tax authorities, although net operating loss and credit carryforwards from all years are subject to examinations and adjustments for at least three years following the year in which the attributes are used. Tax years beginning in 2009 are subject to examination by the taxing authorities in the United Kingdom.

F-23


Table of Contents


Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

7. Income Taxes (Continued)

        At December 31, 2013, the Company had undistributed foreign earnings of $0.8 million, which the Company intends to permanently reinvest in the foreign subsidiary. Unrecognized deferred tax liabilities of $0.3 million from temporary differences related to the investment in this foreign subsidiary would have been taxable if the Company repatriated the foreign earnings. The Company anticipates that future overseas earnings will also be reinvested indefinitely. In accordance with the indefinite reversal criteria, the foreign currency gains recorded in other comprehensive income related to foreign currency translation have not been tax effected.

8. Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)

Redeemable Convertible Preferred Stock

        Upon closing of the Company's initial public offering, the 15,293,960 shares of issued and outstanding redeemable convertible preferred stock were converted into common stock. Each share of redeemable convertible preferred stock, shown as issued and outstanding in the table below, was converted into one share of common stock. The carrying value of the redeemable preferred stock at August 7, 2013 of $116.3 million was reclassified to common stock and additional paid-in capital.

        Redeemable convertible preferred stock consisted of the following at December 31, 2012 and August 7, 2013 (in thousands, except share data):

 
  Shares
Authorized
  Shares
Issued and
Outstanding
  Aggregate
Liquidation
Preference
 

Series A

    8,150,000     1,567,306   $ 4,075  

Series B

    18,124,230     3,485,425     14,735  

Series C

    14,215,791     2,726,476     15,000  

Series D

    7,789,215     1,497,921     15,890  

Series E

    5,045,662     965,927     11,000  

Series F

    5,988,024     1,151,542     20,000  

Series G

    8,677,338     1,668,707     15,450  

Series G-1

    2,073,148     216,015     2,000  

Series H

    13,100,000     2,014,641     20,000  
               

    83,163,408     15,293,960   $ 118,150  
               
               

        Prior to their conversion, the Series A, Series B, Series C, Series D, Series E, Series F, Series G, Series G-1 and Series H redeemable convertible preferred stockholders were entitled to receive, when, as and if declared by the Company's Board of Directors, dividends at a rate of $0.21, $0.34, $0.44, $0.85, $0.91, $1.39, $0.74, $0.74, and $0.79 per share per year, respectively. To the extent that additional dividends were declared by the Board of Directors, those amounts would have been distributed equally among the Preferred Stockholders and common stockholders. As of December 31, 2013, no dividends had been declared by the Board of Directors.

F-24


Table of Contents


Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

8. Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit) (Continued)

Warrants to Purchase Stock and Preferred Stock Warrant Liability

        Warrants to purchase common and preferred stock are summarized in the following table:

 
  Number of Shares Subject to Warrant  
 
  December 31,
2012
  December 31,
2013
  Exercise Price  

Warrants to purchase shares of common stock

    71,153       $ 7.49  

Warrants to purchase shares of common stock

    470,082         9.93  

Warrants to purchase Series C redeemable convertible preferred stock(1)

    7,325         5.50  

Warrants to purchase Series E redeemable convertible preferred stock(1)

    4,390         11.39  

Warrants to purchase shares of common stock(1)

        7,325     5.50  

Warrants to purchase shares of common stock(1)

        4,390     11.39  

Warrants to purchase Series G-1 redeemable convertible preferred stock

    182,666         9.26  
                 

    735,616     11,715        
                 
                 

(1)
Warrants to purchase Series C and Series E redeemable convertible preferred stock were converted into warrants to purchase shares of common stock upon the closing of the Company's initial public offering.

        Upon the closing of the Company's initial public offering, warrants to purchase 723,901 shares of the Company's common and preferred stock were net exercised, and the Company issued 293,232 shares of common stock to the holders of the warrants.

        In 2009, the Series G-1 investors received warrants to purchase 182,666 shares of Series G-1 redeemable convertible preferred stock at a price of $9.26 per share. The warrants became immediately exercisable upon the closing of the Series G-1 financing and the fair value of $0.4 million was recorded as a liability with the offsetting charge to expense. Because the holders of the preferred stock were able to elect to redeem the shares for cash, the Company's outstanding preferred stock warrants were classified as liabilities and were revalued at the end of each reporting period using the Black-Scholes option-pricing valuation model. Changes in fair value were reflected in the Company's statements of operations as other income or expense. Upon the effective date of the Company's initial public offering, the Company adjusted the liability based upon the offering price of $16.00 per share. During the years ended December 31, 2012 and 2013, the change in fair value for the redeemable preferred stock warrant liability of $0.3 million and $0.7 million were recorded to other expense.

        As discussed above, upon the closing of the Company's initial public offering, the warrants to purchase shares of the Company's redeemable convertible preferred stock were net exercised. Of the 293,232 shares issued, the Company issued 76,964 shares of common stock to the warrant holder of Series G-1 redeemable convertible preferred stock. The then-current aggregate fair value of the warrant liability of $1.3 million was reclassified from long-term liabilities to additional paid-in capital, a component of stockholders' equity, and the Company ceased to record any further periodic fair value adjustments relating to the warrant liability.

F-25


Table of Contents


Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

8. Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit) (Continued)

Stock Options

        In 2003, the Board of Directors adopted the 2003 Equity Incentive Plan (the "2003 Plan"), which provided for the granting of nonqualified and incentive stock options, stock appreciation rights, stock awards and restricted stock. Under the 2003 Plan, the Company was able to grant nonqualified and incentive stock options to directors, employees and non-employees providing services to the Company. On June 11, 2013, the Company's Board of Directors adopted the 2013 Stock Option and Incentive Plan (the "2013 Plan"), which was subsequently approved by the Company's stockholders. The 2013 Plan became effective as of the closing of the Company's initial public offering. To the extent that any awards outstanding under the 2003 Plan are forfeited or lapse unexercised subsequent to August 1, 2013, the shares of common stock subject to such awards will become available for issuance under the 2013 Plan. The 2013 Plan provides for annual increases in the number of reserved shares of up to 5% of the outstanding number of shares of the Company's Common Stock.

        A summary of stock option activity for the years ended December 31, 2011, 2012 and 2013 is presented below:

 
  Shares Subject
to Options
Outstanding
  Weighted
Average
Grant Date
Fair Value
  Weighted
Average
Exercise Price
  Weighted
Average
Remaining
Contractual
Life (Years)
 

Balance at December 31, 2010

    3,373,112     2.02     3.51     6.9  

Granted

    1,988,044     3.94     6.19        

Exercised

    (577,437 )   1.20     2.08        

Expired

    (186,736 )   2.39     4.33        

Forfeited

    (244,279 )   3.22     5.30        
                     

Balance at December 31, 2011

    4,352,704     2.93     4.79     7.6  

Granted

    715,205     5.31     9.45        

Exercised

    (245,349 )   1.92     3.20        

Expired

    (14,148 )   2.97     4.91        

Forfeited

    (159,174 )   3.63     5.71        
                     

Balance at December 31, 2012

    4,649,238     3.33     5.56     7.2  

Granted

    480,698     10.08     13.20        

Exercised

    (107,042 )   2.36     4.17        

Expired

    (27,772 )   3.43     5.79        

Forfeited

    (89,908 )   4.44     7.14        
                     

Balance at December 31, 2013

    4,905,214   $ 3.95   $ 6.31     6.4  
                     
                     

Exercisable options at December 31, 2012

    2,640,278   $ 2.50   $ 4.26     5.8  

Vested during the year ended December 31, 2012

    824,083     3.69     5.93        

Vested and expected to vest at December 31, 2012

    4,280,084     3.22     5.41        

Non-vested options at December 31, 2012

    2,009,505     4.37     7.28        

Exercisable options at December 31, 2013

    3,285,695     2.91     4.88     5.5  

Vested during the year ended December 31, 2013

    845,965     4.08     6.97        

Vested and expected to vest at December 31, 2013

    4,544,942     3.82     6.15        

Non-vested options at December 31, 2013

    1,619,517     6.11     9.22        

F-26


Table of Contents


Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

8. Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit) (Continued)

        The following table summarizes information about stock options outstanding and exercisable at December 31, 2013:

 
  Options Outstanding   Options Exercisable  
Range of Exercise Prices
  Weighted
Average
Exercise
Price
  Number of
Underlying
Shares
  Weighted-
Average
Remaining
Contractual
Life (in years)
  Number of
Underlying
Shares
  Weighted-
Average
Remaining
Contractual
Life (in years)
 

$0.26 - 1.30

  $ 0.57     187,284     1.0     187,284     1.0  

1.35 - 2.60

    2.18     473,347     2.5     473,347     2.5  

2.65 - 3.90

    3.23     325,523     3.6     325,523     3.6  

3.95 - 5.20

    4.87     941,827     5.2     937,785     5.2  

5.25 - 6.50

    6.19     1,686,513     7.7     1,033,886     7.7  

6.55 - 7.80

    7.49     118,947     6.5     100,620     6.5  

7.85 - 9.10

    8.84     238,451     8.5     94,534     8.5  

9.15 - 22.77

    11.54     933,322     8.7     132,716     8.9  
                             

          4,905,214           3,285,695        
                             
                             

        The following table summarizes the aggregate intrinsic-value of options exercised, outstanding and exercisable (in thousands):

 
  For the Years Ended and as of
December 31,
 
 
  2011   2012   2013  

Options Exercised

  $ 2,400   $ 1,310   $ 1,315  

Options Outstanding

    9,110     23,480     56,197  

Options Exercisable

    7,100     16,800     42,116  

        The fair value of each option award is estimated on the date of grant using the Black-Scholes option-pricing model with the following assumptions:

 
  Years Ended December 31,
 
  2011   2012   2013

Expected volatility

  71 - 73%   59 - 63%   56 - 59%

Expected dividends

  0%   0%   0%

Expected terms (in years)

  5.0 - 6.1   5.0 - 6.1   3.3 - 7.2

Risk-free rate

  1.1 - 2.5%   0.7 - 1.0%   0.8 - 1.7%

Forfeiture rate

  11.6%   7.9%   7.2%

F-27


Table of Contents


Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

8. Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit) (Continued)

        Total stock-based compensation expense has been classified as follows in the accompanying statements of operations (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Cost of revenue

  $ 49   $ 78   $ 63  

Research and development

    492     704     1,414  

Sales and marketing

    523     580     743  

General and administrative

    949     1,507     1,540  
               

Total stock-based compensation expense

  $ 2,013   $ 2,869   $ 3,760  
               
               

        At December 31, 2013, there was $7.2 million of total unrecognized compensation cost related to non-vested stock option awards that will be recognized over a weighted-average period of 2.9 years.

9. Related Party Transactions

        The Company has entered into sales agreements with certain of its investors. The following table sets forth revenue from product sales to companies affiliated with these investors (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Company 1

  $ 995   $ 2,142   $ 2,889  

Company 2

    2,134     1,290     950  

Company 3

    478     791     426  

Company 4

        1,807     129  
               

  $ 3,607   $ 6,030   $ 4,394  
               
               

        As of December 31, 2012 and 2013, the Company had accounts receivable from these companies totaling $1.5 million and $0.6 million, respectively. Purchase and payment terms with these related parties are consistent with other non-affiliated companies.

10. Commitments and Contingencies

Operating Leases

        The Company leases office and warehouse space under operating leases that expire between 2014 and 2018. The terms of the leases include periods of free rent, options for the Company to extend the leases (three to five years) and increasing rental rates over time. The Company recognizes rental expense under these operating leases on a straight-line basis over the lives of the leases and has accrued for rental expense recorded but not paid.

        Rental expense was approximately $1.0 million, $1.1 million and $1.4 million for the years ended December 31, 2011, 2012 and 2013, respectively.

F-28


Table of Contents


Control4 Corporation

Notes to Consolidated Financial Statements (Continued)

10. Commitments and Contingencies (Continued)

        Future minimum rental payments required under non-cancelable operating leases with initial or remaining terms in excess of one year consist of the following as of December 31, 2013 (in thousands):

2014

  $ 1,613  

2015

    1,620  

2016

    1,504  

2017

    1,283  

2018

    697  

Thereafter

     
       

  $ 6,717  
       
       

Purchase Commitments

        The Company had non-cancellable purchase commitments for the purchase of inventory, which extend through May 2014 totaling approximately $22.6 million at December 31, 2013.

Indemnification

        The Company has agreed to indemnify its officers and directors for certain events or occurrences, while the officer or director is or was serving at the Company's request in such capacity. The maximum amount of potential future indemnification is unlimited; however, the Company has a director and officer insurance policy that provides corporate reimbursement coverage that limits its exposure and enables it to recover a portion of any future amounts paid. The Company is unable to reasonably estimate the maximum amount that could be payable under these arrangements since these obligations are not capped but are conditional to the unique facts and circumstances involved. Accordingly, the Company has no liabilities recorded for these agreements as of December 31, 2013.

Employment Agreements

        The Company has signed employment agreements with certain executive officers who are entitled to receive certain benefits if their employment is terminated by the Company, including severance payments, accelerated vesting of stock options and continuation of certain insurance benefits.

Legal Matters

        The Company is subject to various lawsuits and other claims that arise from time to time in the ordinary course of business. These actions may be based on alleged patent infringement or other matters. The Company intends to defend itself vigorously against any such actions. The Company establishes reserves for specific liabilities in connection with legal actions that it deems to be probable and estimable.

        In management's opinion, the Company is not currently involved in any legal proceedings that, individually or in the aggregate, could have a material effect on the Company's financial condition, operations, or cash flows.

F-29



EX-23.1 2 a2218322zex-23_1.htm EX-23.1
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Exhibit 23.1

CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

        We consent to the incorporation by reference in the Registration Statement (Form S-8 No. 333-190326) pertaining to the Control4 Corporation 2013 Stock Option and Incentive Plan and the Control4 Corporation 2003 Equity Incentive Plan of our report dated February 21, 2014, with respect to the consolidated financial statements of Control4 Corporation included in this Annual Report (Form 10-K) for the year ended December 31, 2013.

/s/ Ernst & Young LLP

Salt Lake City, Utah
February 21, 2014




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CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
EX-31.1 3 a2218322zex-31_1.htm EX-31.1
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Exhibit 31.1

CERTIFICATION PURSUANT TO RULE 13a-14(a) OR 15d-14(a) OF
THE SECURITIES EXCHANGE ACT OF 1934,
AS ADOPTED PURSUANT TO SECTION 302 OF
THE SARBANES-OXLEY ACT OF 2002

I, Martin Plaehn, certify that:

        1.     I have reviewed this Annual Report on Form 10-K of Control4 Corporation;

        2.     Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

        3.     Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

        4.     The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) for the registrant and have:

            (a)   Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

            (b)   Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

            (c)   Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter (the registrant's fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

        5.     The registrant's other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

            (a)   All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

            (b)   Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

Date: February 21, 2014   By:   /s/ MARTIN PLAEHN

Martin Plaehn
President, Chairman and Chief Executive Officer
(Principal Executive Officer)



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CERTIFICATION PURSUANT TO RULE 13a-14(a) OR 15d-14(a) OF THE SECURITIES EXCHANGE ACT OF 1934, AS ADOPTED PURSUANT TO SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002
EX-31.2 4 a2218322zex-31_2.htm EX-31.2
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Exhibit 31.2

CERTIFICATION PURSUANT TO RULE 13a-14(a) OR 15d-14(a) OF
THE SECURITIES EXCHANGE ACT OF 1934,
AS ADOPTED PURSUANT TO SECTION 302 OF
THE SARBANES-OXLEY ACT OF 2002

I, Dan Strong, certify that:

        1.     I have reviewed this Annual Report on Form 10-K of Control4 Corporation;

        2.     Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

        3.     Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

        4.     The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) for the registrant and have:

            (a)   Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

            (b)   Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

            (c)   Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter (the registrant's fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

        5.     The registrant's other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

            (a)   All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

            (b)   Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

Date: February 21, 2014   By:   /s/ DAN STRONG

Dan Strong
Chief Financial Officer
(Principal Financial and Accounting Officer)



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CERTIFICATION PURSUANT TO RULE 13a-14(a) OR 15d-14(a) OF THE SECURITIES EXCHANGE ACT OF 1934, AS ADOPTED PURSUANT TO SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002
EX-32.1 5 a2218322zex-32_1.htm EX-32.1
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Exhibit 32.1

CERTIFICATION OF CHIEF EXECUTIVE OFFICER AND CHIEF FINANCIAL OFFICER
PURSUANT TO
18 U.S.C. SECTION 1350,
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

        In connection with the Annual Report on Form 10-K of Control4 Corporation for the year ended December 31, 2013 as filed with the Securities and Exchange Commission on the date hereof (the "Report"), Martin Plaehn, as Chief Executive Officer of Control4 Corporation, hereby certifies, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of his knowledge, the Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, and the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of Control4 Corporation.

Date: February 21, 2014   By:   /s/ MARTIN PLAEHN

Martin Plaehn
President, Chairman and Chief Executive Officer
(Principal Executive Officer)

        In connection with the Annual Report on Form 10-K of Control4 Corporation for the year ended December 31, 2013 as filed with the Securities and Exchange Commission on the date hereof (the "Report"), Dan Strong, as Chief Financial Officer of Control4 Corporation, hereby certifies, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of his knowledge, the Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, and the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of Control4 Corporation.

Date: February 21, 2014   By:   /s/ DAN STRONG

Dan Strong
Chief Financial Officer
(Principal Financial and Accounting Officer)



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CERTIFICATION OF CHIEF EXECUTIVE OFFICER AND CHIEF FINANCIAL OFFICER PURSUANT TO 18 U.S.C. SECTION 1350, AS ADOPTED PURSUANT TO SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002
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Description of Business and Summary of Significant Accounting Policies</b></font></p> <p style="FONT-FAMILY: times;"><font size="2">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;Control4 Corporation ("Control4" or the "Company") is a leading provider of automation and control solutions for the connected home. The Company unlocks the potential of connected devices, making entertainment systems easier to use, homes more comfortable, appliances more energy efficient, and families more secure. The Company was incorporated in the state of Delaware on March&#160;27, 2003.</font></p> <p style="FONT-FAMILY: times;"><font size="2"><b><i>Reclassifications</i></b></font></p> <p style="FONT-FAMILY: times;"><font size="2">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;Certain prior-year amounts have been reclassified in order to conform to the current-year presentation. 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Share Based Compensation Arrangement by Share Based Payment Award, Options Vested Weighted Average Exercise Price Vested during the period (in dollars per share) Share Based Compensation Arrangement by Share Based Payment Award, Options Nonvested Weighted Average Exercise Price Non-vested options (in dollars per share) Represents the weighted-average exercise price of non-vested options outstanding. 0.26-1.30 Represents information pertaining to the first exercise price range. Exercise Price Range One [Member] Exercise Price Range Two [Member] 1.35-2.60 Represents information pertaining to the second exercise price range. Exercise Price Range Three [Member] 2.65-3.90 Represents information pertaining to the third exercise price range. Exercise Price Range Four[Member] 3.95-5.20 Represents information pertaining to the fourth exercise price range. Entity [Domain] Exercise Price Range Five [Member] 5.25-6.50 Represents information pertaining to the fifth exercise price range. Exercise Price Range Six [Member] 6.55-7.80 Represents information pertaining to the sixth exercise price range. Exercise Price Range Seven [Member] 7.85-9.10 Represents information pertaining to the seventh exercise price range. Exercise Price Range Eight [Member] 9.15-22.77 Represents information pertaining to the eight exercise price range. Share Based Compensation Shares Authorized under Stock Option Plans Exercise Price Range Outstanding Options [Abstract] Options Outstanding Share Based Compensation Shares Authorized under Stock Option Plans Exercise Price Range Exercisable Options [Abstract] Options Exercisable Share Based Compensation Arrangement by Share Based Payment Award, Aggregate Intrinsic Value [Abstract] Intrinsic-value Share Based Compensation Arrangement by Share Based Payment Award, Fair Value Assumptions Forfeiture Rate Forfeiture rate (as a percent) Represents the forfeiture rate assumption that is used in valuing an option on its own shares. Convertible preferred stock warrant liability Redeemable Preferred Stock Warrant [Member] Security that gives the holder the right to purchase shares of redeemable preferred stock in accordance with the terms of the instrument, usually upon payment of a specified amount. Redeemable preferred stock warrants Eragy Inc [Member] Technology company Represents information pertaining to Eragy, Inc. Deferred Income Tax Expense (Benefit) Valuation Allowance Amount of deferred income tax expense (benefit) for which it is more likely than not that a tax benefit will not be realized. Valuation allowance Initial Public Offering [Policy Text Block] Initial Public Offering Disclosure of accounting policy for initial public offering. Stock Split [Policy Text Block] Stock Split Disclosure of accounting policy for stock split. Represents the aggregate number of shares of common stock sold by the stockholders that were held by them in the initial public offering. Number of Common Stock Sold by Stockholders in Initial Public Offering Number of shares of common stock sold by stockholders in IPO Gross Proceeds from Issuance Initial Public Offering Gross proceeds from the IPO The cash inflow, without deducting underwriting commission and discount, associated with the amount received from the entity's first offering of stock to the public. Long Term Obligations Disclosure [Text Block] The entire disclosure for long-term obligations. Long-Term Obligations Warrant Common Stock [Member] Information relating to common stock warrants. Common stock warrants Warrant Redeemable Convertible Preferred Stock [Member] Information relating to redeemable convertible preferred stock warrants. Preferred stock warrants Series A Redeemable Convertible Preferred Stock [Member] Series A Outstanding redeemable convertible series A preferred stock. Series B Outstanding redeemable convertible series B preferred stock. Series B Redeemable Convertible Preferred Stock [Member] Series C Outstanding redeemable convertible series C preferred stock. Series C Redeemable Convertible Preferred Stock [Member] Series C redeemable convertible preferred stock Series D Outstanding redeemable convertible series D preferred stock. Series D Redeemable Convertible Preferred Stock [Member] Series E Outstanding redeemable convertible series E preferred stock. Series E Redeemable Convertible Preferred Stock [Member] Series E redeemable convertible preferred stock Series F Outstanding redeemable convertible series F preferred stock. Series F Redeemable Convertible Preferred Stock [Member] Series G Outstanding redeemable convertible series G preferred stock. Series G Redeemable Convertible Preferred Stock [Member] Series G - 1 Outstanding redeemable convertible series G-1 preferred stock. Series G1 Redeemable Convertible Preferred Stock [Member] Series G-1 redeemable convertible preferred stock Series H Outstanding redeemable convertible series H preferred stock. Series H Redeemable Convertible Preferred Stock [Member] Proceeds from Issuance Initial Public Offering for Automatic Conversion of Preferred Stock Represents the proceeds that must be received from the initial public offering for preferred stock to be automatically converted to common stock. Proceeds from initial public offering for conversion of preferred stock to common stock Stock Issued during Period Shares Conversion of Warrant Liability Number of shares issued during the period as a result of the conversion of the warrant liability. Warrant liability converted into shares of common stock Warrant Liability Fair Value Disclosure Aggregate fair value of warrant liability Represents the fair value portion of obligations relating to warrants. Common Stock Issued During Period upon Net Exercise of Common and Preferred Stock Warrants Common stock shares issued upon the net exercise of common and preferred stock warrants. Common stock, shares issued to warrant holders upon net exercise Equity Incentive 2003 Plan [Member] 2003 Plan Represents information pertaining to the 2003 Equity Incentive Plan. Stock Option and Incentive 2013 Plan [Member] 2013 Plan Represents information pertaining to the 2013 Stock Option and Incentive Plan. Share Based Compensation Arrangement by Share Based Payment Award, Increase in Number of Shares Authorized as Percentage of Shares Outstanding Annual increase in shares authorized for issuance as a percentage of shares outstanding Represents the annual increase in shares authorized for issuance as a percentage of shares outstanding, under the equity-based compensation plan. Number of Warrants Exercised to Purchase Shares of Common and Preferred Stock Number of warrants exercised to purchase shares of common and preferred stock (in shares) Represents the number of warrants exercised to purchase shares of common and preferred stock. Options for Common Stock Granted in Connection with Acquisition Options for common stock granted in connection with a business acquisition Represents the amount of options for common stock granted in connection with a business acquisition. Share Based Compensation Arrangements by Share Based Payment Award, Options, Expirations in Period, Weighted Average Grant Date Fair Value Represents the weighted-average grant-date fair value of options expired during period. Expired (in dollars per share) Underwriting Commissions and Expenses Underwriting commissions and expenses incurred in connection with the entity's first offering of stock to the public. Underwriting discounts and commissions The final cash payment related to a settlement obligation. Final payment of obligation Final Payment of Settlement Obligation Initial Public Offering [Abstract] IPO Stock Split [Abstract] Stock Split Elimination of Liability upon Net Exercise of Warrants to Purchase Preferred Stock Elimination of liability upon net exercise of warrants to purchase preferred stock Amount of liability eliminated upon net exercise of warrants to purchase preferred stock. Sales Returns and Warranty Accrual Current Sales returns and warranty accruals Carrying value, as of the balance sheet date, of obligations incurred through that date and payable for goods returned by customers and estimated claims under standard and extended warranty protection rights granted to customers. For classified balance sheets, represents the current portion of the liabilities (due within one year or within the normal operating cycle, if longer). Other Income (Expense) [Member] Other income (expense) Primary financial statement caption encompassing other revenue or expense. Other (income) expense Entity Well-known Seasoned Issuer Warrant Liability Noncurrent Warrant liability Represents the carrying value of obligations (due after one year or beyond the operating cycle if longer) relating to warrants. Fair value of warrant Entity Voluntary Filers Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit) Entity Current Reporting Status Shares of Common Stock Reserved for Future Issuance [Abstract] Reserved shares of common stock for future issuance Entity Filer Category Gain on Inventory Purchase Commitment Represents a gain related to inventory purchase commitments recognized during the period. Cost of revenue - inventory purchase commitment Loss (gain) on inventory purchase commitment Gain related to inventory purchase commitments Entity Public Float Basic and Diluted Earnings Per Share Pro Forma Pro forma net loss per common share, basic and diluted (in dollars per share) Pro forma basic and diluted earnings per share, which is commonly presented in initial public offerings based on the terms of the offering. Entity Registrant Name Weighted Average Basic and Diluted Shares Outstanding Pro Forma Pro forma weighted-average number of common shares, basic and diluted (in shares) Represents the weighted average number of shares (units) outstanding in the calculation of pro forma basic and diluted earnings per share (earnings per unit), which is commonly presented in the initial public offerings based on the terms of the offering. Pro forma weighted-average number of common shares, basic and diluted Entity Central Index Key Computer Equipment and Software [Member] Computer equipment and software Represents information pertaining to the long-lived, depreciable assets that are used in the creation, maintenance and utilization of information systems and purchased software applications. Manufacturing Tools and Test Equipment [Member] Manufacturing tooling and test equipment Represents information pertaining to the manufacturing tooling and test equipment. Represents information pertaining to the lab and warehouse equipment. Lab, marketing and warehouse equipment Lab and Warehouse Equipment [Member] Lab and warehouse equipment Marketing Equipment [Member] Marketing equipment Represents information pertaining to the marketing equipment. Entity Common Stock, Shares Outstanding Summary of Operating Loss and Tax Credit Carryforwards [Table Text Block] Schedule of net operating loss and tax credit carryforwards Tabular disclosure of pertinent information, such as tax authority, amounts, and expiration dates, of net operating loss carryforwards, including an assessment of the likelihood of utilization and of tax credit carryforwards available to reduce future taxable income, including amounts, expiration dates, limitations on use and the related deferred tax assets and valuation allowances. Current Domestic Tax Expense (Benefit) [Abstract] Domestic Deferred Domestic Tax Expense (Benefit) [Abstract] Domestic Deferred Tax Assets, Reversal of Valuation Allowance Reversal of valuation allowance for deferred tax assets Represents the reversal of valuation allowances of the deferred tax asset. Operating Loss and Tax Credit Carryforwards [Line Items] Net operating loss and tax credit carryforwards Unrecognized Tax Benefits Increases Resulting from Stock Based Compensation Unrecorded tax benefits for stock-based compensation Amount of increase in unrecognized tax benefits resulting from stock-based compensation. Operating Loss and Tax Credit Carryforwards [Table] Schedule reflecting pertinent information, such as tax authority, amounts, and expiration dates, of net operating loss carryforwards, including an assessment of the likelihood of utilization and a listing of tax credit carryforwards available to reduce future taxable income including descriptions, amounts, expiration dates, limitations on use and the related deferred tax assets and valuation allowances. Company One [Member] Company 1 Represents information pertaining to company one. Company Two [Member] Company 2 Represents information pertaining to company two. Company Three [Member] Company 3 Represents information pertaining to company three. Company Four [Member] Company 4 Represents information pertaining to company four. Operating Leases Term of Extension Extension term of leases Represents the term over which operating leases can be extended. Operating Leases Modification Term Lease modification term Represents the modification term of operating leases. Purchase Commitments [Abstract] Purchase Commitments Settlement Agreement [Member] Settlement agreement relating to alleged patent infringements Represents information pertaining to the settlement agreement relating to alleged patent infringements. Loss Contingency, Future Royalty Payments and Lumpsum Amount Included in Agreement Future royalty payments and payment of a lump sum amount included in the agreement Represents the aggregate of future royalty payments on certain products and payment of a lump sum amount included in the agreement entered by the entity. Loss Contingency, Payment of Lump Sum Amount Payment of lump sum amount Represents the lump sum amount paid under the agreement. Document Fiscal Year Focus Debt Instrument, Number of Equal Monthly Payments of Principal and Interest Number of equal monthly payments of principal plus interest Represents the number of equal monthly payments of principal plus interest of the debt instrument. Document Fiscal Period Focus Other Commitments Number of Settlement Obligations Accelerated and became Payable Number of settlement obligations accelerated and became due and payable Represents the number of settlement obligations which were accelerated and became due and payable during the period. Other Commitment Interest Less amount representing interest Represents the amount of interest on other commitment not otherwise specified in the taxonomy. Excludes commitments explicitly modeled in the taxonomy, including but not limited to, long-term and short-term purchase commitments, recorded and unrecorded purchase obligations, supply commitments, registration payment arrangements, leases, debt, product warranties, guarantees, environmental remediation obligations, and pensions. Other Commitment Present Value Present value of settlement obligations Represents the present value of other commitment not otherwise specified in the taxonomy. Excludes commitments explicitly modeled in the taxonomy, including but not limited to, long-term and short-term purchase commitments, recorded and unrecorded purchase obligations, supply commitments, registration payment arrangements, leases, debt, product warranties, guarantees, environmental remediation obligations, and pensions. Carrying value of the future payments Other Commitment Current Less current portion of settlement obligations Carrying value as of the balance sheet date of the portion of other commitment not otherwise specified in the taxonomy that is scheduled to be repaid within one year or the normal operating cycle, if longer. Excludes commitments explicitly modeled in the taxonomy, including but not limited to long-term and short-term purchase commitments, recorded and unrecorded purchase obligations, supply commitments, registration payment arrangements, leases, debt, product warranties, guarantees, environmental remediation obligations, and pensions. Current portion of settlement obligations Other Commitment Noncurrent Long-term portion of settlement obligations Carrying value as of the balance sheet date of the portion of other commitment not otherwise specified in the taxonomy excluding amounts to be repaid within one year or the normal operating cycle, if longer (current maturities). Excludes commitments explicitly modeled in the taxonomy, including but not limited to, long-term and short-term purchase commitments, recorded and unrecorded purchase obligations, supply commitments, registration payment arrangements, leases, debt, product warranties, guarantees, environmental remediation obligations, and pensions. Geographic Information [Policy Text Block] Geographic Information Disclosure of accounting policy for geographic information. Redeemable Convertible Preferred Stock Warrant [Policy Text Block] Redeemable Convertible Preferred Stock Warrant Disclosure of accounting policy for redeemable convertible preferred stock warrant. Presentation of Certain Taxes [Policy Text Block] Presentation of Certain Taxes Disclosure of accounting policy for presentation of certain taxes, excluding income taxes. Property, Plant and Equipment Estimated Useful Life [Table Text Block] Schedule of estimated useful lives of property and equipment Tabular disclosure of estimated useful lives of property, plant and equipment. Incremental Common Shares Attributable to Preferred Warrants Assumed conversion of warrants into shares of common stock Additional shares included in the calculation of diluted EPS as a result of the potentially dilutive effect of preferred warrants using the if-converted method. Assumed conversion of preferred warrants into shares of common stock Transaction Three [Member] Information pertaining to common stock warrants; transaction three. Transaction 3 Legal Entity [Axis] Transaction Four [Member] Information pertaining to common stock warrants; transaction four. Transaction 4 Document Type Stock Options Employee and Nonemployee Stock Option [Member] Stock options Contract that gives the holder the right, but not the obligation, either to purchase or to sell a certain number of shares of stock at a predetermined price for a specified period of time. Cost of Revenue Inventory Purchase Commitment Anticipated loss on firm purchase commitments for components Represents the aggregate cost related to inventory purchase commitment incurred during the period. Schedule of Share Based Payment Equity Award Modification for Stock Options Valuation Assumptions [Table Text Block] Summary of assumptions used in calculating the fair value and incremental expense to be recognized in connection with the equity award modification for stock options Tabular disclosure of the significant assumptions used during the year to estimate the fair value of stock options, including, but not limited to: (a) expected term of share options and similar instruments, (b) expected volatility of the entity's shares, (c) expected dividends, (d) risk-free rate(s), and (e) discount for post-vesting restrictions in connection with equity award modification for stock options. Temporary Equity Stock Issued During Period Shares New Issues Issuance of Series H redeemable convertible preferred stock for cash in February 2011, net of issuance costs of $211 (in shares) Number of shares of new stock classified as temporary equity issued during the period. Pre Modification [Member] Pre-Modification Represents information pertaining to Pre-Modifications scenario. Post-Modification Represents information pertaining to Post-Modifications scenario. Post Modification [Member] Share based Compensation Arrangement by Share based Payment Award Plan Modification Expiration Period Modified expiration period Represents the modified period from grant date that an equity-based award expires, in 'PnYnMnDTnHnMnS' format, for example, 'P1Y5M13D' represents the reported fact of one year, five months, and thirteen days due to modification of an equity-based compensation plan. Share based Compensation Arrangement by Share based Payment Award Plan Modification Vesting Number Modified vesting of stock options (in shares) Represents the number of shares for which vesting is modified due to modification of an equity-based compensation plan. Share Based Compensation Arrangement by Share Based Payment Award Acceleration and Plan Modification Compensation Cost Additional stock-based compensation expense due to acceleration and modification Represents the additional share-based compensation cost recognized as a result of an occurrence of an event, which accelerates its recognition and due to modification of an equity-based compensation plan. Operating Loss and Tax Credit Carryforwards Minimum Period of Examinations and Adjustments Minimum period for which net operating loss and credit carryforwards are subject to examinations and adjustments Represents the minimum period for which net operating loss and credit carryforwards are subject to examinations and adjustments. Stock Issuance Costs Represents stock issuance costs incurred. Issuance of Series H redeemable convertible preferred stock for cash in February 2011, issuance costs Temporary Equity, Shares Issue Period Increase or (Decrease) Change in the shares of each type or class of stock classified as temporary equity during the period. Stock Issued During Period Shares Stock Warrants Exercised Issuance of common stock upon net exercise of common stock warrants (in shares) Represents the number of common stock warrants exercised during the current period. Reclassification of redeemable convertible preferred stock warrant liability upon conversion to common stock warrant Represents the amount of increase in additional paid in capital (APIC) resulting from the reclassification of redeemable convertible preferred stock warrant liability upon conversion to common stock warrant. Adjustments to Additional Paid in Capital Reclassification of Redeemable Convertible Preferred Stock Warrant Liability Proceeds from Issuance of Redeemable Convertible Preferred Stock and Warrants Represents the cash inflow from issuance of callable preferred stock which is identified as being convertible to another type of financial security at the option of the issuer or the holder as well as from issuance of rights to purchase common shares at predetermined price (usually issued together with corporate debt). Net proceeds from issuance of redeemable convertible preferred stock and common stock warrants Effective Income Tax Rate Reconciliation Nondeductible Expense Stock Warrant Expense Stock warrant (as a percent) Percentage of the difference between reported income tax expense (benefit) and expected income tax expense (benefit) computed by applying the domestic federal statutory income tax rates to pretax income (loss) from continuing operations attributable to stock warrant expense. Adjustments To Additional Paid In Capital Stock Options Issued In Connection With Business Acquisition Adjustment to additional paid in capital resulting from the issuance of common stock options in connection with a business acquisition. Issuance of common stock options in connection with a business acquisition Adjustments to Additional Paid in Capital Reclassification of Redeemable Convertible Preferred Stock Warrant Liability Upon Conversion to Preferred Stock Reclassification of redeemable convertible preferred stock warrant liability upon conversion to preferred stock Represents the amount of increase in additional paid in capital (APIC) resulting from the reclassification of redeemable convertible preferred stock warrant liability upon conversion to preferred stock. Accounts receivable, net Accounts Receivable, Net, Current Accounts payable Accounts Payable, Current Accounts receivable Accounts Receivable, Related Parties, Current Allowance for Doubtful Accounts Accounts, Notes, Loans and Financing Receivable, Gross, Allowance, and Net [Abstract] UNITED STATES United States Accrued Liabilities, Current [Abstract] Accrued liabilities Accrued liabilities Accrued Liabilities, Current Total accrued liabilities Less: accumulated depreciation Accumulated Depreciation, Depletion and Amortization, Property, Plant, and Equipment Accumulated other comprehensive income (loss) Accumulated Other Comprehensive Income (Loss), Net of Tax Accumulated Other Comprehensive Income (Loss) [Member] Accumulated Other Comprehensive (Loss) Income Estimated useful life of identifiable intangible assets Acquired Finite-lived Intangible Assets, Weighted Average Useful Life Additional paid-in capital Additional Paid in Capital, Common Stock Additional Paid-in Capital [Member] Additional Paid-In Capital Issuance of common stock warrants Adjustments to Additional Paid in Capital, Warrant Issued Adjustments to reconcile net income (loss) to net cash (used in) provided by operating activities: Adjustments to Reconcile Net Income (Loss) to Cash Provided by (Used in) Operating Activities [Abstract] Adjustments to Additional Paid in Capital, Share-based Compensation, Requisite Service Period Recognition Stock-based compensation Advertising expense Advertising Expense Total stock-based compensation expense Allocated Share-based Compensation Expense Changes in the allowance for doubtful accounts Allowance for Doubtful Accounts Receivable [Roll Forward] Deductions Allowance for Doubtful Accounts Receivable, Write-offs Balance at beginning of period Balance at end of period Allowance for Doubtful Accounts Receivable Amortization of intangible assets Amortization of Intangible Assets Antidilutive Securities [Axis] Anti-dilutive weighted-average common stock equivalents excluded from the calculation of diluted net income (loss) per share Antidilutive Securities Excluded from Computation of Earnings Per Share [Line Items] Antidilutive Securities, Name [Domain] Total (in shares) Antidilutive Securities Excluded from Computation of Earnings Per Share, Amount Total assets Assets Current assets: Assets, Current [Abstract] Assets Assets [Abstract] Total current assets Assets, Current Assets, Fair Value Disclosure Cash equivalents Balance Sheet Components Basis of Presentation Basis of Accounting, Policy [Policy Text Block] Board of Directors Chairman [Member] Chief Strategy Officer and Chairman of the Board Business Acquisition [Axis] Notes payable Business Combination, Consideration Transferred, Liabilities Incurred Exercise price of options to purchase shares of common stock (in dollars per share) Business Acquisition, Share Price Acquisition Business Acquisition [Line Items] Acquired stock (as a percent) Business Acquisition, Percentage of Voting Interests Acquired Business Acquisition, Acquiree [Domain] Acquisition Purchase consideration Business Combination, Consideration Transferred Acquisition Business Combination Disclosure [Text Block] Cash and cash equivalents Cash and Cash Equivalents, at Carrying Value Cash and cash equivalents at beginning of period Cash and cash equivalents at end of period Cash and Cash Equivalents Cash and Cash Equivalents, Policy [Policy Text Block] Description of Business and Summary of Significant Accounting Policies Class of Stock [Line Items] Class of Warrant or Right [Axis] Class of Warrant or Right [Domain] Class of Warrant or Right, Number of Securities Called by Warrants or Rights Number of Shares Subject to Warrant Number of shares of common stock called by warrant Warrants to purchase common and preferred stock (in shares) Exercise Price (in dollars per share) Class of Warrant or Right, Exercise Price of Warrants or Rights Exercise price of warrant (in dollars per share) Class of Warrant or Right [Line Items] Warrants to purchase stock and preferred stock warrant liability Class of Stock [Domain] Class of Warrant or Right [Table] Commitments and Contingencies Commitments and contingencies Commitments and Contingencies. Commitments and Contingencies Commitments and Contingencies Disclosure [Text Block] Common stock, par value (in dollars per share) Common Stock, Par or Stated Value Per Share Common Stock [Member] Common Stock Common stock, $0.0001 par value; 127,836,592 and 500,000,000 shares authorized; 2,490,870 and 22,785,104 shares issued and outstanding at December 31, 2012 and December 31, 2013, respectively Common Stock, Value, Issued Common stock, shares issued Common Stock, Shares, Issued Common stock, shares authorized Common Stock, Shares Authorized Shares of common stock reserved for future issuance Common Stock, Capital Shares Reserved for Future Issuance Common stock, shares outstanding Common Stock, Shares, Outstanding Components of provision (benefit) for income taxes Components of Income Tax Expense (Benefit), Continuing Operations [Abstract] Deferred tax assets and (liabilities) Components of Deferred Tax Assets and Liabilities [Abstract] Comprehensive income (loss) Comprehensive Income (Loss), Net of Tax, Attributable to Parent Concentrations of Risk Concentration Risk, Credit Risk, Policy [Policy Text Block] Contract termination Contract Termination [Member] Conversion of redeemable convertible preferred stock to common stock Conversion of Stock, Amount Converted Conversion of shares to common stock Number of shares converted Conversion of Stock, Shares Converted Converted into one share of common stock Convertible Preferred Stock, Shares Issued upon Conversion Cost of Revenue Cost of Sales, Policy [Policy Text Block] Cost of Revenue Cost of revenue Cost of revenue Cost of Sales [Member] State Current State and Local Tax Expense (Benefit) Current: Current Income Tax Expense (Benefit), Continuing Operations [Abstract] Foreign Current Foreign Tax Expense (Benefit) Federal Current Federal Tax Expense (Benefit) Total current tax expense Current Income Tax Expense (Benefit) Variable interest rate basis Debt Instrument, Description of Variable Rate Basis Long-Term Obligations Debt Instrument [Line Items] Schedule of Long-term Debt Instruments [Table] Basis spread on variable rate (as a percent) Debt Instrument, Basis Spread on Variable Rate Long-Term Obligations Interest rate at the end of period (as a percent) Debt Instrument, Interest Rate at Period End Property, plant and equipment Deferred Tax Assets, Property, Plant and Equipment Deferred Tax Assets: Deferred Tax Assets, Net of Valuation Allowance [Abstract] Unrecognized deferred tax liabilities from temporary differences related to the investment in foreign subsidiary that would have been taxable if the Company repatriated the foreign earnings Deferred Tax Liability Not Recognized, Amount of Unrecognized Deferred Tax Liability, Undistributed Earnings of Foreign Subsidiaries Total deferred tax liabilities Deferred Tax Liabilities, Gross Federal Deferred Federal Income Tax Expense (Benefit) Deferred offering costs Deferred Offering Costs Capitalized offering costs associated with the IPO Deferred: Deferred Income Tax Expense (Benefit), Continuing Operations [Abstract] Foreign Deferred Foreign Income Tax Expense (Benefit) Deferred Income Tax Expense (Benefit) Total deferred tax benefit State Deferred State and Local Income Tax Expense (Benefit) Net deferred tax asset Deferred Tax Assets, Net Deferred revenue Deferred Revenue, Current Total deferred tax assets Deferred Tax Assets, Gross Stock-based compensation Deferred Tax Assets, Tax Deferred Expense, Compensation and Benefits, Share-based Compensation Cost Other Deferred Tax Assets, Other Reserves and accruals Deferred Tax Assets, Tax Deferred Expense, Reserves and Accruals Inventories Deferred Tax Assets, Inventory Total deferred tax assets, net Deferred Tax Assets, Net of Valuation Allowance Research and development credit carryforwards Deferred Tax Assets, Tax Credit Carryforwards, Research Net operating loss carryforwards Deferred Tax Assets, Operating Loss Carryforwards Valuation allowance Deferred Tax Assets, Valuation Allowance Deferred Tax Liabilities, Property, Plant and Equipment Property and equipment Deferred Tax Liabilities: Deferred Tax Liabilities, Gross [Abstract] Deferred Tax Liabilities, Undistributed Foreign Earnings Undistributed earnings of foreign subsidiaries Deposits Deposits Assets, Noncurrent Depreciation expense Depreciation Earnings Per Share, Basic and Diluted Net income (loss) per common share, basic and diluted (in dollars per share) Net Income (Loss) Per Share Earnings Per Share, Policy [Policy Text Block] Basic (in dollars per share) Earnings Per Share, Basic Diluted (in dollars per share) Earnings Per Share, Diluted Net income (loss) per common share: Earnings Per Share [Abstract] Effect of exchange rate changes on cash and cash equivalents Effect of Exchange Rate on Cash and Cash Equivalents, Continuing Operations Effective income tax rate (as a percent) Effective Income Tax Rate Reconciliation, Percent Reconciliation from the U.S. statutory federal income tax rate to the effective income tax rate Effective Income Tax Rate Reconciliation, Percent [Abstract] State taxes, net of federal benefit (as a percent) Effective Income Tax Rate Reconciliation, State and Local Income Taxes, Percent Change in valuation allowance (as a percent) Effective Income Tax Rate Reconciliation, Change in Deferred Tax Assets Valuation Allowance, Percent Effective Income Tax Rate Reconciliation, at Federal Statutory Income Tax Rate, Percent Federal income tax rate (as a percent) Meals and entertainment (as a percent) Effective Income Tax Rate Reconciliation, Nondeductible Expense, Meals and Entertainment, Percent Research and development credits (as a percent) Effective Income Tax Rate Reconciliation, Tax Credit, Research, Percent Stock-based compensation (as a percent) Effective Income Tax Rate Reconciliation, Nondeductible Expense, Share-based Compensation Cost, Percent Other, net (as a percent) Effective Income Tax Rate Reconciliation,Other Reconciling Items, Percent Deemed repatriation (as a percent) Effective Income Tax Rate Reconciliation, Repatriation of Foreign Earnings, Percent Compensation accruals Employee-related Liabilities, Current Total stock-based compensation expense Employee Service Share-based Compensation, Allocation of Recognized Period Costs [Line Items] Weighted-average period over which unrecognized compensation cost will be recognized Employee Service Share-based Compensation, Nonvested Awards, Compensation Cost Not yet Recognized, Period for Recognition Total unrecognized compensation cost related to non-vested stock option awards Employee Service Share-based Compensation, Nonvested Awards, Compensation Not yet Recognized, Stock Options Equity Component [Domain] Total Estimate of Fair Value Measurement [Member] Finite-lived intangible asset acquired Finite-lived Intangible Assets Acquired Measurement Frequency [Axis] Expected volatility (as a percent) Fair Value Assumptions, Expected Volatility Rate Fair Value, Liabilities Measured on Recurring Basis, Change in Unrealized Gain (Loss) Change in fair value of liability recorded in other expense Fair Value Measurements, Recurring and Nonrecurring [Table] Fair Value, Hierarchy [Axis] Liability Class [Axis] Fair value Fair Value, Net Asset (Liability) [Abstract] Implied interest rate (as a percent) Fair Value Inputs, Discount Rate Measured on a recurring basis Fair Value, Measurements, Recurring [Member] Fair Value, Measurement Frequency [Domain] Risk-free interest rate (as a percent) Fair Value Assumptions, Risk Free Interest Rate Asset Class [Axis] Warrant liability expense Fair Value Adjustment of Warrants Change in fair value of warrant liability recorded in other expense Fair Value by Liability Class [Domain] Remaining contractual term Fair Value Assumptions, Expected Term Assumptions used to estimate fair value of warrants Fair Value Assumptions and Methodology for Assets and Liabilities [Abstract] Assumptions used for calculation of fair value of the warrant Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items] Fair Value Measurements Dividend yield (as a percent) Fair Value Assumptions, Expected Dividend Rate Fair Value, Measurement with Unobservable Inputs Reconciliations, Recurring Basis, Liability Value Balance at the beginning of the period Balance at the end of the period Fair Value Measurements Fair Value Hierarchy [Domain] Asset Class [Domain] Fair Value of Financial Instruments Fair Value of Financial Instruments, Policy [Policy Text Block] Schedule of assumptions used for calculation of fair value of the warrant Fair Value, Assets and Liabilities Measured on Nonrecurring Basis, Valuation Techniques [Table Text Block] Fair Value Measurements Fair Value Disclosures [Text Block] Summary of change in value of the convertible preferred stock warrant liability Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Table Text Block] Level 3 Fair 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Acquisition (Details) (Technology company, USD $)
0 Months Ended
Jun. 21, 2013
Acquisition  
Purchase consideration $ 259,000
Exercise price of options to purchase shares of common stock (in dollars per share) $ 11.28
Future amortization expense of acquired identifiable intangible assets  
2014 96,000
2015 88,000
2016 $ 40,000
Minimum
 
Acquisition  
Estimated useful life of identifiable intangible assets 2 years
Maximum
 
Acquisition  
Estimated useful life of identifiable intangible assets 3 years
XML 14 R48.htm IDEA: XBRL DOCUMENT v2.4.0.8
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit) (Details 5) (Stock options, USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Intrinsic-value      
Options Exercised $ 1,315 $ 1,310 $ 2,400
Options Outstanding 56,197 23,480 9,110
Options Exercisable $ 42,116 $ 16,800 $ 7,100
Assumptions used to estimate fair value of stock options      
Expected volatility, minimum (as a percent) 56.00% 59.00% 71.00%
Expected volatility, maximum (as a percent) 59.00% 63.00% 73.00%
Expected dividends (as a percent) 0.00% 0.00% 0.00%
Risk-free rate, minimum (as a percent) 0.80% 0.70% 1.10%
Risk-free rate, maximum (as a percent) 1.70% 1.00% 2.50%
Forfeiture rate (as a percent) 7.20% 7.90% 11.60%
Minimum
     
Assumptions used to estimate fair value of stock options      
Expected term 3 years 3 months 18 days 5 years 5 years
Maximum
     
Assumptions used to estimate fair value of stock options      
Expected term 7 years 2 months 12 days 6 years 1 month 6 days 6 years 1 month 6 days
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Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit) (Details 3) (Stock options, USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Aug. 07, 2013
2013 Plan
Stock options          
Annual increase in shares authorized for issuance as a percentage of shares outstanding         5.00%
Shares Subject to Options Outstanding          
Balance at the beginning of the period (in shares) 4,649,238 4,352,704 3,373,112    
Granted (in shares) 480,698 715,205 1,988,044    
Exercised (in shares) (107,042) (245,349) (577,437)    
Expired (in shares) (27,772) (14,148) (186,736)    
Forfeited (in shares) (89,908) (159,174) (244,279)    
Balance at the end of the period (in shares) 4,905,214 4,649,238 4,352,704 3,373,112  
Exercisable options (in shares) 3,285,695 2,640,278      
Vested during the period (in shares) 845,965 824,083      
Vested and expected to vest at the end of the period (in shares) 4,544,942 4,280,084      
Non-vested options (in shares) 1,619,517 2,009,505      
Weighted Average Grant Date Fair Value          
Balance at the beginning of the period (in dollars per share) $ 3.33 $ 2.93 $ 2.02    
Granted (in dollars per share) $ 10.08 $ 5.31 $ 3.94    
Exercised (in dollars per share) $ 2.36 $ 1.92 $ 1.20    
Expired (in dollars per share) $ 3.43 $ 2.97 $ 2.39    
Forfeited (in dollars per share) $ 4.44 $ 3.63 $ 3.22    
Balance at the end of the period (in dollars per share) $ 3.95 $ 3.33 $ 2.93 $ 2.02  
Exercisable options (in dollars per share) $ 2.91 $ 2.50      
Vested during the period (in dollars per share) $ 4.08 $ 3.69      
Vested and expected to vest (in dollars per share) $ 3.82 $ 3.22      
Non-vested options (in dollars per share) $ 6.11 $ 4.37      
Weighted Average Exercise Price          
Balance at the beginning of the period (in dollars per share) $ 5.56 $ 4.79 $ 3.51    
Granted (in dollars per share) $ 13.20 $ 9.45 $ 6.19    
Exercised (in dollars per share) $ 4.17 $ 3.20 $ 2.08    
Expired (in dollars per share) $ 5.79 $ 4.91 $ 4.33    
Forfeited (in dollars per share) $ 7.14 $ 5.71 $ 5.30    
Balance at the end of the period (in dollars per share) $ 6.31 $ 5.56 $ 4.79 $ 3.51  
Exercisable options at the end of the period (in dollars per share) $ 4.88 $ 4.26      
Vested during the period (in dollars per share) $ 6.97 $ 5.93      
Vested and expected to vest (in dollars per share) $ 6.15 $ 5.41      
Non-vested options (in dollars per share) $ 9.22 $ 7.28      
Weighted-Average Remaining Contractual Life          
Outstanding options 6 years 4 months 24 days 7 years 2 months 12 days 7 years 7 months 6 days 6 years 10 months 24 days  
Exercisable options 5 years 6 months 5 years 9 months 18 days      
XML 17 R33.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies (Details 4) (USD $)
Share data in Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Numerator:      
Net income (loss) $ 3,503,000 $ (3,723,000) $ (3,885,000)
Denominator:      
Weighted average common stock outstanding for basic net income (loss) per common share (in shares) 10,609 2,360 1,923
Effect of dilutive securities-stock options, convertible preferred stock, and warrants to purchase common stock and preferred stock (in shares) 11,654    
Weighted average common shares and dilutive securities outstanding 22,263 2,360 1,923
Anti-dilutive weighted-average common stock equivalents excluded from the calculation of diluted net income (loss) per share      
Total (in shares) 357 20,346 19,914
Changes in the allowance for doubtful accounts      
Balance at beginning of period 643,000 651,000 619,000
Provision 159,000 184,000 283,000
Deductions (197,000) (192,000) (251,000)
Balance at end of period 605,000 643,000 651,000
Inventories      
Inventory write-downs 2,300,000 1,500,000 1,300,000
Anticipated loss on firm purchase commitments for components   1,800,000  
Gain related to inventory purchase commitments $ 380,000 $ (1,840,000)  
Convertible preferred stock
     
Anti-dilutive weighted-average common stock equivalents excluded from the calculation of diluted net income (loss) per share      
Total (in shares)   15,294 15,257
Options to purchase common stock
     
Anti-dilutive weighted-average common stock equivalents excluded from the calculation of diluted net income (loss) per share      
Total (in shares) 356 4,317 3,953
Warrants to purchase common stock
     
Anti-dilutive weighted-average common stock equivalents excluded from the calculation of diluted net income (loss) per share      
Total (in shares) 1 541 510
Warrants to purchase preferred stock
     
Anti-dilutive weighted-average common stock equivalents excluded from the calculation of diluted net income (loss) per share      
Total (in shares)   194 194
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Long-Term Obligations (Tables)
12 Months Ended
Dec. 31, 2013
Long-Term Obligations  
Schedule of future principal payments on outstanding term borrowings

Future principal payments on outstanding term borrowings as of December 31, 2013 are as follows (in thousands):

2014

  $ 1,138  

2015

    915  

2016

    727  

2017

    186  
       

 

  $ 2,966  
       
       
Schedule of future annual payments on the settlement obligations

 Future annual payments on the settlement obligations as of December 31, 2013 are shown in the table below (in thousands):

2014

  $ 940  

2015

    20  

2016

    20  
       

 

    980  

Less amount representing interest

    (33 )
       

Present value of settlement obligations

    947  

Less current portion of settlement obligations

    (907 )
       

Long-term portion of settlement obligations

  $ 40  
       
       
XML 20 R50.htm IDEA: XBRL DOCUMENT v2.4.0.8
Related Party Transactions (Details) (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Related Party Transactions      
Revenue from product sales $ 4,394,000 $ 6,030,000 $ 3,607,000
Accounts receivable 600,000 1,500,000  
Investors | Company 1
     
Related Party Transactions      
Revenue from product sales 2,889,000 2,142,000 995,000
Investors | Company 2
     
Related Party Transactions      
Revenue from product sales 950,000 1,290,000 2,134,000
Investors | Company 3
     
Related Party Transactions      
Revenue from product sales 426,000 791,000 478,000
Investors | Company 4
     
Related Party Transactions      
Revenue from product sales $ 129,000 $ 1,807,000  
XML 21 R42.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Details) (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Income (loss) before income taxes:      
Domestic $ 3,633,000 $ (4,055,000) $ (4,697,000)
Foreign 118,000 473,000 812,000
Income (loss) before income taxes 3,751,000 (3,582,000) (3,885,000)
Domestic      
Federal 64,000 15,000  
State 53,000 57,000  
Foreign 147,000 69,000  
Total current tax expense 264,000 141,000  
Domestic      
Federal 1,572,000 (710,000) (1,773,000)
State 44,000 (65,000) (280,000)
Foreign (16,000) 88,000 251,000
Valuation allowance (1,616,000) 687,000 1,802,000
Total deferred tax benefit (16,000)    
Total income tax expense 248,000 141,000  
Reconciliation from the U.S. statutory federal income tax rate to the effective income tax rate      
Federal income tax rate (as a percent) 34.00% (34.00%) (34.00%)
State taxes, net of federal benefit (as a percent) 1.10% 1.10% (4.10%)
Stock-based compensation (as a percent) 22.70% 15.00% 9.10%
Stock warrant (as a percent) 6.40%    
Research and development credits (as a percent) (18.30%)   (16.00%)
Change in valuation allowance (as a percent) (42.00%) 17.30% 46.40%
Other, net (as a percent) 2.70% 4.50% (1.40%)
Effective income tax rate (as a percent) 6.60% 3.90% 0.00%
Deferred Tax Assets:      
Reserves and accruals 2,146,000 3,396,000  
Inventories 1,059,000 606,000  
Net operating loss carryforwards 27,865,000 30,165,000  
Property, plant and equipment 1,327,000 1,054,000  
Stock-based compensation 1,233,000 783,000  
Research and development credit carryforwards 4,091,000 3,254,000  
Other 163,000 204,000  
Total deferred tax assets 37,884,000 39,462,000  
Valuation allowance (37,842,000) (39,462,000)  
Total deferred tax assets, net 42,000    
Deferred Tax Liabilities:      
Undistributed earnings of foreign subsidiaries (15,000)    
Property and equipment (11,000)    
Total deferred tax liabilities (26,000)    
Net deferred tax asset 16,000    
Reversal of valuation allowance for deferred tax assets   92,000  
Increase (decrease) in net valuation allowance $ (1,600,000) $ 700,000  
XML 22 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
Balance Sheet Components (Details 2) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2013
Dec. 31, 2012
Intangible assets, net    
Intangible assets, net $ 928 $ 926
Other assets    
Prepaid licensing 716 700
Deposits 404 187
Other assets total 1,120 887
Accrued liabilities    
Current portion of settlement obligations 907 2,229
Sales returns and warranty accruals 2,137 2,045
Compensation accruals 3,233 1,495
Other accrued liabilities 544 802
Total accrued liabilities 6,821 6,571
Acquired technology
   
Intangible assets, net    
Intangible assets, gross 1,678 1,357
Less: accumulated amortization (750) (431)
Intangible assets, net $ 928 $ 926
XML 23 R47.htm IDEA: XBRL DOCUMENT v2.4.0.8
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit) (Details 4) (Stock Options, USD $)
12 Months Ended
Dec. 31, 2013
Options Outstanding  
Number of Underlying Shares 4,905,214
Options Exercisable  
Number of Underlying Shares 3,285,695
0.26-1.30
 
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)  
Range of Exercise Price, low end of range (in dollars per share) $ 0.26
Range of Exercise Price, high end of range (in dollars per share) $ 1.30
Options Outstanding  
Weighted Average Exercise Price (in dollars per share) $ 0.57
Number of Underlying Shares 187,284
Weighted-Average Remaining Contractual Life 1 year
Options Exercisable  
Number of Underlying Shares 187,284
Weighted-Average Remaining Contractual Life 1 year
1.35-2.60
 
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)  
Range of Exercise Price, low end of range (in dollars per share) $ 1.35
Range of Exercise Price, high end of range (in dollars per share) $ 2.60
Options Outstanding  
Weighted Average Exercise Price (in dollars per share) $ 2.18
Number of Underlying Shares 473,347
Weighted-Average Remaining Contractual Life 2 years 6 months
Options Exercisable  
Number of Underlying Shares 473,347
Weighted-Average Remaining Contractual Life 2 years 6 months
2.65-3.90
 
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)  
Range of Exercise Price, low end of range (in dollars per share) $ 2.65
Range of Exercise Price, high end of range (in dollars per share) $ 3.90
Options Outstanding  
Weighted Average Exercise Price (in dollars per share) $ 3.23
Number of Underlying Shares 325,523
Weighted-Average Remaining Contractual Life 3 years 7 months 6 days
Options Exercisable  
Number of Underlying Shares 325,523
Weighted-Average Remaining Contractual Life 3 years 7 months 6 days
3.95-5.20
 
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)  
Range of Exercise Price, low end of range (in dollars per share) $ 3.95
Range of Exercise Price, high end of range (in dollars per share) $ 5.20
Options Outstanding  
Weighted Average Exercise Price (in dollars per share) $ 4.87
Number of Underlying Shares 941,827
Weighted-Average Remaining Contractual Life 5 years 2 months 12 days
Options Exercisable  
Number of Underlying Shares 937,785
Weighted-Average Remaining Contractual Life 5 years 2 months 12 days
5.25-6.50
 
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)  
Range of Exercise Price, low end of range (in dollars per share) $ 5.25
Range of Exercise Price, high end of range (in dollars per share) $ 6.50
Options Outstanding  
Weighted Average Exercise Price (in dollars per share) $ 6.19
Number of Underlying Shares 1,686,513
Weighted-Average Remaining Contractual Life 7 years 8 months 12 days
Options Exercisable  
Number of Underlying Shares 1,033,886
Weighted-Average Remaining Contractual Life 7 years 8 months 12 days
6.55-7.80
 
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)  
Range of Exercise Price, low end of range (in dollars per share) $ 6.55
Range of Exercise Price, high end of range (in dollars per share) $ 7.80
Options Outstanding  
Weighted Average Exercise Price (in dollars per share) $ 7.49
Number of Underlying Shares 118,947
Weighted-Average Remaining Contractual Life 6 years 6 months
Options Exercisable  
Number of Underlying Shares 100,620
Weighted-Average Remaining Contractual Life 6 years 6 months
7.85-9.10
 
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)  
Range of Exercise Price, low end of range (in dollars per share) $ 7.85
Range of Exercise Price, high end of range (in dollars per share) $ 9.10
Options Outstanding  
Weighted Average Exercise Price (in dollars per share) $ 8.84
Number of Underlying Shares 238,451
Weighted-Average Remaining Contractual Life 8 years 6 months
Options Exercisable  
Number of Underlying Shares 94,534
Weighted-Average Remaining Contractual Life 8 years 6 months
9.15-22.77
 
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)  
Range of Exercise Price, low end of range (in dollars per share) $ 9.15
Range of Exercise Price, high end of range (in dollars per share) $ 22.77
Options Outstanding  
Weighted Average Exercise Price (in dollars per share) $ 11.54
Number of Underlying Shares 933,322
Weighted-Average Remaining Contractual Life 8 years 8 months 12 days
Options Exercisable  
Number of Underlying Shares 132,716
Weighted-Average Remaining Contractual Life 8 years 10 months 24 days
XML 24 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Operating activities      
Net income (loss) $ 3,503 $ (3,723) $ (3,885)
Adjustments to reconcile net income (loss) to net cash (used in) provided by operating activities:      
Depreciation expense 2,201 1,714 1,615
Amortization of intangible assets 319 271 139
Provision for doubtful accounts 159 184 283
Loss (gain) on inventory purchase commitment (380) 1,840  
Loss on disposal of property and equipment   107  
Stock-based compensation 3,760 2,869 2,013
Warrant liability expense 709 254 (227)
Changes in assets and liabilities:      
Accounts receivable (2,104) (2,600) (2,645)
Inventories (2,723) (4,858) 2,323
Prepaid expenses and other current assets 111 (352) 396
Other assets (233) (823) 155
Accounts payable (1,221) 4,622 (975)
Accrued liabilities 620 2,117 882
Deferred revenue 102 (10) (95)
Other long-term liabilities (1,155) (621) (565)
Net cash (used in) provided by operating activities 3,668 991 (586)
Investing activities      
Purchases of property and equipment (3,470) (2,360) (1,264)
Business acquisition (147)   (725)
Net cash used in investing activities (3,617) (2,360) (1,989)
Financing activities      
Net proceeds from issuance of redeemable convertible preferred stock and common stock warrants     19,789
Proceeds from issuance of common stock, net of issuance costs 65,556    
Proceeds from exercise of options for common stock 446 785 1,204
Net repayment of revolving line of credit     (6,314)
Proceeds from notes payable 1,145 1,876 1,064
Repayment of notes payable (1,338) (1,037) (744)
Net cash provided by financing activities 65,809 1,624 14,999
Effect of exchange rate changes on cash and cash equivalents (9) (28) (10)
Net increase in cash and cash equivalents 65,851 227 12,414
Cash and cash equivalents at beginning of period 18,695 18,468 6,054
Cash and cash equivalents at end of period 84,546 18,695 18,468
Supplemental disclosure of cash flow information      
Cash paid for interest 461 278 396
Cash paid for taxes 153 26  
Supplemental schedule of non-cash investing and financing activities      
Options for common stock granted in connection with a business acquisition 174    
Elimination of liability upon net exercise of warrants to purchase preferred stock 1,310    
Conversion of redeemable convertible preferred stock to common stock $ 116,313    
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Income Taxes (Details 2) (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2011
Net operating loss and tax credit carryforwards    
Unrecorded tax benefits for stock-based compensation $ 2,700,000  
Reconciliation of the changes in the gross balance of unrecognized tax benefits, excluding interest and penalties    
Balance at the beginning of the period 2,318,000 1,862,000
Current year additions 625,000 456,000
Balance at the end of the period 2,943,000 2,318,000
Unrecognized tax benefits that would, if recognized, impact the Company's effective income tax rate 2,900,000  
Minimum period for which net operating loss and credit carryforwards are subject to examinations and adjustments 3 years  
Undistributed foreign earning 800,000  
Unrecognized deferred tax liabilities from temporary differences related to the investment in foreign subsidiary that would have been taxable if the Company repatriated the foreign earnings 300,000  
Federal
   
Net operating loss and tax credit carryforwards    
Net operating losses 77,435,000  
Tax credit carryforwards 3,158,000  
State
   
Net operating loss and tax credit carryforwards    
Net operating losses 75,640,000  
Tax credit carryforwards 1,413,000  
Foreign
   
Net operating loss and tax credit carryforwards    
Net operating losses $ 21,000  

XML 27 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies (Tables)
12 Months Ended
Dec. 31, 2013
Commitments and Contingencies  
Schedule of future minimum rental payments required under non-cancelable operating leases

Future minimum rental payments required under non-cancelable operating leases with initial or remaining terms in excess of one year consist of the following as of December 31, 2013 (in thousands):

2014

  $ 1,613  

2015

    1,620  

2016

    1,504  

2017

    1,283  

2018

    697  

Thereafter

     
       

 

  $ 6,717  
       
       
XML 28 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
Related Party Transactions (Tables)
12 Months Ended
Dec. 31, 2013
Related Party Transactions  
Schedule of revenue from product sales to companies affiliated with investors

The following table sets forth revenue from product sales to companies affiliated with these investors (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Company 1

  $ 995   $ 2,142   $ 2,889  

Company 2

    2,134     1,290     950  

Company 3

    478     791     426  

Company 4

        1,807     129  
               

 

  $ 3,607   $ 6,030   $ 4,394  
               
               
XML 29 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit) (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
12 Months Ended 0 Months Ended 0 Months Ended 0 Months Ended 0 Months Ended 0 Months Ended 0 Months Ended 0 Months Ended 0 Months Ended 0 Months Ended 0 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Aug. 07, 2013
Redeemable convertible preferred stock
Dec. 31, 2012
Redeemable convertible preferred stock
Dec. 31, 2011
Redeemable convertible preferred stock
Dec. 31, 2010
Redeemable convertible preferred stock
Aug. 07, 2013
Series A
Dec. 31, 2012
Series A
Aug. 07, 2013
Series B
Dec. 31, 2012
Series B
Aug. 07, 2013
Series C
Dec. 31, 2012
Series C
Aug. 07, 2013
Series D
Dec. 31, 2012
Series D
Aug. 07, 2013
Series E
Dec. 31, 2012
Series E
Aug. 07, 2013
Series F
Dec. 31, 2012
Series F
Aug. 07, 2013
Series G
Dec. 31, 2012
Series G
Aug. 07, 2013
Series G - 1
Dec. 31, 2012
Series G - 1
Aug. 07, 2013
Series H
Dec. 31, 2012
Series H
Redeemable Convertible Preferred Stock                                                
Number of shares converted     15,293,960                                          
Conversion of shares to common stock $ 116,313   $ 116,300                                          
Converted into one share of common stock     1                                          
Carrying value of redeemable preferred stock   116,313 116,300 116,313 116,313 97,670                                    
Shares Authorized 0 83,163,408 83,163,408       8,150,000 8,150,000 18,124,230 18,124,230 14,215,791 14,215,791 7,789,215 7,789,215 5,045,662 5,045,662 5,988,024 5,988,024 8,677,338 8,677,338 2,073,148 2,073,148 13,100,000 13,100,000
Shares Issued 0 15,293,960 15,293,960 15,293,960 15,293,960 13,279,319 1,567,306 1,567,306 3,485,425 3,485,425 2,726,476 2,726,476 1,497,921 1,497,921 965,927 965,927 1,151,542 1,151,542 1,668,707 1,668,707 216,015 216,015 2,014,641 2,014,641
Shares Outstanding 0 15,293,960 15,293,960       1,567,306 1,567,306 3,485,425 3,485,425 2,726,476 2,726,476 1,497,921 1,497,921 965,927 965,927 1,151,542 1,151,542 1,668,707 1,668,707 216,015 216,015 2,014,641 2,014,641
Aggregate Liquidation Preference $ 0 $ 118,150 $ 118,150       $ 4,075 $ 4,075 $ 14,735 $ 14,735 $ 15,000 $ 15,000 $ 15,890 $ 15,890 $ 11,000 $ 11,000 $ 20,000 $ 20,000 $ 15,450 $ 15,450 $ 2,000 $ 2,000 $ 20,000 $ 20,000
Dividend rate per share per year (in dollars per share)             $ 0.21   $ 0.34   $ 0.44   $ 0.85   $ 0.91   $ 1.39   $ 0.74   $ 0.74   $ 0.79  
Preferred stock dividend declared (in dollars per share) $ 0                                              
XML 30 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies (Details) (USD $)
0 Months Ended 12 Months Ended
Aug. 07, 2013
Jul. 18, 2013
Dec. 31, 2013
item
IPO      
Common stock sold and issued in IPO (in shares) 4,600,000    
Common stock price (in dollars per share) $ 16.00    
Gross proceeds from the IPO $ 73,600,000    
Net proceeds from IPO 65,600,000   65,556,000
Underwriting discounts and commissions 5,200,000    
Offering expenses $ 2,800,000    
Stock Split      
Reverse stock split of outstanding common stock   0.1923  
Segment Reporting      
Number of operating segments     1
XML 31 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies (Details 2) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Revenue from U.S., Canadian and all other international dealers and distributors combined      
Total revenue $ 128,511 $ 109,512 $ 93,376
International revenue (excluding Canada) as a percent of total revenue 22.00% 25.00% 21.00%
United States
     
Revenue from U.S., Canadian and all other international dealers and distributors combined      
Total revenue 85,525 69,957 63,625
Canada
     
Revenue from U.S., Canadian and all other international dealers and distributors combined      
Total revenue 14,079 12,453 10,480
All other international sources
     
Revenue from U.S., Canadian and all other international dealers and distributors combined      
Total revenue $ 28,907 $ 27,102 $ 19,271
XML 32 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF REDEEMABLE CONVERTIBLE PREFERRED STOCK AND STOCKHOLDERS' EQUITY (DEFICIT) (Parenthetical) (USD $)
In Thousands, unless otherwise specified
1 Months Ended
Feb. 28, 2011
CONSOLIDATED STATEMENTS OF REDEEMABLE CONVERTIBLE PREFERRED STOCK AND STOCKHOLDERS' EQUITY (DEFICIT)  
Issuance of Series H redeemable convertible preferred stock for cash in February 2011, issuance costs $ 211
XML 33 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies (Details 3) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Product Warranty      
Product warranty period 2 years    
Changes in the product warranty liability      
Balance at beginning of period $ 1,155 $ 1,030 $ 775
Warranty costs accrued 1,025 1,050 727
Warranty claims (967) (925) (472)
Balance at end of period $ 1,213 $ 1,155 $ 1,030
XML 34 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
Intangible Assets (Details) (USD $)
12 Months Ended
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2013
Dec. 31, 2012
Intangible assets        
Number of shares of common stock called by warrant     11,715 735,616
Fair value of warrant       $ 601,000
Amortization of finite-lived intangible assets        
Intangible assets, net     928,000 926,000
Acquired software technology
       
Intangible assets        
Final purchase price of acquired intangible assets 700,000 600,000    
Estimated life of intangible assets 5 years 5 years    
Cash payment for acquisition of intangible assets   300,000    
Fair value of warrant   300,000    
Finite-lived intangible asset acquired 700,000 600,000    
Amortization of finite-lived intangible assets        
2014     392,000  
2015     363,000  
2016     173,000  
Intangible assets, net     928,000 926,000
Acquired software technology | Common stock warrants
       
Intangible assets        
Number of shares of common stock called by warrant   71,153    
Acquired software technology | Minimum
       
Intangible assets        
Purchase price per agreement 700,000      
Acquired software technology | Maximum
       
Intangible assets        
Purchase price per agreement $ 2,000,000      
XML 35 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED BALANCE SHEETS (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2013
Dec. 31, 2012
Current assets:    
Cash and cash equivalents $ 84,546 $ 18,695
Accounts receivable, net 15,064 13,078
Inventories 15,312 12,515
Prepaid expenses and other current assets 1,773 1,871
Total current assets 116,695 46,159
Property and equipment, net 3,943 2,666
Intangible assets, net 928 926
Other assets 1,120 887
Total assets 122,686 50,638
Current liabilities:    
Accounts payable 13,314 14,435
Accrued liabilities 6,821 6,571
Deferred revenue 644 542
Current portion of notes payable 1,138 1,321
Total current liabilities 21,917 22,869
Notes payable 1,828 1,838
Warrant liability   601
Other long-term liabilities 467 1,620
Total liabilities 24,212 26,928
Commitments and contingencies      
Redeemable convertible preferred stock, $0.0001 par value; 83,163,408 and no shares authorized; 15,293,960 and no shares issued and outstanding at December 31, 2012 and December 31, 2013, respectively; aggregate liquidation preference of $118,150 and $0 at December 31, 2012 and December 31, 2013, respectively   116,313
Stockholders' equity (deficit):    
Preferred stock, $0.0001 par value, no and 25,000,000 shares authorized; no shares issued and outstanding at December 31, 2012 and December 31, 2013, respectively      
Common stock, $0.0001 par value; 127,836,592 and 500,000,000 shares authorized; 2,490,870 and 22,785,104 shares issued and outstanding at December 31, 2012 and December 31, 2013, respectively 2  
Additional paid-in capital 200,545 12,988
Accumulated deficit (102,084) (105,587)
Accumulated other comprehensive income (loss) 11 (4)
Total stockholders' equity (deficit) 98,474 (92,603)
Total liabilities, redeemable convertible preferred stock and stockholders' equity (deficit) $ 122,686 $ 50,638
XML 36 R45.htm IDEA: XBRL DOCUMENT v2.4.0.8
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit) (Details 2) (USD $)
In Thousands, except Share data, unless otherwise specified
0 Months Ended 12 Months Ended 12 Months Ended 0 Months Ended
Aug. 07, 2013
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2012
Common stock warrants
Transaction 1
Dec. 31, 2012
Common stock warrants
Transaction 2
Dec. 31, 2013
Common stock warrants
Transaction 3
Dec. 31, 2013
Common stock warrants
Transaction 4
Dec. 31, 2013
Preferred stock warrants
Dec. 31, 2012
Preferred stock warrants
Dec. 31, 2012
Preferred stock warrants
Series C redeemable convertible preferred stock
Dec. 31, 2012
Preferred stock warrants
Series E redeemable convertible preferred stock
Aug. 07, 2013
Preferred stock warrants
Series G-1 redeemable convertible preferred stock
Dec. 31, 2012
Preferred stock warrants
Series G-1 redeemable convertible preferred stock
Dec. 31, 2009
Preferred stock warrants
Series G-1 redeemable convertible preferred stock
Warrants to purchase stock and preferred stock warrant liability                              
Number of Shares Subject to Warrant   11,715 735,616   71,153 470,082 7,325 4,390     7,325 4,390   182,666 182,666
Exercise Price (in dollars per share)         $ 7.49 $ 9.93 $ 5.50 $ 11.39     $ 5.50 $ 11.39   $ 9.26 $ 9.26
Number of warrants exercised to purchase shares of common and preferred stock (in shares) 723,901                            
Common stock, shares issued to warrant holders upon net exercise 293,232                       76,964    
Fair value of warrant     $ 601                   $ 1,300   $ 400
Offering price (in dollars per share) $ 16.00                            
Change in fair value of warrant liability recorded in other expense   $ 709 $ 254 $ (227)         $ 300 $ 700          
XML 37 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF REDEEMABLE CONVERTIBLE PREFERRED STOCK AND STOCKHOLDERS' EQUITY (DEFICIT) (USD $)
In Thousands, except Share data, unless otherwise specified
Total
Common Stock
Additional Paid-In Capital
Accumulated Deficit
Accumulated Other Comprehensive (Loss) Income
Balance at Dec. 31, 2010 $ (92,974)   $ 4,971 $ (97,979) $ 34
Balance (in shares) at Dec. 31, 2010   1,664,044      
Increase (Decrease) in Stockholders' Equity          
Net income (loss) (3,885)     (3,885)  
Other comprehensive income (loss) (10)       (10)
Issuance of common stock warrants 1,146   1,146    
Stock-based compensation 1,988   1,988    
Issuance of common stock upon exercise of stock options 1,204   1,204    
Issuance of common stock upon exercise of stock options (in shares)   577,437      
Issuance of common stock in exchange for services 25   25    
Issuance of common stock in exchange for services (in shares)   4,040      
Balance at Dec. 31, 2011 (92,506)   9,334 (101,864) 24
Balance (in shares) at Dec. 31, 2011   2,245,521      
Increase (Decrease) in Stockholders' Equity          
Net income (loss) (3,723)     (3,723)  
Other comprehensive income (loss) (28)       (28)
Stock-based compensation 2,869   2,869    
Issuance of common stock upon exercise of stock options 785   785    
Issuance of common stock upon exercise of stock options (in shares)   245,349      
Balance at Dec. 31, 2012 (92,603)   12,988 (105,587) (4)
Balance (in shares) at Dec. 31, 2012   2,490,870      
Increase (Decrease) in Stockholders' Equity          
Net income (loss) 3,503     3,503  
Other comprehensive income (loss) 15       15
Stock-based compensation 3,760   3,760    
Issuance of common stock options in connection with a business acquisition 174   174    
Conversion of redeemable convertible preferred stock into common stock 116,313 2 116,311    
Conversion of redeemable convertible preferred stock into common stock (in shares)   15,293,960      
Issuance of common stock, net of issuance costs 65,556   65,556    
Issuance of common stock, net of issuance costs (in shares)   4,600,000      
Issuance of common stock upon net exercise of common stock warrants (in shares)   293,232      
Reclassification of redeemable convertible preferred stock warrant liability upon conversion to preferred stock 1,310   1,310    
Issuance of common stock upon exercise of stock options 446   446    
Issuance of common stock upon exercise of stock options (in shares)   107,042      
Balance at Dec. 31, 2013 $ 98,474 $ 2 $ 200,545 $ (102,084) $ 11
Balance (in shares) at Dec. 31, 2013   22,785,104      
XML 38 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies (Details 6)
12 Months Ended
Dec. 31, 2013
Stock-Based Compensation  
Vesting period 4 years
Percentage of period from the vesting date added for determination of weighted average expected life 50.00%
XML 39 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
Balance Sheet Components (Tables)
12 Months Ended
Dec. 31, 2013
Balance Sheet Components  
Schedule of inventories

Inventories consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Finished goods

  $ 12,306   $ 14,061  

Component parts

    209     1,251  
           

 

  $ 12,515   $ 15,312  
           
           
Schedule of property and equipment, net

 Property and equipment, net consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Computer equipment and software

  $ 3,518   $ 4,152  

Manufacturing tooling and test equipment

    2,731     2,652  

Furniture and fixtures

    1,801     2,046  

Lab and warehouse equipment

    1,974     2,374  

Marketing equipment

    419     604  

Leasehold improvements

    803     1,450  
           

 

    11,246     13,278  

Less: accumulated depreciation

    (8,580 )   (9,335 )
           

 

  $ 2,666   $ 3,943  
           
           
Schedule of intangible assets, net

 Intangible assets, net consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Acquired technology

  $ 1,357   $ 1,678  

Less: accumulated amortization

    (431 )   (750 )
           

 

  $ 926   $ 928  
           
           
Schedule of other assets

Other assets consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Prepaid licensing

  $ 700   $ 716  

Deposits

    187     404  
           

 

  $ 887   $ 1,120  
           
           
Schedule of accrued liabilities

Accrued liabilities consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Current portion of settlement obligations (see Note 6)

  $ 2,229   $ 907  

Sales returns and warranty accruals

    2,045     2,137  

Compensation accruals

    1,495     3,233  

Other accrued liabilities

    802     544  
           

 

  $ 6,571   $ 6,821  
           
           
XML 40 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
Balance Sheet Components (Details) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2013
Dec. 31, 2012
Inventories    
Finished goods $ 14,061 $ 12,306
Component parts 1,251 209
Total inventories 15,312 12,515
Property and equipment, net    
Property and equipment, gross 13,278 11,246
Less: accumulated depreciation (9,335) (8,580)
Property and equipment, net 3,943 2,666
Computer equipment and software
   
Property and equipment, net    
Property and equipment, gross 4,152 3,518
Manufacturing tooling and test equipment
   
Property and equipment, net    
Property and equipment, gross 2,652 2,731
Furniture and fixtures
   
Property and equipment, net    
Property and equipment, gross 2,046 1,801
Lab and warehouse equipment
   
Property and equipment, net    
Property and equipment, gross 2,374 1,974
Marketing equipment
   
Property and equipment, net    
Property and equipment, gross 604 419
Leasehold improvements
   
Property and equipment, net    
Property and equipment, gross $ 1,450 $ 803
XML 41 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
Intangible Assets (Tables)
12 Months Ended
Dec. 31, 2013
Intangible Assets  
Schedule of amortization of finite-lived intangible assets

 

 

2014

  $ 392  

2015

    363  

2016

    173  
       

 

  $ 928  
       
       
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CONSOLIDATED STATEMENTS OF REDEEMABLE CONVERTIBLE PREFERRED STOCK AND STOCKHOLDERS' EQUITY (DEFICIT) (Temporary Equity) (USD $)
In Thousands, except Share data, unless otherwise specified
Total
Redeemable Convertible Preferred Stock
Balance at Dec. 31, 2010   $ 97,670
Balance (in shares) at Dec. 31, 2010   13,279,319
Increase (Decrease) in Stockholders' Equity    
Issuance of Series H redeemable convertible preferred stock for cash in February 2011, net of issuance costs of $211   18,643
Issuance of Series H redeemable convertible preferred stock for cash in February 2011, net of issuance costs of $211 (in shares)   2,014,641
Balance at Dec. 31, 2011   116,313
Balance (in shares) at Dec. 31, 2011   15,293,960
Balance at Dec. 31, 2012 116,313 116,313
Balance (in shares) at Dec. 31, 2012 15,293,960 15,293,960
Increase (Decrease) in Stockholders' Equity    
Conversion of redeemable convertible preferred stock into common stock $ 116,313 $ (116,313)
Conversion of redeemable convertible preferred stock into common stock (in shares)   (15,293,960)
Balance (in shares) at Dec. 31, 2013 0  
XML 44 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED BALANCE SHEETS (Parenthetical) (USD $)
In Thousands, except Share data, unless otherwise specified
Dec. 31, 2013
Dec. 31, 2012
CONSOLIDATED BALANCE SHEETS    
Redeemable convertible preferred stock, par value (in dollars per share) $ 0.0001 $ 0.0001
Redeemable convertible preferred stock, shares authorized 0 83,163,408
Redeemable convertible preferred stock, shares issued 0 15,293,960
Redeemable convertible preferred stock, shares outstanding 0 15,293,960
Redeemable convertible preferred stock, aggregate liquidation preference value (in dollars) $ 0 $ 118,150
Preferred stock, par value (in dollars per share) $ 0.0001 $ 0.0001
Preferred stock, shares authorized 25,000,000 0
Preferred stock, shares issued 0 0
Preferred stock, shares outstanding 0 0
Common stock, par value (in dollars per share) $ 0.0001 $ 0.0001
Common stock, shares authorized 500,000,000 127,836,592
Common stock, shares issued 22,785,104 2,490,870
Common stock, shares outstanding 22,785,104 2,490,870
XML 45 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)
12 Months Ended
Dec. 31, 2013
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)  
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)

8. Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)

Redeemable Convertible Preferred Stock

        Upon closing of the Company's initial public offering, the 15,293,960 shares of issued and outstanding redeemable convertible preferred stock were converted into common stock. Each share of redeemable convertible preferred stock, shown as issued and outstanding in the table below, was converted into one share of common stock. The carrying value of the redeemable preferred stock at August 7, 2013 of $116.3 million was reclassified to common stock and additional paid-in capital.

        Redeemable convertible preferred stock consisted of the following at December 31, 2012 and August 7, 2013 (in thousands, except share data):

 
  Shares
Authorized
  Shares
Issued and
Outstanding
  Aggregate
Liquidation
Preference
 

Series A

    8,150,000     1,567,306   $ 4,075  

Series B

    18,124,230     3,485,425     14,735  

Series C

    14,215,791     2,726,476     15,000  

Series D

    7,789,215     1,497,921     15,890  

Series E

    5,045,662     965,927     11,000  

Series F

    5,988,024     1,151,542     20,000  

Series G

    8,677,338     1,668,707     15,450  

Series G-1

    2,073,148     216,015     2,000  

Series H

    13,100,000     2,014,641     20,000  
               

 

    83,163,408     15,293,960   $ 118,150  
               
               

        Prior to their conversion, the Series A, Series B, Series C, Series D, Series E, Series F, Series G, Series G-1 and Series H redeemable convertible preferred stockholders were entitled to receive, when, as and if declared by the Company's Board of Directors, dividends at a rate of $0.21, $0.34, $0.44, $0.85, $0.91, $1.39, $0.74, $0.74, and $0.79 per share per year, respectively. To the extent that additional dividends were declared by the Board of Directors, those amounts would have been distributed equally among the Preferred Stockholders and common stockholders. As of December 31, 2013, no dividends had been declared by the Board of Directors.

Warrants to Purchase Stock and Preferred Stock Warrant Liability

        Warrants to purchase common and preferred stock are summarized in the following table:

 
  Number of Shares Subject to Warrant  
 
  December 31,
2012
  December 31,
2013
  Exercise Price  

Warrants to purchase shares of common stock

    71,153       $ 7.49  

Warrants to purchase shares of common stock

    470,082         9.93  

Warrants to purchase Series C redeemable convertible preferred stock(1)

    7,325         5.50  

Warrants to purchase Series E redeemable convertible preferred stock(1)

    4,390         11.39  

Warrants to purchase shares of common stock(1)

        7,325     5.50  

Warrants to purchase shares of common stock(1)

        4,390     11.39  

Warrants to purchase Series G-1 redeemable convertible preferred stock

    182,666         9.26  
                 

 

    735,616     11,715        
                 
                 

(1)
Warrants to purchase Series C and Series E redeemable convertible preferred stock were converted into warrants to purchase shares of common stock upon the closing of the Company's initial public offering.

        Upon the closing of the Company's initial public offering, warrants to purchase 723,901 shares of the Company's common and preferred stock were net exercised, and the Company issued 293,232 shares of common stock to the holders of the warrants.

        In 2009, the Series G-1 investors received warrants to purchase 182,666 shares of Series G-1 redeemable convertible preferred stock at a price of $9.26 per share. The warrants became immediately exercisable upon the closing of the Series G-1 financing and the fair value of $0.4 million was recorded as a liability with the offsetting charge to expense. Because the holders of the preferred stock were able to elect to redeem the shares for cash, the Company's outstanding preferred stock warrants were classified as liabilities and were revalued at the end of each reporting period using the Black-Scholes option-pricing valuation model. Changes in fair value were reflected in the Company's statements of operations as other income or expense. Upon the effective date of the Company's initial public offering, the Company adjusted the liability based upon the offering price of $16.00 per share. During the years ended December 31, 2012 and 2013, the change in fair value for the redeemable preferred stock warrant liability of $0.3 million and $0.7 million were recorded to other expense.

        As discussed above, upon the closing of the Company's initial public offering, the warrants to purchase shares of the Company's redeemable convertible preferred stock were net exercised. Of the 293,232 shares issued, the Company issued 76,964 shares of common stock to the warrant holder of Series G-1 redeemable convertible preferred stock. The then-current aggregate fair value of the warrant liability of $1.3 million was reclassified from long-term liabilities to additional paid-in capital, a component of stockholders' equity, and the Company ceased to record any further periodic fair value adjustments relating to the warrant liability.

Stock Options

        In 2003, the Board of Directors adopted the 2003 Equity Incentive Plan (the "2003 Plan"), which provided for the granting of nonqualified and incentive stock options, stock appreciation rights, stock awards and restricted stock. Under the 2003 Plan, the Company was able to grant nonqualified and incentive stock options to directors, employees and non-employees providing services to the Company. On June 11, 2013, the Company's Board of Directors adopted the 2013 Stock Option and Incentive Plan (the "2013 Plan"), which was subsequently approved by the Company's stockholders. The 2013 Plan became effective as of the closing of the Company's initial public offering. To the extent that any awards outstanding under the 2003 Plan are forfeited or lapse unexercised subsequent to August 1, 2013, the shares of common stock subject to such awards will become available for issuance under the 2013 Plan. The 2013 Plan provides for annual increases in the number of reserved shares of up to 5% of the outstanding number of shares of the Company's Common Stock.

        A summary of stock option activity for the years ended December 31, 2011, 2012 and 2013 is presented below:

 
  Shares Subject
to Options
Outstanding
  Weighted
Average
Grant Date
Fair Value
  Weighted
Average
Exercise Price
  Weighted
Average
Remaining
Contractual
Life (Years)
 

Balance at December 31, 2010

    3,373,112     2.02     3.51     6.9  

Granted

    1,988,044     3.94     6.19        

Exercised

    (577,437 )   1.20     2.08        

Expired

    (186,736 )   2.39     4.33        

Forfeited

    (244,279 )   3.22     5.30        
                     

Balance at December 31, 2011

    4,352,704     2.93     4.79     7.6  

Granted

    715,205     5.31     9.45        

Exercised

    (245,349 )   1.92     3.20        

Expired

    (14,148 )   2.97     4.91        

Forfeited

    (159,174 )   3.63     5.71        
                     

Balance at December 31, 2012

    4,649,238     3.33     5.56     7.2  

Granted

    480,698     10.08     13.20        

Exercised

    (107,042 )   2.36     4.17        

Expired

    (27,772 )   3.43     5.79        

Forfeited

    (89,908 )   4.44     7.14        
                     

Balance at December 31, 2013

    4,905,214   $ 3.95   $ 6.31     6.4  
                     
                     

Exercisable options at December 31, 2012

    2,640,278   $ 2.50   $ 4.26     5.8  

Vested during the year ended December 31, 2012

    824,083     3.69     5.93        

Vested and expected to vest at December 31, 2012

    4,280,084     3.22     5.41        

Non-vested options at December 31, 2012

    2,009,505     4.37     7.28        

Exercisable options at December 31, 2013

    3,285,695     2.91     4.88     5.5  

Vested during the year ended December 31, 2013

    845,965     4.08     6.97        

Vested and expected to vest at December 31, 2013

    4,544,942     3.82     6.15        

Non-vested options at December 31, 2013

    1,619,517     6.11     9.22        

        The following table summarizes information about stock options outstanding and exercisable at December 31, 2013:

 
  Options Outstanding   Options Exercisable  
Range of Exercise Prices
  Weighted
Average
Exercise
Price
  Number of
Underlying
Shares
  Weighted-
Average
Remaining
Contractual
Life (in years)
  Number of
Underlying
Shares
  Weighted-
Average
Remaining
Contractual
Life (in years)
 

$0.26 - 1.30

  $ 0.57     187,284     1.0     187,284     1.0  

1.35 - 2.60

    2.18     473,347     2.5     473,347     2.5  

2.65 - 3.90

    3.23     325,523     3.6     325,523     3.6  

3.95 - 5.20

    4.87     941,827     5.2     937,785     5.2  

5.25 - 6.50

    6.19     1,686,513     7.7     1,033,886     7.7  

6.55 - 7.80

    7.49     118,947     6.5     100,620     6.5  

7.85 - 9.10

    8.84     238,451     8.5     94,534     8.5  

9.15 - 22.77

    11.54     933,322     8.7     132,716     8.9  
                             

 

          4,905,214           3,285,695        
                             
                             

        The following table summarizes the aggregate intrinsic-value of options exercised, outstanding and exercisable (in thousands):

 
  For the Years Ended and as of
December 31,
 
 
  2011   2012   2013  

Options Exercised

  $ 2,400   $ 1,310   $ 1,315  

Options Outstanding

    9,110     23,480     56,197  

Options Exercisable

    7,100     16,800     42,116  

        The fair value of each option award is estimated on the date of grant using the Black-Scholes option-pricing model with the following assumptions:

 
  Years Ended December 31,
 
  2011   2012   2013

Expected volatility

  71 - 73%   59 - 63%   56 - 59%

Expected dividends

  0%   0%   0%

Expected terms (in years)

  5.0 - 6.1   5.0 - 6.1   3.3 - 7.2

Risk-free rate

  1.1 - 2.5%   0.7 - 1.0%   0.8 - 1.7%

Forfeiture rate

  11.6%   7.9%   7.2%

        Total stock-based compensation expense has been classified as follows in the accompanying statements of operations (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Cost of revenue

  $ 49   $ 78   $ 63  

Research and development

    492     704     1,414  

Sales and marketing

    523     580     743  

General and administrative

    949     1,507     1,540  
               

Total stock-based compensation expense

  $ 2,013   $ 2,869   $ 3,760  
               
               

        At December 31, 2013, there was $7.2 million of total unrecognized compensation cost related to non-vested stock option awards that will be recognized over a weighted-average period of 2.9 years.

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XML 48 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
Related Party Transactions
12 Months Ended
Dec. 31, 2013
Related Party Transactions  
Related Party Transactions

9. Related Party Transactions

        The Company has entered into sales agreements with certain of its investors. The following table sets forth revenue from product sales to companies affiliated with these investors (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Company 1

  $ 995   $ 2,142   $ 2,889  

Company 2

    2,134     1,290     950  

Company 3

    478     791     426  

Company 4

        1,807     129  
               

 

  $ 3,607   $ 6,030   $ 4,394  
               
               

        As of December 31, 2012 and 2013, the Company had accounts receivable from these companies totaling $1.5 million and $0.6 million, respectively. Purchase and payment terms with these related parties are consistent with other non-affiliated companies.

XML 49 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF OPERATIONS (USD $)
In Thousands, except Per Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
CONSOLIDATED STATEMENTS OF OPERATIONS      
Revenue $ 128,511 $ 109,512 $ 93,376
Cost of revenue 64,234 57,225 50,534
Cost of revenue - inventory purchase commitment (380) 1,840  
Gross margin 64,657 50,447 42,842
Operating expenses:      
Research and development 24,979 20,310 19,211
Sales and marketing 21,975 20,182 17,546
General and administrative 12,329 10,150 9,805
Litigation settlement 440 2,869  
Total operating expenses 59,723 53,511 46,562
Income (loss) from operations 4,934 (3,064) (3,720)
Other income (expense):      
Interest income 16 13 4
Interest expense (470) (277) (396)
Other income (expense) (729) (254) 227
Total other income (expense) (1,183) (518) (165)
Income (loss) before income taxes 3,751 (3,582) (3,885)
Income tax expense (248) (141)  
Net income (loss) $ 3,503 $ (3,723) $ (3,885)
Net income (loss) per common share:      
Basic (in dollars per share) $ 0.33 $ (1.58) $ (2.02)
Diluted (in dollars per share) $ 0.16 $ (1.58) $ (2.02)
Weighted-average number of shares:      
Basic (in shares) 10,609 2,360 1,923
Diluted (in shares) 22,263 2,360 1,923
XML 50 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements
12 Months Ended
Dec. 31, 2013
Fair Value Measurements  
Fair Value Measurements

3. Fair Value Measurements

        The Company's financial instruments that are measured at fair value on a recurring basis consist of money market funds and redeemable preferred stock warrants. The following three levels of inputs are used to measure the fair value of financial instruments:

  •         Level 1: Quoted prices in active markets for identical assets or liabilities. The Company classifies its money market funds as Level 1 instruments as they are traded in active markets with sufficient volume and frequency of transactions.

            Level 2: Observable prices that are based on inputs not quoted on active markets, but corroborated by market data. The Company did not have any Level 2 instruments during the reported periods.

            Level 3: Unobservable inputs are used when little or no market data is available. The Company utilized a Black-Scholes option-pricing model in order to determine the fair value of the redeemable preferred stock warrant, with such value determined on an as-converted basis. Certain inputs used in the model are unobservable.

        The fair market value of the Company's common stock was used to value the warrant liability. The fair value of the warrants was calculated using the income approach and is based on the following assumptions:

 
  December 31,
2012
 

Dividend yield

    0 %

Expected volatility

    54 %

Risk-free interest rate

    0.16 %

Remaining contractual term (in years)

    1.5  

        The fair values of these financial assets and the redeemable preferred stock warrants were as follows (in thousands):

 
  Fair value measurements at
December 31, 2012 using
 
 
  Level 1   Level 2   Level 3   Total  

Cash equivalents:

                         

Money market funds

  $ 15,554   $   $   $ 15,554  

Other liabilities:

                         

Redeemable preferred stock warrants

            601     601  


 

 
  Fair value measurements at
December 31, 2013 using
 
 
  Level 1   Level 2   Level 3   Total  

Cash equivalents:

                         

Money market funds

  $ 79,013   $   $   $ 79,013  

Other liabilities:

                         

Redeemable preferred stock warrants

                 

        During the years ended December 31, 2012 and 2013, the change in fair value for the redeemable preferred stock warrant liability of $0.3 million and $0.7 million were recorded to other expense. Upon the closing of the Company's initial public offering, the warrants to purchase shares of the Company's redeemable convertible preferred stock were net exercised. The then-current aggregate fair value of the warrant liability of $1.3 million was reclassified from long-term liabilities to additional paid-in capital, a component of stockholders' equity, and the Company ceased to record any further periodic fair value adjustments relating to the warrant liability.

XML 51 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
Balance Sheet Components
12 Months Ended
Dec. 31, 2013
Balance Sheet Components  
Balance Sheet Components

2. Balance Sheet Components

        Inventories consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Finished goods

  $ 12,306   $ 14,061  

Component parts

    209     1,251  
           

 

  $ 12,515   $ 15,312  
           
           

        Property and equipment, net consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Computer equipment and software

  $ 3,518   $ 4,152  

Manufacturing tooling and test equipment

    2,731     2,652  

Furniture and fixtures

    1,801     2,046  

Lab and warehouse equipment

    1,974     2,374  

Marketing equipment

    419     604  

Leasehold improvements

    803     1,450  
           

 

    11,246     13,278  

Less: accumulated depreciation

    (8,580 )   (9,335 )
           

 

  $ 2,666   $ 3,943  
           
           

        Intangible assets, net consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Acquired technology

  $ 1,357   $ 1,678  

Less: accumulated amortization

    (431 )   (750 )
           

 

  $ 926   $ 928  
           
           

        Other assets consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Prepaid licensing

  $ 700   $ 716  

Deposits

    187     404  
           

 

  $ 887   $ 1,120  
           
           

        Accrued liabilities consisted of the following (in thousands):

 
  December 31,
2012
  December 31,
2013
 

Current portion of settlement obligations (see Note 6)

  $ 2,229   $ 907  

Sales returns and warranty accruals

    2,045     2,137  

Compensation accruals

    1,495     3,233  

Other accrued liabilities

    802     544  
           

 

  $ 6,571   $ 6,821  
           
           
XML 52 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2013
Fair Value Measurements  
Schedule of assumptions used to calculate fair value of the warrants

 

 

 
  December 31,
2012
 

Dividend yield

    0 %

Expected volatility

    54 %

Risk-free interest rate

    0.16 %

Remaining contractual term (in years)

    1.5  
Schedule of fair value of financial instruments measured on a recurring basis

The fair values of these financial assets and the redeemable preferred stock warrants were as follows (in thousands):

 
  Fair value measurements at
December 31, 2012 using
 
 
  Level 1   Level 2   Level 3   Total  

Cash equivalents:

                         

Money market funds

  $ 15,554   $   $   $ 15,554  

Other liabilities:

                         

Redeemable preferred stock warrants

            601     601  


 

 
  Fair value measurements at
December 31, 2013 using
 
 
  Level 1   Level 2   Level 3   Total  

Cash equivalents:

                         

Money market funds

  $ 79,013   $   $   $ 79,013  

Other liabilities:

                         

Redeemable preferred stock warrants

                 
XML 53 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies
12 Months Ended
Dec. 31, 2013
Commitments and Contingencies  
Commitments and Contingencies

10. Commitments and Contingencies

Operating Leases

        The Company leases office and warehouse space under operating leases that expire between 2014 and 2018. The terms of the leases include periods of free rent, options for the Company to extend the leases (three to five years) and increasing rental rates over time. The Company recognizes rental expense under these operating leases on a straight-line basis over the lives of the leases and has accrued for rental expense recorded but not paid.

        Rental expense was approximately $1.0 million, $1.1 million and $1.4 million for the years ended December 31, 2011, 2012 and 2013, respectively.

        Future minimum rental payments required under non-cancelable operating leases with initial or remaining terms in excess of one year consist of the following as of December 31, 2013 (in thousands):

2014

  $ 1,613  

2015

    1,620  

2016

    1,504  

2017

    1,283  

2018

    697  

Thereafter

     
       

 

  $ 6,717  
       
       

Purchase Commitments

        The Company had non-cancellable purchase commitments for the purchase of inventory, which extend through May 2014 totaling approximately $22.6 million at December 31, 2013.

Indemnification

        The Company has agreed to indemnify its officers and directors for certain events or occurrences, while the officer or director is or was serving at the Company's request in such capacity. The maximum amount of potential future indemnification is unlimited; however, the Company has a director and officer insurance policy that provides corporate reimbursement coverage that limits its exposure and enables it to recover a portion of any future amounts paid. The Company is unable to reasonably estimate the maximum amount that could be payable under these arrangements since these obligations are not capped but are conditional to the unique facts and circumstances involved. Accordingly, the Company has no liabilities recorded for these agreements as of December 31, 2013.

Employment Agreements

        The Company has signed employment agreements with certain executive officers who are entitled to receive certain benefits if their employment is terminated by the Company, including severance payments, accelerated vesting of stock options and continuation of certain insurance benefits.

Legal Matters

        The Company is subject to various lawsuits and other claims that arise from time to time in the ordinary course of business. These actions may be based on alleged patent infringement or other matters. The Company intends to defend itself vigorously against any such actions. The Company establishes reserves for specific liabilities in connection with legal actions that it deems to be probable and estimable.

        In management's opinion, the Company is not currently involved in any legal proceedings that, individually or in the aggregate, could have a material effect on the Company's financial condition, operations, or cash flows.

XML 54 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
Long-Term Obligations
12 Months Ended
Dec. 31, 2013
Long-Term Obligations  
Long-Term Obligations

6. Long-Term Obligations

Loan and Security Agreement

        In June 2013, the Company entered into an Amended and Restated Loan and Security Agreement with Silicon Valley Bank (the "SVB Agreement"), which consists of a revolving credit facility of $13.0 million (subject to certain borrowing base restrictions) and term borrowings to fund purchases of property and equipment. All borrowings under the SVB Agreement are collateralized by the general assets of the Company. The credit facility has a variable rate of interest of prime (as published in the Wall Street Journal) or LIBOR plus 2.50%, as selected by the Company. The rate was 3.25% at December 31, 2013. In addition, the Company pays an annual commitment fee of $20,000 and a quarterly unused line fee of 0.375% based on the difference between the borrowing commitment of $13.0 million and the then-current balance. The SVB Agreement provided for an additional $2.75 million in term borrowings to fund purchase of property and equipment through May 2014, of which $2.0 million was available at December 31, 2013. Term borrowings are payable in 36 equal monthly payments of principal plus interest and bear interest at prime plus 0.50%, which was 3.75% at December 31, 2013.

        Borrowing under the revolving credit facility is subject to certain collateral restrictions relating primarily to the Company's accounts receivable and inventory levels. As of December 31, 2013, the total borrowing capacity was approximately $13.0 million, and no borrowings were outstanding. The revolving credit facility has a maturity date of May 29, 2015.

        The SVB Agreement contains various restrictive and financial covenants and the Company was in compliance with each of these covenants as of December 31, 2013.

        Future principal payments on outstanding term borrowings as of December 31, 2013 are as follows (in thousands):

2014

  $ 1,138  

2015

    915  

2016

    727  

2017

    186  
       

 

  $ 2,966  
       
       

Settlement Obligation

        The Company has entered into various settlement agreements relating to alleged patent infringements, which included future payments under non-interest bearing, unsecured notes payable. The carrying values of the notes payable have been discounted using an implied interest rate of 3.75% and are included in accrued and other long-term liabilities in the accompanying consolidated balance sheets.

        Upon closing of the Company's initial public offering, the balance due on one of the settlement obligations was accelerated and became immediately due and payable. As a result, the Company made a final payment on this obligation of $2.1 million on August 12, 2013. The difference between the carrying value of the note and the payment was recorded as a $0.2 million charge to interest expense.

        Future annual payments on the settlement obligations as of December 31, 2013 are shown in the table below (in thousands):

2014

  $ 940  

2015

    20  

2016

    20  
       

 

    980  

Less amount representing interest

    (33 )
       

Present value of settlement obligations

    947  

Less current portion of settlement obligations

    (907 )
       

Long-term portion of settlement obligations

  $ 40  
       
       
XML 55 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
Acquisition
12 Months Ended
Dec. 31, 2013
Acquisition  
Acquisition

4. Acquisition

        On June 21, 2013, the Company acquired the assets of a technology company, which constitute a business. The fair value of the consideration to purchase the business was approximately $259,000, which consisted of cash payments and options to purchase shares of common stock with an exercise price of $11.28. The estimated fair value of separately identifiable intangible assets will be amortized over an estimated useful life of two to three years. As a result, future amortization expense related to the acquisition will be $96,000, $88,000, and $40,000 for the years ending December 31, 2014, 2015, and 2016, respectively.

XML 56 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
Intangible Assets
12 Months Ended
Dec. 31, 2013
Intangible Assets  
Intangible Assets

5. Intangible Assets

        In 2011, the Company entered into a purchase agreement to acquire software technology to be used in certain software applications. The total purchase price was determined based on a revenue-sharing formula for software licenses sold with the acquired technology between December 2011 and November 2012. The purchase agreement included a minimum purchase price of $0.7 million and a maximum purchase price of $2.0 million. In 2011, the Company recorded a finite-lived intangible asset and corresponding obligation for the minimum purchase price of $0.7 million, based on estimated future license sales under the agreement. Based on sales during that period, the final purchase price was $0.7 million. The asset is being amortized and expensed to cost of revenue on a straight-line basis over the estimated life of the associated technology, which was determined to be five years.

        In 2010, the Company completed the acquisition of software technology to be used in certain software applications for a total purchase price that consisted of a cash payment of approximately $0.3 million and the issuance of a warrant to purchase 71,153 shares of the Company's common stock at a fair value of $0.3 million. The total purchase price of approximately $0.6 million was recorded as a finite-lived intangible asset and is being amortized and expensed to cost of revenue on a straight-line basis over the estimated life of the associated technology which was determined to be five years.

        Amortization of finite-lived intangible assets as of December 31, 2013 is as follows for the next three years:

2014

  $ 392  

2015

    363  

2016

    173  
       

 

  $ 928  
       
       
XML 57 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes
12 Months Ended
Dec. 31, 2013
Income Taxes  
Income Taxes

7. Income Taxes

        The domestic and foreign components of net income (loss) before income tax expense consists of the following for the periods shown below (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Income (loss) before income taxes:

                   

Domestic

  $ (4,697 ) $ (4,055 ) $ 3,633  

Foreign

    812     473     118  
               

Total income (loss) before income taxes

  $ (3,885 ) $ (3,582 ) $ 3,751  
               
               

        The provision for income taxes consisted of the following components (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Current:

                   

Domestic

                   

Federal

  $   $ 15   $ 64  

State

        57     53  

Foreign

        69     147  
               

Total current tax expense

        141     264  
               

Deferred:

                   

Domestic

                   

Federal

    (1,773 )   (710 )   1,572  

State

    (280 )   (65 )   44  

Foreign

    251     88     (16 )

Valuation allowance

    1,802     687     (1,616 )
               

Total deferred tax benefit

            (16 )
               

Total income tax expense

  $   $ 141   $ 248  
               
               

        A reconciliation from the U.S. statutory federal income tax rate to the effective income tax rate follows:

 
  Years Ended December 31,  
 
  2011   2012   2013  

Federal income tax rate

    (34.0 )%   (34.0 )%   34.0 %

State taxes, net of federal benefit

    (4.1 )   1.1     1.1  

Stock-based compensation

    9.1     15.0     22.7  

Stock warrant

            6.4  

Research and development credits

    (16.0 )       (18.3 )

Change in valuation allowance

    46.4     17.3     (42.0 )

Other, net

    (1.4 )   4.5     2.7  
               

Effective income tax rate

    0.0 %   3.9 %   6.6 %
               
               

        Deferred tax assets and (liabilities) are comprised of the following (in thousands):

 
  December 31,  
 
  2012   2013  

Deferred Tax Assets:

             

Reserves and accruals

  $ 3,396   $ 2,146  

Inventories

    606     1,059  

Net operating loss carryforwards

    30,165     27,865  

Property, plant and equipment

    1,054     1,327  

Stock-based compensation

    783     1,233  

Research and development credit carryforwards

    3,254     4,091  

Other

    204     163  
           

Total deferred tax assets

    39,462     37,884  

Valuation allowance

    (39,462 )   (37,842 )
           

Total deferred tax assets

  $   $ 42  

Deferred Tax Liabilities:

   
 
   
 
 

Undistributed earnings of foreign subsidiaries

      $ (15 )

Property and equipment

        (11 )
           

Total deferred tax liabilities

  $   $ (26 )
           

Net deferred tax asset

  $   $ 16  
           
           

        During the year ended December 31, 2012, the Company reversed the valuation allowance for deferred tax assets related to its subsidiary operating in the UK totaling $92,000. This subsidiary had a history of generating income and used its remaining net operating loss carryforwards in the year ended December 31, 2012.

        At December 31, 2012 and 2013, the Company had a full valuation allowance against the deferred tax assets of its domestic operations as it believes it is more likely than not that these benefits will not be realized. Significant judgment is required in making this assessment, and it is very difficult to predict when, if ever, the assessment may conclude that the remaining portion of the deferred tax assets are realizable. The net valuation allowance increased by approximately $0.7 million and decreased by approximately $1.6 million during the years ended December 31, 2012 and 2013, respectively.

        Net operating loss and tax credit carryforwards as of December 31, 2013 are as follows (in thousands):

 
  Amount   Expiration Years

Net operating losses, federal

  $ 77,435   2023 - 2031

Net operating losses, state

    75,640   2018 - 2031

Tax credit carryforwards, federal

    3,158   2023 - 2033

Tax credit carryforwards, state

    1,413   2018 - 2028

Net operating losses, foreign

    21   None

        Approximately $2.7 million of the net operating losses reported above represents unrecorded tax benefits for stock-based compensation, which will be recorded in additional paid in capital when realized. Utilization of the net operating loss carryforwards and credits may be subject to a substantial annual limitation due to the ownership change limitations provided by the Internal Revenue Code of 1986, as amended (the "IRC"), and similar state provisions. The Company has not performed a detailed analysis to determine whether an ownership change under Section 382 of the IRC has occurred or will occur. The effect of an ownership change would be the imposition of an annual limitation on the use of net operating loss carryforwards attributable to periods before the change.

        The following is a reconciliation of the changes in the gross balance of unrecognized tax benefits, excluding interest and penalties (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Balance at the beginning of the period

  $ 1,862   $ 2,318   $ 2,318  

Current year additions

    456         625  
               

Balance at the end of the period

  $ 2,318   $ 2,318   $ 2,943  
               
               

        The Company does not believe there will be any material changes in its unrecognized tax benefits over the next 12 months. As of December 31, 2013, the amount of unrecognized tax benefits that would, if recognized, impact the Company's effective income tax rate is approximately $2.9 million.

        The Company files income tax returns in the United States, including various state and local jurisdictions. The Company's subsidiaries file income tax returns in the United Kingdom, Hong Kong, China and India. The Company is subject to examination in the United States, the United Kingdom, Hong Kong, China, and India as well as various state jurisdictions. As of December 31, 2013, the Company was not under examination by any tax authorities. Tax years beginning in 2008 are subject to examination by taxing United States tax authorities, although net operating loss and credit carryforwards from all years are subject to examinations and adjustments for at least three years following the year in which the attributes are used. Tax years beginning in 2009 are subject to examination by the taxing authorities in the United Kingdom.

        At December 31, 2013, the Company had undistributed foreign earnings of $0.8 million, which the Company intends to permanently reinvest in the foreign subsidiary. Unrecognized deferred tax liabilities of $0.3 million from temporary differences related to the investment in this foreign subsidiary would have been taxable if the Company repatriated the foreign earnings. The Company anticipates that future overseas earnings will also be reinvested indefinitely. In accordance with the indefinite reversal criteria, the foreign currency gains recorded in other comprehensive income related to foreign currency translation have not been tax effected.

XML 58 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies (Details 5)
12 Months Ended
Dec. 31, 2013
Furniture and fixtures | Minimum
 
Property and equipment  
Estimated useful lives 2 years
Furniture and fixtures | Maximum
 
Property and equipment  
Estimated useful lives 5 years
Manufacturing tooling and test equipment | Minimum
 
Property and equipment  
Estimated useful lives 2 years
Manufacturing tooling and test equipment | Maximum
 
Property and equipment  
Estimated useful lives 3 years
Lab and warehouse equipment | Minimum
 
Property and equipment  
Estimated useful lives 2 years
Lab and warehouse equipment | Maximum
 
Property and equipment  
Estimated useful lives 4 years
Computer equipment and software | Minimum
 
Property and equipment  
Estimated useful lives 3 years
Computer equipment and software | Maximum
 
Property and equipment  
Estimated useful lives 4 years
Marketing equipment | Minimum
 
Property and equipment  
Estimated useful lives 2 years
Marketing equipment | Maximum
 
Property and equipment  
Estimated useful lives 3 years
Leasehold improvements | Minimum
 
Property and equipment  
Estimated useful lives 3 years
Leasehold improvements | Maximum
 
Property and equipment  
Estimated useful lives 5 years
XML 59 R51.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies (Details) (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Operating Leases      
Rental expense $ 1,400,000 $ 1,100,000 $ 1,000,000
Future minimum rental payments      
2014 1,613,000    
2015 1,620,000    
2016 1,504,000    
2017 1,283,000    
2018 697,000    
Total 6,717,000    
Purchase Commitments      
Non-cancellable purchase commitments $ 22,600,000    
Minimum
     
Operating Leases      
Extension term of leases 3 years    
Maximum
     
Operating Leases      
Extension term of leases 5 years    
XML 60 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies (Tables)
12 Months Ended
Dec. 31, 2013
Description of Business and Summary of Significant Accounting Policies  
Schedule of revenue from U.S., Canadian and all other international dealers and distributors combined

The following table sets forth revenue from the U.S., Canadian and all other international dealers and distributors combined (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Revenue-United States

  $ 63,625   $ 69,957   $ 85,525  

Revenue-Canada

    10,480     12,453     14,079  

Revenue-all other international sources

    19,271     27,102     28,907  
               

Total revenue

  $ 93,376   $ 109,512   $ 128,511  
               
               

International revenue (excluding Canada) as a percent of total revenue

    21 %   25 %   22 %
Schedule of changes in the product warranty liability

 The following table presents the changes in the product warranty liability (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Balance at the beginning of the period

  $ 775   $ 1,030   $ 1,155  

Warranty costs accrued

    727     1,050     1,025  

Warranty claims

    (472 )   (925 )   (967 )
               

Balance at the end of the period

  $ 1,030   $ 1,155   $ 1,213  
               
               
Schedule of reconciliation of the numerator and denominator used in the calculation of basic and diluted net income (loss) per share

The following table presents the reconciliation of the numerator and denominator used in the calculation of basic and diluted net income (loss) per share (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Numerator:

                   

Net income (loss)

  $ (3,885 ) $ (3,723 ) $ 3,503  
               
               

Denominator:

                   

Weighted average common stock outstanding for basic net income (loss) per common share

    1,923     2,360     10,609  

Effect of dilutive securities—stock options, convertible preferred stock, and warrants to purchase common stock and preferred stock

            11,654  
               

Weighted average common shares and dilutive securities outstanding

    1,923     2,360     22,263  
               
               
Schedule of anti-dilutive weighted-average common stock equivalents excluded from the calculation of diluted net income (loss) per share

The following weighted-average common stock equivalents were anti-dilutive and therefore were excluded from the calculation of diluted net income (loss) per share (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Convertible preferred stock

    15,257     15,294      

Options to purchase common stock

    3,953     4,317     356  

Warrants to purchase common stock

    510     541     1  

Warrants to purchase preferred stock

    194     194      
               

Total

    19,914     20,346     357  
               
               
Schedule of changes in the allowance for doubtful accounts

The following table presents the changes in the allowance for doubtful accounts (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Balance at beginning of period

  $ 619   $ 651   $ 643  

Provision

    283     184     159  

Deductions

    (251 )   (192 )   (197 )
               

Balance at end of period

  $ 651   $ 643   $ 605  
               
               
Schedule of estimated useful lives of property and equipment

 

 

Furniture and fixtures

  2 - 5 years

Manufacturing tooling and test equipment

  2 - 3 years

Lab and warehouse equipment

  2 - 4 years

Computer equipment and software

  3 - 4 years

Marketing equipment

  2 - 3 years
XML 61 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Tables)
12 Months Ended
Dec. 31, 2013
Income Taxes  
Schedule of domestic and foreign components of net income (loss) before income tax expense

The domestic and foreign components of net income (loss) before income tax expense consists of the following for the periods shown below (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Income (loss) before income taxes:

                   

Domestic

  $ (4,697 ) $ (4,055 ) $ 3,633  

Foreign

    812     473     118  
               

Total income (loss) before income taxes

  $ (3,885 ) $ (3,582 ) $ 3,751  
               
               
Schedule of components of provision for income taxes

The provision for income taxes consisted of the following components (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Current:

                   

Domestic

                   

Federal

  $   $ 15   $ 64  

State

        57     53  

Foreign

        69     147  
               

Total current tax expense

        141     264  
               

Deferred:

                   

Domestic

                   

Federal

    (1,773 )   (710 )   1,572  

State

    (280 )   (65 )   44  

Foreign

    251     88     (16 )

Valuation allowance

    1,802     687     (1,616 )
               

Total deferred tax benefit

            (16 )
               

Total income tax expense

  $   $ 141   $ 248  
               
               
Schedule of reconciliation from the U.S. statutory federal income tax rate to the effective income tax rate

A reconciliation from the U.S. statutory federal income tax rate to the effective income tax rate follows:

 
  Years Ended December 31,  
 
  2011   2012   2013  

Federal income tax rate

    (34.0 )%   (34.0 )%   34.0 %

State taxes, net of federal benefit

    (4.1 )   1.1     1.1  

Stock-based compensation

    9.1     15.0     22.7  

Stock warrant

            6.4  

Research and development credits

    (16.0 )       (18.3 )

Change in valuation allowance

    46.4     17.3     (42.0 )

Other, net

    (1.4 )   4.5     2.7  
               

Effective income tax rate

    0.0 %   3.9 %   6.6 %
               
               
Schedule of deferred tax assets and (liabilities)

Deferred tax assets and (liabilities) are comprised of the following (in thousands):

 
  December 31,  
 
  2012   2013  

Deferred Tax Assets:

             

Reserves and accruals

  $ 3,396   $ 2,146  

Inventories

    606     1,059  

Net operating loss carryforwards

    30,165     27,865  

Property, plant and equipment

    1,054     1,327  

Stock-based compensation

    783     1,233  

Research and development credit carryforwards

    3,254     4,091  

Other

    204     163  
           

Total deferred tax assets

    39,462     37,884  

Valuation allowance

    (39,462 )   (37,842 )
           

Total deferred tax assets

  $   $ 42  

Deferred Tax Liabilities:

   
 
   
 
 

Undistributed earnings of foreign subsidiaries

      $ (15 )

Property and equipment

        (11 )
           

Total deferred tax liabilities

  $   $ (26 )
           

Net deferred tax asset

  $   $ 16  
           
           
Schedule of net operating loss and tax credit carryforwards

Net operating loss and tax credit carryforwards as of December 31, 2013 are as follows (in thousands):

 
  Amount   Expiration Years

Net operating losses, federal

  $ 77,435   2023 - 2031

Net operating losses, state

    75,640   2018 - 2031

Tax credit carryforwards, federal

    3,158   2023 - 2033

Tax credit carryforwards, state

    1,413   2018 - 2028

Net operating losses, foreign

    21   None
Schedule of reconciliation of the changes in the gross balance of unrecognized tax benefits, excluding interest and penalties

The following is a reconciliation of the changes in the gross balance of unrecognized tax benefits, excluding interest and penalties (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Balance at the beginning of the period

  $ 1,862   $ 2,318   $ 2,318  

Current year additions

    456         625  
               

Balance at the end of the period

  $ 2,318   $ 2,318   $ 2,943  
               
               
XML 62 R49.htm IDEA: XBRL DOCUMENT v2.4.0.8
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit) (Details 6) (Stock options, USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Total stock-based compensation expense      
Total stock-based compensation expense $ 3,760,000 $ 2,869,000 $ 2,013,000
Total unrecognized compensation cost related to non-vested stock option awards 7,200,000    
Weighted-average period over which unrecognized compensation cost will be recognized 2 years 10 months 24 days    
Cost of revenue
     
Total stock-based compensation expense      
Total stock-based compensation expense 63,000 78,000 49,000
Research and development
     
Total stock-based compensation expense      
Total stock-based compensation expense 1,414,000 704,000 492,000
Sales and marketing
     
Total stock-based compensation expense      
Total stock-based compensation expense 743,000 580,000 523,000
General and administrative
     
Total stock-based compensation expense      
Total stock-based compensation expense $ 1,540,000 $ 1,507,000 $ 949,000
XML 63 R41.htm IDEA: XBRL DOCUMENT v2.4.0.8
Long-Term Obligations (Details) (USD $)
1 Months Ended 1 Months Ended 1 Months Ended 0 Months Ended 12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Jun. 30, 2013
Revolving credit facility
Dec. 31, 2013
Revolving credit facility
Jun. 30, 2013
Revolving credit facility
LIBOR
Jun. 30, 2013
Revolving credit facility
Prime rate
Dec. 31, 2013
Term borrowings
item
Jun. 30, 2013
Term borrowings
Jun. 30, 2013
Term borrowings
Prime rate
Aug. 12, 2013
Unsecured notes payable
Dec. 31, 2013
Unsecured notes payable
item
Long-Term Obligations                      
Maximum borrowing capacity     $ 13,000,000         $ 2,750,000      
Variable interest rate basis         LIBOR prime     prime    
Basis spread on variable rate (as a percent)         2.50%       0.50%    
Interest rate at the end of period (as a percent)       3.25%     3.75%        
Annual commitment fee     20,000                
Commitment fee for quarterly unused capacity (as a percent)     0.375%                
Number of equal monthly payments of principal plus interest             36        
Current borrowing capacity       13,000,000     2,000,000        
Borrowings outstanding       0              
Future principal payments                      
2014 1,138,000                    
2015 915,000                    
2016 727,000                    
2017 186,000                    
Total 2,966,000                    
Settlement Obligation                      
Implied interest rate (as a percent)                     3.75%
Number of settlement obligations accelerated and became due and payable                     1
Final payment of obligation                   2,100,000  
Interest expense recorded                   200,000  
Future annual payments on the settlement obligations                      
2014 940,000                    
2015 20,000                    
2016 20,000                    
Total 980,000                    
Less amount representing interest (33,000)                    
Present value of settlement obligations 947,000                    
Less current portion of settlement obligations (907,000) (2,229,000)                  
Long-term portion of settlement obligations $ 40,000                    
XML 64 R5.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS)      
Net income (loss) $ 3,503 $ (3,723) $ (3,885)
Other comprehensive income (loss):      
Foreign currency translation adjustment 15 (28) (10)
Total other comprehensive income (loss) 15 (28) (10)
Comprehensive income (loss) $ 3,518 $ (3,751) $ (3,895)
XML 65 R10.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies
12 Months Ended
Dec. 31, 2013
Description of Business and Summary of Significant Accounting Policies  
Description of Business and Summary of Significant Accounting Policies

1. Description of Business and Summary of Significant Accounting Policies

        Control4 Corporation ("Control4" or the "Company") is a leading provider of automation and control solutions for the connected home. The Company unlocks the potential of connected devices, making entertainment systems easier to use, homes more comfortable, appliances more energy efficient, and families more secure. The Company was incorporated in the state of Delaware on March 27, 2003.

Reclassifications

        Certain prior-year amounts have been reclassified in order to conform to the current-year presentation. The reclassification is related to gains or losses on inventory purchase commitments from accrued liabilities into the applicable caption on the statements of cash flows. This reclassification had no effect on the previously reported net cash (used in) provided by operating activities.

Basis of Presentation

        The consolidated financial statements include the accounts of the Company and its wholly-owned subsidiaries. All intercompany balances and transactions have been eliminated in the consolidated financial statements.

Initial Public Offering

        On August 7, 2013, the Company completed its initial public offering ("IPO") of common stock in which the Company sold and issued 4,600,000 shares of common stock at a price of $16.00 per share. As a result of the IPO, the Company raised a total of $73.6 million in gross proceeds, or approximately $65.6 million in net proceeds after deducting underwriting discounts and commissions of $5.2 million and offering expenses of approximately $2.8 million.

Stock Split

        In July 2013, the Company's board of directors and stockholders approved an amendment to the Company's amended and restated certificate of incorporation. The amendment provided for a 1-for-5.2 reverse stock split of the outstanding common stock and outstanding convertible preferred stock (collectively, "Capital Stock"), which became effective on July 18, 2013. Accordingly, (i) every 5.2 shares of Capital Stock have been combined into one share of Capital Stock, (ii) the number of shares of Capital Stock into which each outstanding option or warrant to purchase Capital Stock is exercisable, as the case may be, have been proportionately decreased on a 5.2-for-1 basis, and (iii) the exercise price for each such outstanding option or warrant to purchase Capital Stock has been proportionately increased on a 1-for-5.2 basis. All of the share numbers, share prices, and exercise prices have been adjusted within these financial statements, on a retroactive basis, to reflect this 1-for-5.2 reverse stock split.

Segment Reporting

        Operating segments are identified as components of an enterprise about which separate discrete financial information is available for evaluation by the chief operating decision-maker, the Chief Executive Officer, in making decisions regarding resource allocation and accessing performance. To date, the Company has viewed its operations and manages its business as one operating segment.

Concentrations of Risk

        The Company's accounts receivable are derived from revenue earned from dealers and distributors primarily located in the United States and Canada. The Company's sales to dealers and distributors located outside the United States are generally denominated in United States dollars, except for sales to dealers and distributors located in the United Kingdom, which are denominated in pounds sterling. There were no individual account balances greater than 10% of total accounts receivable at December 31, 2012 and December 31, 2013.

        No dealer or distributor accounted for more than 10% of total revenue for the years ended December 31, 2011, 2012 and 2013.

        The Company relies on a limited number of suppliers for its contract manufacturing. A significant disruption in the operations of these manufacturers would impact the production of the Company's products for a substantial period of time, which could have a material adverse effect on the Company's business, financial condition and results of operations.

Geographic Information

        The Company's revenue includes amounts earned through sales to dealers and distributors located outside of the United States. With the exception of Canada, no single foreign country accounted for more than 10% of total revenue for the years ended December 31, 2011, 2012 and 2013. The following table sets forth revenue from the U.S., Canadian and all other international dealers and distributors combined (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Revenue-United States

  $ 63,625   $ 69,957   $ 85,525  

Revenue-Canada

    10,480     12,453     14,079  

Revenue-all other international sources

    19,271     27,102     28,907  
               

Total revenue

  $ 93,376   $ 109,512   $ 128,511  
               
               

International revenue (excluding Canada) as a percent of total revenue

    21 %   25 %   22 %

Use of Accounting Estimates

        The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities as of the date of the financial statements and the reported amounts of revenues and expenses during the reporting period. On an ongoing basis, the Company evaluates its estimates including those related to revenue recognition, sales returns, provisions for doubtful accounts, product warranty, inventory obsolescence, litigation, determination of fair value of stock options, deferred tax asset valuation allowances and income taxes. Actual results may differ from those estimates.

Product Warranty

        The Company provides its customers a limited product warranty of two years, which requires the Company to repair or replace (at its option) defective products during the warranty period at no cost to the customer. The Company estimates the costs that may be incurred to replace or repair defective products and records a reserve at the time revenue is recognized. Factors that affect the Company's warranty liability include the number of installed systems, the Company's historical experience and management's judgment regarding anticipated rates of product warranty returns, net of refurbished products. The Company assesses the adequacy of its recorded warranty liability each period and makes adjustments to the liability as necessary. Warranty costs accrued includes amounts accrued for products at the time of shipment, adjustments for changes in estimated costs for warranties on products shipped in the period, and changes in estimated costs for warranties on products shipped in prior periods. It is not practicable for the Company to determine the amounts applicable to each of these components.

        The following table presents the changes in the product warranty liability (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Balance at the beginning of the period

  $ 775   $ 1,030   $ 1,155  

Warranty costs accrued

    727     1,050     1,025  

Warranty claims

    (472 )   (925 )   (967 )
               

Balance at the end of the period

  $ 1,030   $ 1,155   $ 1,213  
               
               

Fair Value of Financial Instruments

        The carrying amounts reported in the accompanying consolidated financial statements for cash and cash equivalents, accounts payable and accrued liabilities approximate their fair value because of the short-term nature of the accounts. The fair value of the notes payable approximates its carrying value based on the variable nature of interest rates and current market rates available to the Company.

Net Income (Loss) Per Share

        Basic net income (loss) per share is computed using the weighted-average number of common shares outstanding during the period. Diluted net income (loss) per share is computed using the weighted-average number of common shares outstanding and potentially dilutive common shares outstanding during the period that have a dilutive effect on net income per share. Potentially dilutive common shares result from the assumed exercise of outstanding stock options and the assumed conversion of outstanding convertible preferred stock and warrants using the if-converted method. In a net loss position, diluted net loss per share is computed using only the weighted-average number of common shares outstanding during the period, as any additional common shares would be anti-dilutive.

        The following table presents the reconciliation of the numerator and denominator used in the calculation of basic and diluted net income (loss) per share (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Numerator:

                   

Net income (loss)

  $ (3,885 ) $ (3,723 ) $ 3,503  
               
               

Denominator:

                   

Weighted average common stock outstanding for basic net income (loss) per common share

    1,923     2,360     10,609  

Effect of dilutive securities—stock options, convertible preferred stock, and warrants to purchase common stock and preferred stock

            11,654  
               

Weighted average common shares and dilutive securities outstanding

    1,923     2,360     22,263  
               
               

        The following weighted-average common stock equivalents were anti-dilutive and therefore were excluded from the calculation of diluted net income (loss) per share (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Convertible preferred stock

    15,257     15,294      

Options to purchase common stock

    3,953     4,317     356  

Warrants to purchase common stock

    510     541     1  

Warrants to purchase preferred stock

    194     194      
               

Total

    19,914     20,346     357  
               
               

Revenue Recognition

        The Company sells its products through a network of independent dealers, regional and national retailers and distributors. These dealers, retailers and distributors generally sell the Company's products to the end consumer as part of a bundled sale, which typically includes other third-party products and related services, project design and installation services and on-going support.

        The Company's products include embedded software that is essential to the functionality of the hardware. Accordingly, the hardware and embedded software are accounted for as a single deliverable. In 2013, the Company began bundling MyHome software licenses with its new controllers. These software licenses do not include acceptance provisions, rights to updates (e.g., when-and-if-available enhancements or upgrades to the functionality of the software) or post-contract customer support such as technical support. When a software license and controller are sold together, a multiple element arrangement exists and revenue is allocated to each deliverable based on relative selling prices. Typically, delivery of both the product and the software license occurs at the same time. The Company recognizes revenue when persuasive evidence of an arrangement exists, delivery has occurred, the sales price is fixed or determinable, and collection is reasonably assured. Product or licensed software is considered delivered once it has been shipped and title and risk of loss have been transferred. For most of the Company's product sales, these criteria are met at the time the product is shipped.

        The Company records estimated reductions to revenue for dealer, retailer and distributor incentives, primarily comprised of volume rebates, at the time of the initial sale. The estimated reductions to revenue for rebates are based on the sales terms and the Company's historical experience and trend analysis. The most common incentive relates to amounts paid or credited to dealers and distributors for achieving defined volume levels or growth objectives.

        Software license revenue represents fees earned from activating applications which allow end consumers to manage and control their automation systems using tablets, smartphones and other third-party devices. Software products such as Composer Home and Media Editions are sold on a limited basis and do not constitute a significant portion of revenue. The Company's perpetual software licenses do not include acceptance provisions, rights to updates or upgrades or post-contract customer support such as technical support; the Company generally recognizes revenue at the time the software license is provided.

        The Company offers a subscription service that allows consumers to control and monitor their homes remotely and allows the Company's dealers to perform remote diagnostic services. Subscription revenue is deferred at the time of payment and recognized on a straight-line basis over the period the service is provided.

        Total revenue for subscription services represents less than 10% of total revenue for all periods presented.

        The Company recognizes revenue net of cost of revenue for third-party products sold through the Company's online ordering system. While the Company assumes credit risk on sales to its dealers and distributors for third-party products, the Company does not determine the product selling price, does not retain associated inventory risks and is not the primary obligor to the end consumer.

        The Company's agreements with dealers and distributors generally do not include rights of return or acceptance provisions. Even though contractual agreements do not provide return privileges, there are circumstances in which the Company will accept returns. In addition, agreements with certain retail distributors contain price protection and limited rights of return. The Company maintains a reserve for such returns based on the Company's historical return experience.

        Shipping charges billed to dealers and distributors are included in revenue and related shipping costs are included in cost of revenue.

Cost of Revenue

        Cost of revenue includes the following: the cost of inventory sold during the period, inventory write-down costs, payroll and other direct installation services costs, purchasing costs, royalty obligations, shipping expenses to dealers and distributors and warehousing costs, which include inbound freight costs from manufacturers, rent and payroll and benefit costs.

Cash and Cash Equivalents

        The Company considers all highly liquid short-term investments with original maturities of three months or less at the time of purchase to be cash equivalents. Cash equivalents consist primarily of money market funds.

Allowance for Doubtful Accounts

        The Company extends credit to the majority of its dealers and distributors, which consist primarily of small, local businesses. Issuance of credit is based on ongoing credit evaluations by the Company of dealers' and distributors' financial condition and generally requires no collateral. Trade accounts receivable are recorded at the invoiced amount and do not bear interest. The Company maintains an allowance for doubtful accounts to reserve for potential uncollectible receivables. The allowance is based upon the creditworthiness of the Company's dealers and distributors, the dealers' and distributors' historical payment experience, the age of the receivables and current market and economic conditions. Provisions for potentially uncollectible accounts are recorded in sales and marketing expenses. The Company writes off accounts receivable balances to the allowance for doubtful accounts when it becomes likely that they will not be collected.

        The following table presents the changes in the allowance for doubtful accounts (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Balance at beginning of period

  $ 619   $ 651   $ 643  

Provision

    283     184     159  

Deductions

    (251 )   (192 )   (197 )
               

Balance at end of period

  $ 651   $ 643   $ 605  
               
               

Inventories

        Inventories consist of hardware and related component parts and are stated at the lower of cost or market using the first-in, first-out method. The Company periodically assesses the recoverability of its inventory and reduces the carrying value of the inventory when items are determined to be obsolete, defective or in excess of forecasted sales requirements. Inventory write-downs for excess, defective and obsolete inventory are recorded as a cost of revenue and totaled $1.3 million, $1.5 million, and $2.3 million for the years ended December 31, 2011, 2012 and 2013, respectively.

        In December 2012, the Company finalized termination of a sales contract and, as a result of the contract termination, recorded a $1.8 million expense associated with an anticipated loss on firm purchase commitments for components that would have been required to meet the Company's obligations under the terminated contract. The $1.8 million charge has been recorded as Cost of Revenue—Inventory Purchase Commitment in the accompanying consolidated statement of operations during the year ended December 31, 2012.

        In 2013, the Company recorded a gain related to inventory purchase commitments of approximately $0.4 million, as the proceeds from liquidating the underlying inventory and the Company's ability to consume common components exceeded original estimates.

Property and Equipment

        Property and equipment are recorded at historical cost, less accumulated depreciation. Depreciation is computed using the straight-line method over the following estimated useful lives:

Furniture and fixtures

  2 - 5 years

Manufacturing tooling and test equipment

  2 - 3 years

Lab and warehouse equipment

  2 - 4 years

Computer equipment and software

  3 - 4 years

Marketing equipment

  2 - 3 years

        Maintenance and repairs that do not extend the life of or improve the asset are expensed in the year incurred. Leasehold improvements are depreciated over the estimated useful life (usually 3-5 years) or the life of the associated lease, whichever is less.

Intangible Assets

        Intangible assets primarily consist of acquired technology. The Company amortizes, to cost of revenue, definite-lived intangible assets on a straight-line basis over the life of the technology.

Impairment of Long-Lived Assets

        The carrying value of long-lived assets is reviewed for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset or asset group may not be recoverable. An impairment loss is recognized when the carrying amount of an asset exceeds the estimated undiscounted future cash flows expected to result from the use of the asset and its eventual disposition. The amount of the impairment loss to be recorded is calculated by the excess of the asset's carrying value over its fair value. Fair value is generally determined using a discounted cash flow analysis.

Redeemable Convertible Preferred Stock Warrant

        Freestanding warrants and other similar instruments related to shares that are redeemable are accounted for in accordance with ASC 480, "Distinguishing Liabilities and Equity." Under ASC 480, freestanding warrants that relate to the Company's redeemable convertible preferred stock are classified as a liability on the balance sheet. The warrant to purchase Series G-1 redeemable convertible preferred stock was subject to re-measurement at each balance sheet date and any change in fair value was recognized as a component of other income or expense. Fair value was measured using the Black-Scholes option pricing model. The Company continued to adjust the liability for changes in fair value until the closing of its initial public offering, at which time the redeemable convertible preferred stock warrants were exercised and converted into common stock and, accordingly, the liability was reclassified to equity.

Foreign Currency Translation

        The functional currency of the Company's subsidiaries in England, China, Hong Kong and India are the pound sterling, the Chinese Yuan, the Hong Kong Dollar and the Indian Rupee, respectively. The subsidiary's assets and liabilities have been translated to U.S. dollars using the exchange rates in effect at the balance sheet dates. Statements of operations amounts have been translated using the average exchange rate for each year. Resulting gains or losses from translating foreign currency financial statements are recorded as other comprehensive income (loss). Foreign currency transaction gains (losses) resulting from exchange rate fluctuations on transactions denominated in a currency other than the local currency are included in earnings and have not been material for the years ended December 31, 2011, 2012 or 2013.

Stock-Based Compensation

        The Company recognizes compensation expense for all stock-based awards issued to employees and directors based on estimated grant date fair values. The Company selected the Black-Scholes option-pricing model to determine the estimated fair value at the date of grant for stock options. The Company elected to amortize compensation expense using the straight-line attribution method, under which stock-based compensation expense is recognized on a straight-line basis over the period the employee performs the related services, generally the vesting period of four years, net of estimated forfeitures. The Company has estimated forfeiture rates based on its historical experience and will update the rates, as necessary, in subsequent periods if actual forfeitures differ from initial estimates.

        The Black-Scholes option-pricing model requires management assumptions regarding various factors that require extensive use of accounting judgment and financial estimates. The Company estimates the expected term for options using the simplified method, which utilizes the weighted average expected life of each tranche of the stock option, determined based on the sum of each tranche's vesting period plus one-half of the period from the vesting date of each tranche to the stock option's expiration, because the Company's options are considered "plain vanilla." The Company computed the expected volatility using multiple peer companies for a period approximating the expected term. The risk-free interest rate was determined using the implied yield on U.S. Treasury issues with a remaining term within the expected life of the award.

        The Company accounts for stock-based instruments and awards issued to non-employees at fair value using the Black-Scholes option-pricing model. Management believes that the fair value of the stock-based awards is more reliably measured than the fair value of the services received. The fair value of each non-employee award is re-measured each period until a commitment date is reached, which is generally the vesting date.

Income Taxes

        The Company recognizes deferred tax assets and liabilities for the future tax consequences attributable to the differences between the financial statement carrying value of existing assets and liabilities and their respective tax bases. Deferred tax assets and liabilities are measured using enacted tax rates in effect for the fiscal year in which those temporary differences are expected to be recovered or settled. Valuation allowances are established when necessary to reduce deferred tax assets to the amount expected to be realized.

        The Company operates in various tax jurisdictions and is subject to audit by various tax authorities. The Company provides for tax contingencies whenever it is deemed probable that a tax asset has been impaired or a tax liability has been incurred for events such as tax claims or changes in tax laws. Tax contingencies are based upon their technical merits, relative tax law and the specific facts and circumstances as of each reporting period. Changes in facts and circumstances could result in material changes to the amounts recorded for such tax contingencies.

        The Company recognizes uncertain income tax positions taken on income tax returns at the largest amount that is more-likely-than-not to be sustained upon audit by the relevant taxing authority. An uncertain income tax position will not be recognized if it has less than a 50% likelihood of being sustained.

        The Company's policy for recording interest and penalties associated with uncertain tax positions is to record such items as a component of its income tax provision. During the years ended December 31, 2011, 2012 and 2013, we did not record any material interest income, interest expense or penalties related to uncertain tax positions or the settlement of audits for prior periods.

Presentation of Certain Taxes

        The Company collects various taxes from dealers and distributors and remits these amounts to the applicable taxing authorities. The Company's accounting policy is to exclude these taxes from revenue and cost of revenue.

Research and Development

        Research and development expenses consist primarily of personnel costs, including incentive compensation, depreciation associated with research and development equipment, contract labor and consulting services, facilities-related costs, and travel-related costs. Research and development costs are expensed as incurred.

Recent Accounting Pronouncements

        In February 2013, the FASB issued ASU 2013-02, "Comprehensive Income: Reporting of Amounts Reclassified Out of Accumulated Other Comprehensive Income." The amended guidance requires an entity to present the effects on the line items of net income of significant reclassifications out of accumulated other comprehensive income if the amount being reclassified is required under U.S. generally accepted accounting principles to be reclassified in its entirety to net income in the same reporting period. The guidance is effective prospectively for the reporting periods beginning after December 15, 2012. This new guidance was effective for the Company beginning January 1, 2013. The adoption of this guidance did not have an impact on the Company's results of operations, financial position, or cash flows as it relates only to financial statement presentation.

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Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit) (Tables)
12 Months Ended
Dec. 31, 2013
Redeemable Convertible Preferred Stock and Stockholders' Equity (Deficit)  
Schedule of redeemable convertible preferred stock

Redeemable convertible preferred stock consisted of the following at December 31, 2012 and August 7, 2013 (in thousands, except share data):

 
  Shares
Authorized
  Shares
Issued and
Outstanding
  Aggregate
Liquidation
Preference
 

Series A

    8,150,000     1,567,306   $ 4,075  

Series B

    18,124,230     3,485,425     14,735  

Series C

    14,215,791     2,726,476     15,000  

Series D

    7,789,215     1,497,921     15,890  

Series E

    5,045,662     965,927     11,000  

Series F

    5,988,024     1,151,542     20,000  

Series G

    8,677,338     1,668,707     15,450  

Series G-1

    2,073,148     216,015     2,000  

Series H

    13,100,000     2,014,641     20,000  
               

 

    83,163,408     15,293,960   $ 118,150  
               
               
Summary of warrants to purchase common and preferred stock

 

 

 
  Number of Shares Subject to Warrant  
 
  December 31,
2012
  December 31,
2013
  Exercise Price  

Warrants to purchase shares of common stock

    71,153       $ 7.49  

Warrants to purchase shares of common stock

    470,082         9.93  

Warrants to purchase Series C redeemable convertible preferred stock(1)

    7,325         5.50  

Warrants to purchase Series E redeemable convertible preferred stock(1)

    4,390         11.39  

Warrants to purchase shares of common stock(1)

        7,325     5.50  

Warrants to purchase shares of common stock(1)

        4,390     11.39  

Warrants to purchase Series G-1 redeemable convertible preferred stock

    182,666         9.26  
                 

 

    735,616     11,715        
                 
                 

(1)
Warrants to purchase Series C and Series E redeemable convertible preferred stock were converted into warrants to purchase shares of common stock upon the closing of the Company's initial public offering.
Summary of stock option activity

 

 

 
  Shares Subject
to Options
Outstanding
  Weighted
Average
Grant Date
Fair Value
  Weighted
Average
Exercise Price
  Weighted
Average
Remaining
Contractual
Life (Years)
 

Balance at December 31, 2010

    3,373,112     2.02     3.51     6.9  

Granted

    1,988,044     3.94     6.19        

Exercised

    (577,437 )   1.20     2.08        

Expired

    (186,736 )   2.39     4.33        

Forfeited

    (244,279 )   3.22     5.30        
                     

Balance at December 31, 2011

    4,352,704     2.93     4.79     7.6  

Granted

    715,205     5.31     9.45        

Exercised

    (245,349 )   1.92     3.20        

Expired

    (14,148 )   2.97     4.91        

Forfeited

    (159,174 )   3.63     5.71        
                     

Balance at December 31, 2012

    4,649,238     3.33     5.56     7.2  

Granted

    480,698     10.08     13.20        

Exercised

    (107,042 )   2.36     4.17        

Expired

    (27,772 )   3.43     5.79        

Forfeited

    (89,908 )   4.44     7.14        
                     

Balance at December 31, 2013

    4,905,214   $ 3.95   $ 6.31     6.4  
                     
                     

Exercisable options at December 31, 2012

    2,640,278   $ 2.50   $ 4.26     5.8  

Vested during the year ended December 31, 2012

    824,083     3.69     5.93        

Vested and expected to vest at December 31, 2012

    4,280,084     3.22     5.41        

Non-vested options at December 31, 2012

    2,009,505     4.37     7.28        

Exercisable options at December 31, 2013

    3,285,695     2.91     4.88     5.5  

Vested during the year ended December 31, 2013

    845,965     4.08     6.97        

Vested and expected to vest at December 31, 2013

    4,544,942     3.82     6.15        

Non-vested options at December 31, 2013

    1,619,517     6.11     9.22        
Summary of stock options outstanding and exercisable

The following table summarizes information about stock options outstanding and exercisable at December 31, 2013:

 
  Options Outstanding   Options Exercisable  
Range of Exercise Prices
  Weighted
Average
Exercise
Price
  Number of
Underlying
Shares
  Weighted-
Average
Remaining
Contractual
Life (in years)
  Number of
Underlying
Shares
  Weighted-
Average
Remaining
Contractual
Life (in years)
 

$0.26 - 1.30

  $ 0.57     187,284     1.0     187,284     1.0  

1.35 - 2.60

    2.18     473,347     2.5     473,347     2.5  

2.65 - 3.90

    3.23     325,523     3.6     325,523     3.6  

3.95 - 5.20

    4.87     941,827     5.2     937,785     5.2  

5.25 - 6.50

    6.19     1,686,513     7.7     1,033,886     7.7  

6.55 - 7.80

    7.49     118,947     6.5     100,620     6.5  

7.85 - 9.10

    8.84     238,451     8.5     94,534     8.5  

9.15 - 22.77

    11.54     933,322     8.7     132,716     8.9  
                             

 

          4,905,214           3,285,695        
                             
                             
Summary of aggregate intrinsic-value of options exercised, outstanding and exercisable

The following table summarizes the aggregate intrinsic-value of options exercised, outstanding and exercisable (in thousands):

 
  For the Years Ended and as of
December 31,
 
 
  2011   2012   2013  

Options Exercised

  $ 2,400   $ 1,310   $ 1,315  

Options Outstanding

    9,110     23,480     56,197  

Options Exercisable

    7,100     16,800     42,116  
Schedule of assumptions used to estimate fair value of option awards

 

 

 
  Years Ended December 31,
 
  2011   2012   2013

Expected volatility

  71 - 73%   59 - 63%   56 - 59%

Expected dividends

  0%   0%   0%

Expected terms (in years)

  5.0 - 6.1   5.0 - 6.1   3.3 - 7.2

Risk-free rate

  1.1 - 2.5%   0.7 - 1.0%   0.8 - 1.7%

Forfeiture rate

  11.6%   7.9%   7.2%
Schedule of total stock-based compensation expense classified in statements of operations

Total stock-based compensation expense has been classified as follows in the accompanying statements of operations (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Cost of revenue

  $ 49   $ 78   $ 63  

Research and development

    492     704     1,414  

Sales and marketing

    523     580     743  

General and administrative

    949     1,507     1,540  
               

Total stock-based compensation expense

  $ 2,013   $ 2,869   $ 3,760  
               
               
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Fair Value Measurements (Details) (USD $)
12 Months Ended 12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2013
Preferred stock warrants
Dec. 31, 2012
Preferred stock warrants
Aug. 07, 2013
Preferred stock warrants
Dec. 31, 2012
Redeemable preferred stock warrants
Dec. 31, 2013
Measured on a recurring basis
Level 1
Money market funds
Dec. 31, 2012
Measured on a recurring basis
Level 1
Money market funds
Dec. 31, 2012
Measured on a recurring basis
Level 3
Redeemable preferred stock warrants
Dec. 31, 2012
Measured on a recurring basis
Total
Redeemable preferred stock warrants
Dec. 31, 2013
Measured on a recurring basis
Total
Money market funds
Dec. 31, 2012
Measured on a recurring basis
Total
Money market funds
Assumptions used for calculation of fair value of the warrant                          
Dividend yield (as a percent)             0.00%            
Expected volatility (as a percent)             54.00%            
Risk-free interest rate (as a percent)             0.16%            
Remaining contractual term             1 year 6 months            
Fair value                          
Cash equivalents               $ 79,013,000 $ 15,554,000     $ 79,013,000 $ 15,554,000
Other liabilities                   601,000 601,000    
Change in fair value of warrant liability recorded in other expense 709,000 254,000 (227,000) 300,000 700,000                
Aggregate fair value of warrant liability           $ 1,300,000              
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Description of Business and Summary of Significant Accounting Policies (Policies)
12 Months Ended
Dec. 31, 2013
Description of Business and Summary of Significant Accounting Policies  
Reclassifications

Reclassifications

        Certain prior-year amounts have been reclassified in order to conform to the current-year presentation. The reclassification is related to gains or losses on inventory purchase commitments from accrued liabilities into the applicable caption on the statements of cash flows. This reclassification had no effect on the previously reported net cash (used in) provided by operating activities.

Basis of Presentation

Basis of Presentation

        The consolidated financial statements include the accounts of the Company and its wholly-owned subsidiaries. All intercompany balances and transactions have been eliminated in the consolidated financial statements.

Initial Public Offering

Initial Public Offering

        On August 7, 2013, the Company completed its initial public offering ("IPO") of common stock in which the Company sold and issued 4,600,000 shares of common stock at a price of $16.00 per share. As a result of the IPO, the Company raised a total of $73.6 million in gross proceeds, or approximately $65.6 million in net proceeds after deducting underwriting discounts and commissions of $5.2 million and offering expenses of approximately $2.8 million.

Stock Split

Stock Split

        In July 2013, the Company's board of directors and stockholders approved an amendment to the Company's amended and restated certificate of incorporation. The amendment provided for a 1-for-5.2 reverse stock split of the outstanding common stock and outstanding convertible preferred stock (collectively, "Capital Stock"), which became effective on July 18, 2013. Accordingly, (i) every 5.2 shares of Capital Stock have been combined into one share of Capital Stock, (ii) the number of shares of Capital Stock into which each outstanding option or warrant to purchase Capital Stock is exercisable, as the case may be, have been proportionately decreased on a 5.2-for-1 basis, and (iii) the exercise price for each such outstanding option or warrant to purchase Capital Stock has been proportionately increased on a 1-for-5.2 basis. All of the share numbers, share prices, and exercise prices have been adjusted within these financial statements, on a retroactive basis, to reflect this 1-for-5.2 reverse stock split.

Segment Reporting

Segment Reporting

        Operating segments are identified as components of an enterprise about which separate discrete financial information is available for evaluation by the chief operating decision-maker, the Chief Executive Officer, in making decisions regarding resource allocation and accessing performance. To date, the Company has viewed its operations and manages its business as one operating segment.

Concentrations of Risk

Concentrations of Risk

        The Company's accounts receivable are derived from revenue earned from dealers and distributors primarily located in the United States and Canada. The Company's sales to dealers and distributors located outside the United States are generally denominated in United States dollars, except for sales to dealers and distributors located in the United Kingdom, which are denominated in pounds sterling. There were no individual account balances greater than 10% of total accounts receivable at December 31, 2012 and December 31, 2013.

        No dealer or distributor accounted for more than 10% of total revenue for the years ended December 31, 2011, 2012 and 2013.

        The Company relies on a limited number of suppliers for its contract manufacturing. A significant disruption in the operations of these manufacturers would impact the production of the Company's products for a substantial period of time, which could have a material adverse effect on the Company's business, financial condition and results of operations.

Geographic Information

Geographic Information

        The Company's revenue includes amounts earned through sales to dealers and distributors located outside of the United States. With the exception of Canada, no single foreign country accounted for more than 10% of total revenue for the years ended December 31, 2011, 2012 and 2013. The following table sets forth revenue from the U.S., Canadian and all other international dealers and distributors combined (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Revenue-United States

  $ 63,625   $ 69,957   $ 85,525  

Revenue-Canada

    10,480     12,453     14,079  

Revenue-all other international sources

    19,271     27,102     28,907  
               

Total revenue

  $ 93,376   $ 109,512   $ 128,511  
               
               

International revenue (excluding Canada) as a percent of total revenue

    21 %   25 %   22 %
Use of Accounting Estimates

Use of Accounting Estimates

        The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities as of the date of the financial statements and the reported amounts of revenues and expenses during the reporting period. On an ongoing basis, the Company evaluates its estimates including those related to revenue recognition, sales returns, provisions for doubtful accounts, product warranty, inventory obsolescence, litigation, determination of fair value of stock options, deferred tax asset valuation allowances and income taxes. Actual results may differ from those estimates.

Product Warranty

Product Warranty

        The Company provides its customers a limited product warranty of two years, which requires the Company to repair or replace (at its option) defective products during the warranty period at no cost to the customer. The Company estimates the costs that may be incurred to replace or repair defective products and records a reserve at the time revenue is recognized. Factors that affect the Company's warranty liability include the number of installed systems, the Company's historical experience and management's judgment regarding anticipated rates of product warranty returns, net of refurbished products. The Company assesses the adequacy of its recorded warranty liability each period and makes adjustments to the liability as necessary. Warranty costs accrued includes amounts accrued for products at the time of shipment, adjustments for changes in estimated costs for warranties on products shipped in the period, and changes in estimated costs for warranties on products shipped in prior periods. It is not practicable for the Company to determine the amounts applicable to each of these components.

        The following table presents the changes in the product warranty liability (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Balance at the beginning of the period

  $ 775   $ 1,030   $ 1,155  

Warranty costs accrued

    727     1,050     1,025  

Warranty claims

    (472 )   (925 )   (967 )
               

Balance at the end of the period

  $ 1,030   $ 1,155   $ 1,213  
               
               
Fair Value of Financial Instruments

Fair Value of Financial Instruments

        The carrying amounts reported in the accompanying consolidated financial statements for cash and cash equivalents, accounts payable and accrued liabilities approximate their fair value because of the short-term nature of the accounts. The fair value of the notes payable approximates its carrying value based on the variable nature of interest rates and current market rates available to the Company.

Net Income (Loss) Per Share

Net Income (Loss) Per Share

        Basic net income (loss) per share is computed using the weighted-average number of common shares outstanding during the period. Diluted net income (loss) per share is computed using the weighted-average number of common shares outstanding and potentially dilutive common shares outstanding during the period that have a dilutive effect on net income per share. Potentially dilutive common shares result from the assumed exercise of outstanding stock options and the assumed conversion of outstanding convertible preferred stock and warrants using the if-converted method. In a net loss position, diluted net loss per share is computed using only the weighted-average number of common shares outstanding during the period, as any additional common shares would be anti-dilutive.

        The following table presents the reconciliation of the numerator and denominator used in the calculation of basic and diluted net income (loss) per share (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Numerator:

                   

Net income (loss)

  $ (3,885 ) $ (3,723 ) $ 3,503  
               
               

Denominator:

                   

Weighted average common stock outstanding for basic net income (loss) per common share

    1,923     2,360     10,609  

Effect of dilutive securities—stock options, convertible preferred stock, and warrants to purchase common stock and preferred stock

            11,654  
               

Weighted average common shares and dilutive securities outstanding

    1,923     2,360     22,263  
               
               

        The following weighted-average common stock equivalents were anti-dilutive and therefore were excluded from the calculation of diluted net income (loss) per share (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Convertible preferred stock

    15,257     15,294      

Options to purchase common stock

    3,953     4,317     356  

Warrants to purchase common stock

    510     541     1  

Warrants to purchase preferred stock

    194     194      
               

Total

    19,914     20,346     357  
               
               
Revenue Recognition

Revenue Recognition

        The Company sells its products through a network of independent dealers, regional and national retailers and distributors. These dealers, retailers and distributors generally sell the Company's products to the end consumer as part of a bundled sale, which typically includes other third-party products and related services, project design and installation services and on-going support.

        The Company's products include embedded software that is essential to the functionality of the hardware. Accordingly, the hardware and embedded software are accounted for as a single deliverable. In 2013, the Company began bundling MyHome software licenses with its new controllers. These software licenses do not include acceptance provisions, rights to updates (e.g., when-and-if-available enhancements or upgrades to the functionality of the software) or post-contract customer support such as technical support. When a software license and controller are sold together, a multiple element arrangement exists and revenue is allocated to each deliverable based on relative selling prices. Typically, delivery of both the product and the software license occurs at the same time. The Company recognizes revenue when persuasive evidence of an arrangement exists, delivery has occurred, the sales price is fixed or determinable, and collection is reasonably assured. Product or licensed software is considered delivered once it has been shipped and title and risk of loss have been transferred. For most of the Company's product sales, these criteria are met at the time the product is shipped.

        The Company records estimated reductions to revenue for dealer, retailer and distributor incentives, primarily comprised of volume rebates, at the time of the initial sale. The estimated reductions to revenue for rebates are based on the sales terms and the Company's historical experience and trend analysis. The most common incentive relates to amounts paid or credited to dealers and distributors for achieving defined volume levels or growth objectives.

        Software license revenue represents fees earned from activating applications which allow end consumers to manage and control their automation systems using tablets, smartphones and other third-party devices. Software products such as Composer Home and Media Editions are sold on a limited basis and do not constitute a significant portion of revenue. The Company's perpetual software licenses do not include acceptance provisions, rights to updates or upgrades or post-contract customer support such as technical support; the Company generally recognizes revenue at the time the software license is provided.

        The Company offers a subscription service that allows consumers to control and monitor their homes remotely and allows the Company's dealers to perform remote diagnostic services. Subscription revenue is deferred at the time of payment and recognized on a straight-line basis over the period the service is provided.

        Total revenue for subscription services represents less than 10% of total revenue for all periods presented.

        The Company recognizes revenue net of cost of revenue for third-party products sold through the Company's online ordering system. While the Company assumes credit risk on sales to its dealers and distributors for third-party products, the Company does not determine the product selling price, does not retain associated inventory risks and is not the primary obligor to the end consumer.

        The Company's agreements with dealers and distributors generally do not include rights of return or acceptance provisions. Even though contractual agreements do not provide return privileges, there are circumstances in which the Company will accept returns. In addition, agreements with certain retail distributors contain price protection and limited rights of return. The Company maintains a reserve for such returns based on the Company's historical return experience.

        Shipping charges billed to dealers and distributors are included in revenue and related shipping costs are included in cost of revenue.

Cost of Revenue

Cost of Revenue

        Cost of revenue includes the following: the cost of inventory sold during the period, inventory write-down costs, payroll and other direct installation services costs, purchasing costs, royalty obligations, shipping expenses to dealers and distributors and warehousing costs, which include inbound freight costs from manufacturers, rent and payroll and benefit costs.

Cash and Cash Equivalents

Cash and Cash Equivalents

        The Company considers all highly liquid short-term investments with original maturities of three months or less at the time of purchase to be cash equivalents. Cash equivalents consist primarily of money market funds.

Allowance for Doubtful Accounts

Allowance for Doubtful Accounts

        The Company extends credit to the majority of its dealers and distributors, which consist primarily of small, local businesses. Issuance of credit is based on ongoing credit evaluations by the Company of dealers' and distributors' financial condition and generally requires no collateral. Trade accounts receivable are recorded at the invoiced amount and do not bear interest. The Company maintains an allowance for doubtful accounts to reserve for potential uncollectible receivables. The allowance is based upon the creditworthiness of the Company's dealers and distributors, the dealers' and distributors' historical payment experience, the age of the receivables and current market and economic conditions. Provisions for potentially uncollectible accounts are recorded in sales and marketing expenses. The Company writes off accounts receivable balances to the allowance for doubtful accounts when it becomes likely that they will not be collected.

        The following table presents the changes in the allowance for doubtful accounts (in thousands):

 
  Years Ended December 31,  
 
  2011   2012   2013  

Balance at beginning of period

  $ 619   $ 651   $ 643  

Provision

    283     184     159  

Deductions

    (251 )   (192 )   (197 )
               

Balance at end of period

  $ 651   $ 643   $ 605  
               
               
Inventories

Inventories

        Inventories consist of hardware and related component parts and are stated at the lower of cost or market using the first-in, first-out method. The Company periodically assesses the recoverability of its inventory and reduces the carrying value of the inventory when items are determined to be obsolete, defective or in excess of forecasted sales requirements. Inventory write-downs for excess, defective and obsolete inventory are recorded as a cost of revenue and totaled $1.3 million, $1.5 million, and $2.3 million for the years ended December 31, 2011, 2012 and 2013, respectively.

        In December 2012, the Company finalized termination of a sales contract and, as a result of the contract termination, recorded a $1.8 million expense associated with an anticipated loss on firm purchase commitments for components that would have been required to meet the Company's obligations under the terminated contract. The $1.8 million charge has been recorded as Cost of Revenue—Inventory Purchase Commitment in the accompanying consolidated statement of operations during the year ended December 31, 2012.

        In 2013, the Company recorded a gain related to inventory purchase commitments of approximately $0.4 million, as the proceeds from liquidating the underlying inventory and the Company's ability to consume common components exceeded original estimates.

Property and Equipment

Property and Equipment

        Property and equipment are recorded at historical cost, less accumulated depreciation. Depreciation is computed using the straight-line method over the following estimated useful lives:

Furniture and fixtures

  2 - 5 years

Manufacturing tooling and test equipment

  2 - 3 years

Lab and warehouse equipment

  2 - 4 years

Computer equipment and software

  3 - 4 years

Marketing equipment

  2 - 3 years

        Maintenance and repairs that do not extend the life of or improve the asset are expensed in the year incurred. Leasehold improvements are depreciated over the estimated useful life (usually 3-5 years) or the life of the associated lease, whichever is less.

Intangible Assets

Intangible Assets

        Intangible assets primarily consist of acquired technology. The Company amortizes, to cost of revenue, definite-lived intangible assets on a straight-line basis over the life of the technology.

Impairment of Long-Lived Assets

Impairment of Long-Lived Assets

        The carrying value of long-lived assets is reviewed for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset or asset group may not be recoverable. An impairment loss is recognized when the carrying amount of an asset exceeds the estimated undiscounted future cash flows expected to result from the use of the asset and its eventual disposition. The amount of the impairment loss to be recorded is calculated by the excess of the asset's carrying value over its fair value. Fair value is generally determined using a discounted cash flow analysis.

Redeemable Convertible Preferred Stock Warrant

Redeemable Convertible Preferred Stock Warrant

        Freestanding warrants and other similar instruments related to shares that are redeemable are accounted for in accordance with ASC 480, "Distinguishing Liabilities and Equity." Under ASC 480, freestanding warrants that relate to the Company's redeemable convertible preferred stock are classified as a liability on the balance sheet. The warrant to purchase Series G-1 redeemable convertible preferred stock was subject to re-measurement at each balance sheet date and any change in fair value was recognized as a component of other income or expense. Fair value was measured using the Black-Scholes option pricing model. The Company continued to adjust the liability for changes in fair value until the closing of its initial public offering, at which time the redeemable convertible preferred stock warrants were exercised and converted into common stock and, accordingly, the liability was reclassified to equity.

Foreign Currency Translation

Foreign Currency Translation

        The functional currency of the Company's subsidiaries in England, China, Hong Kong and India are the pound sterling, the Chinese Yuan, the Hong Kong Dollar and the Indian Rupee, respectively. The subsidiary's assets and liabilities have been translated to U.S. dollars using the exchange rates in effect at the balance sheet dates. Statements of operations amounts have been translated using the average exchange rate for each year. Resulting gains or losses from translating foreign currency financial statements are recorded as other comprehensive income (loss). Foreign currency transaction gains (losses) resulting from exchange rate fluctuations on transactions denominated in a currency other than the local currency are included in earnings and have not been material for the years ended December 31, 2011, 2012 or 2013.

Stock-Based Compensation

Stock-Based Compensation

        The Company recognizes compensation expense for all stock-based awards issued to employees and directors based on estimated grant date fair values. The Company selected the Black-Scholes option-pricing model to determine the estimated fair value at the date of grant for stock options. The Company elected to amortize compensation expense using the straight-line attribution method, under which stock-based compensation expense is recognized on a straight-line basis over the period the employee performs the related services, generally the vesting period of four years, net of estimated forfeitures. The Company has estimated forfeiture rates based on its historical experience and will update the rates, as necessary, in subsequent periods if actual forfeitures differ from initial estimates.

        The Black-Scholes option-pricing model requires management assumptions regarding various factors that require extensive use of accounting judgment and financial estimates. The Company estimates the expected term for options using the simplified method, which utilizes the weighted average expected life of each tranche of the stock option, determined based on the sum of each tranche's vesting period plus one-half of the period from the vesting date of each tranche to the stock option's expiration, because the Company's options are considered "plain vanilla." The Company computed the expected volatility using multiple peer companies for a period approximating the expected term. The risk-free interest rate was determined using the implied yield on U.S. Treasury issues with a remaining term within the expected life of the award.

        The Company accounts for stock-based instruments and awards issued to non-employees at fair value using the Black-Scholes option-pricing model. Management believes that the fair value of the stock-based awards is more reliably measured than the fair value of the services received. The fair value of each non-employee award is re-measured each period until a commitment date is reached, which is generally the vesting date.

Income Taxes

Income Taxes

        The Company recognizes deferred tax assets and liabilities for the future tax consequences attributable to the differences between the financial statement carrying value of existing assets and liabilities and their respective tax bases. Deferred tax assets and liabilities are measured using enacted tax rates in effect for the fiscal year in which those temporary differences are expected to be recovered or settled. Valuation allowances are established when necessary to reduce deferred tax assets to the amount expected to be realized.

        The Company operates in various tax jurisdictions and is subject to audit by various tax authorities. The Company provides for tax contingencies whenever it is deemed probable that a tax asset has been impaired or a tax liability has been incurred for events such as tax claims or changes in tax laws. Tax contingencies are based upon their technical merits, relative tax law and the specific facts and circumstances as of each reporting period. Changes in facts and circumstances could result in material changes to the amounts recorded for such tax contingencies.

        The Company recognizes uncertain income tax positions taken on income tax returns at the largest amount that is more-likely-than-not to be sustained upon audit by the relevant taxing authority. An uncertain income tax position will not be recognized if it has less than a 50% likelihood of being sustained.

        The Company's policy for recording interest and penalties associated with uncertain tax positions is to record such items as a component of its income tax provision. During the years ended December 31, 2011, 2012 and 2013, we did not record any material interest income, interest expense or penalties related to uncertain tax positions or the settlement of audits for prior periods.

Presentation of Certain Taxes

Presentation of Certain Taxes

        The Company collects various taxes from dealers and distributors and remits these amounts to the applicable taxing authorities. The Company's accounting policy is to exclude these taxes from revenue and cost of revenue.

Research and Development

Research and Development

        Research and development expenses consist primarily of personnel costs, including incentive compensation, depreciation associated with research and development equipment, contract labor and consulting services, facilities-related costs, and travel-related costs. Research and development costs are expensed as incurred.

Recent Accounting Pronouncements

Recent Accounting Pronouncements

        In February 2013, the FASB issued ASU 2013-02, "Comprehensive Income: Reporting of Amounts Reclassified Out of Accumulated Other Comprehensive Income." The amended guidance requires an entity to present the effects on the line items of net income of significant reclassifications out of accumulated other comprehensive income if the amount being reclassified is required under U.S. generally accepted accounting principles to be reclassified in its entirety to net income in the same reporting period. The guidance is effective prospectively for the reporting periods beginning after December 15, 2012. This new guidance was effective for the Company beginning January 1, 2013. The adoption of this guidance did not have an impact on the Company's results of operations, financial position, or cash flows as it relates only to financial statement presentation.

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Document and Entity Information (USD $)
In Millions, except Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Feb. 14, 2014
Aug. 02, 2013
Document and Entity Information      
Entity Registrant Name Control4 Corp    
Entity Central Index Key 0001259515    
Document Type 10-K    
Document Period End Date Dec. 31, 2013    
Amendment Flag false    
Current Fiscal Year End Date --12-31    
Entity Well-known Seasoned Issuer No    
Entity Voluntary Filers No    
Entity Current Reporting Status Yes    
Entity Filer Category Non-accelerated Filer    
Entity Public Float     $ 199.7
Entity Common Stock, Shares Outstanding   22,901,986  
Document Fiscal Year Focus 2013    
Document Fiscal Period Focus FY