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Balance Sheet Components (Tables)
12 Months Ended
Jan. 31, 2020
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Components of Cash and Cash Equivalents
Cash, cash equivalents, and investments consisted of the following:
 
As of January 31,
 
2020
 
2019
 
(in thousands)
Cash and cash equivalents
 
 
 
Cash
$
2,131

 
$
125,852

Money market funds
118,899

 
2,023

U.S. Treasury securities
2,994

 

Total cash and cash equivalents
$
124,024

 
$
127,875

Available-for-sale investments:
 
 
 
U.S. Treasury securities
$
24,987

 
$

Commercial paper
20,132

 

Corporate debt securities
149,248

 

U.S. Government agency securities
4,973

 

Total available-for-sale investments
$
199,340

 
$

Held-to-maturity investments:
 
 
 
U.S. Treasury securities
$
9,016

 
$

Commercial paper
5,985

 

Corporate debt securities
13,034

 

Total held-to-maturities investments
$
28,035

 
$

Total investments
$
227,375

 
$


Components of Available-for-sale Investments
Cash, cash equivalents, and investments consisted of the following:
 
As of January 31,
 
2020
 
2019
 
(in thousands)
Cash and cash equivalents
 
 
 
Cash
$
2,131

 
$
125,852

Money market funds
118,899

 
2,023

U.S. Treasury securities
2,994

 

Total cash and cash equivalents
$
124,024

 
$
127,875

Available-for-sale investments:
 
 
 
U.S. Treasury securities
$
24,987

 
$

Commercial paper
20,132

 

Corporate debt securities
149,248

 

U.S. Government agency securities
4,973

 

Total available-for-sale investments
$
199,340

 
$

Held-to-maturity investments:
 
 
 
U.S. Treasury securities
$
9,016

 
$

Commercial paper
5,985

 

Corporate debt securities
13,034

 

Total held-to-maturities investments
$
28,035

 
$

Total investments
$
227,375

 
$


Components of Held-to-maturity Investments
Cash, cash equivalents, and investments consisted of the following:
 
As of January 31,
 
2020
 
2019
 
(in thousands)
Cash and cash equivalents
 
 
 
Cash
$
2,131

 
$
125,852

Money market funds
118,899

 
2,023

U.S. Treasury securities
2,994

 

Total cash and cash equivalents
$
124,024

 
$
127,875

Available-for-sale investments:
 
 
 
U.S. Treasury securities
$
24,987

 
$

Commercial paper
20,132

 

Corporate debt securities
149,248

 

U.S. Government agency securities
4,973

 

Total available-for-sale investments
$
199,340

 
$

Held-to-maturity investments:
 
 
 
U.S. Treasury securities
$
9,016

 
$

Commercial paper
5,985

 

Corporate debt securities
13,034

 

Total held-to-maturities investments
$
28,035

 
$

Total investments
$
227,375

 
$


The following table summarizes the Company’s investments’ adjusted cost, net unrealized gains, and fair value by significant investment category as of January 31, 2020. Gross realized gains or losses from sales of available-for-sale securities were not material for the fiscal year ended January 31, 2020.    
 
Adjusted Cost
 
Unrealized Gain, Net
 
Fair value
 
(in thousands)
Available-for-sale investments:
 
 
 
 
 
U.S. Treasury securities
$
24,978

 
$
9

 
$
24,987

Commercial paper
20,128

 
4

 
20,132

Corporate debt securities
149,124

 
124

 
149,248

U.S. Government agency securities
4,973

 

 
4,973

Total available-for-sale investments
$
199,203

 
$
137

 
$
199,340

Held-to-maturity investments:

 

 

U.S. Treasury securities
9,016

 

 
9,016

Commercial paper
5,985

 

 
5,985

Corporate debt securities
13,034

 

 
13,034

Total held-to-maturities investments
28,035

 

 
28,035

Total investments
$
227,238

 
$
137

 
$
227,375


Summary of Carrying Value of Available-for-sale Investments
The following table summarizes the Company’s investments’ adjusted cost, net unrealized gains, and fair value by significant investment category as of January 31, 2020. Gross realized gains or losses from sales of available-for-sale securities were not material for the fiscal year ended January 31, 2020.    
 
Adjusted Cost
 
Unrealized Gain, Net
 
Fair value
 
(in thousands)
Available-for-sale investments:
 
 
 
 
 
U.S. Treasury securities
$
24,978

 
$
9

 
$
24,987

Commercial paper
20,128

 
4

 
20,132

Corporate debt securities
149,124

 
124

 
149,248

U.S. Government agency securities
4,973

 

 
4,973

Total available-for-sale investments
$
199,203

 
$
137

 
$
199,340

Held-to-maturity investments:

 

 

U.S. Treasury securities
9,016

 

 
9,016

Commercial paper
5,985

 

 
5,985

Corporate debt securities
13,034

 

 
13,034

Total held-to-maturities investments
28,035

 

 
28,035

Total investments
$
227,238

 
$
137

 
$
227,375


Summary of Contractual Maturities of Available-for-sale Securities The following table presents the Company’s available-for-sale securities by contractual maturity date as of January 31, 2020:
 
Adjusted Cost
 
Fair Value
 
(in thousands)
Due within one year
$
128,127

 
$
128,169

Due between one to five years
71,076

 
71,171

 
$
199,203

 
$
199,340


Components of Property and Equipment, Net
Property and equipment, net consisted of the following:
 
As of January 31,
 
2020
 
2019
 
(in thousands)
Leasehold improvements
$
12,257

 
$
6,512

Computers and equipment
4,431

 
2,998

Furniture and fixtures
2,540

 
1,239

Capitalized internal-use software
389

 
389

Gross property and equipment(1)
$
19,617

 
$
11,138

Accumulated depreciation and amortization
(7,248
)
 
(5,366
)
Property and equipment, net
$
12,369

 
$
5,772

(1) Gross property and equipment includes construction-in-progress for leasehold improvements and furniture and fixtures of $5.1 million and $0.2 million that had not yet been placed in service as of January 31, 2020 and January 31, 2019, respectively. The costs associated with construction-in-progress are not amortized until placed in service.
Components of Other Assets
Other assets consisted of the following:
 
As of January 31,
 
2020
 
2019
 
(in thousands)
Restricted cash
$

 
$
2,448

Deferred offering costs

 
3,261

Capitalized implementation costs
358

 
286

Other
1,293

 
1,160

Other assets
$
1,651

 
$
7,155


Components of Accrued Expenses and Other Current Liabilities
Accrued expenses and other current liabilities consisted of the following:
 
As of January 31,
 
2020
 
2019
 
(in thousands)
Accrued professional fees
$
1,436

 
$
3,037

Accrued events
300

 
400

Deferred rent
790

 
268

Accrued hosting and infrastructure
689

 
47

Early exercise liability
509

 
1,827

Accrued taxes
961

 
255

Accrued liabilities, other
2,512

 
1,311

Accrued expenses and other liabilities
$
7,197

 
$
7,145