0001818874-21-000028.txt : 20210812 0001818874-21-000028.hdr.sgml : 20210812 20210812161243 ACCESSION NUMBER: 0001818874-21-000028 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 15 CONFORMED PERIOD OF REPORT: 20210812 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20210812 DATE AS OF CHANGE: 20210812 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SoFi Technologies, Inc. CENTRAL INDEX KEY: 0001818874 STANDARD INDUSTRIAL CLASSIFICATION: FINANCE SERVICES [6199] IRS NUMBER: 981547291 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-39606 FILM NUMBER: 211167683 BUSINESS ADDRESS: STREET 1: 234 1ST STREET CITY: SAN FRANCISCO STATE: CA ZIP: 94105 BUSINESS PHONE: (855) 456-7634 MAIL ADDRESS: STREET 1: 234 1ST STREET CITY: SAN FRANCISCO STATE: CA ZIP: 94105 FORMER COMPANY: FORMER CONFORMED NAME: Social Capital Hedosophia Holdings Corp. V DATE OF NAME CHANGE: 20200722 8-K 1 sofi-20210812.htm 8-K sofi-20210812
0001818874FALSE00018188742021-08-122021-08-120001818874us-gaap:CommonStockMember2021-08-122021-08-120001818874sofi:RedeemableWarrantsMember2021-08-122021-08-12

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
__________________________________
FORM 8-K
__________________________________
CURRENT REPORT
PURSUANT TO SECTION 13 OR 15(D)
OF THE SECURITIES EXCHANGE ACT OF 1934
Date of Report (Date of earliest event reported): August 12, 2021
SoFi Technologies, Inc.
(Exact name of registrant as specified in its charter)
Delaware
(State or other jurisdiction
of incorporation)
001-39606
(Commission
File Number)
98-1547291
(I.R.S. Employer
Identification No.)
234 1st Street
San Francisco, California
94105
(Address of principal executive offices)(Zip Code)
(855) 456-7634
(Registrant’s telephone number, including area code)

Check the appropriate box below if the Form 8-K is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions:
Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))
Securities registered pursuant to Section 12(b) of the Act:
Title of each classTrading Symbol(s)Name of each exchange
on which registered
Common stock, $0.0001 par value per shareSOFIThe Nasdaq Global Select Market
Redeemable warrants, each whole warrant exercisable for one share of common stock, $0.0001 par valueSOFIWThe Nasdaq Global Select Market
Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).
Emerging growth company
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act. ☐



Item 2.02    Results of Operations and Financial Condition.
On August 12, 2021, SoFi Technologies, Inc. issued a press release reporting its financial results for the three and six months ended June 30, 2021. A copy of the press release is attached as Exhibit 99.1 and is incorporated herein by reference. This Exhibit 99.1 is deemed "filed" for purposes of Section 18 of the Securities Exchange Act of 1934, as amended, and is incorporated by reference in all appropriate filings under the Securities Act of 1933, as amended, except for the second paragraph and the section entitled "Guidance and Outlook", each of which shall be "furnished", not "filed".

Item 9.01    Financial Statements and Exhibits.
(d) Exhibits
Exhibit No.Description
104Cover Page Interactive Data File (embedded within the inline XBRL document)
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SIGNATURE
Pursuant to the requirements of the Securities Exchange Act of 1934, as amended, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
SoFi Technologies, Inc.
Date: August 12, 2021
By:/s/ Christopher Lapointe
Name:Christopher Lapointe
Title:Chief Financial Officer

EX-99.1 2 q22021earningsrelease.htm EX-99.1 Document

SOFI TECHNOLOGIES REPORTS SECOND QUARTER 2021 RESULTS
Total Year-over-Year Member Growth of 113% Accelerated for 8th Consecutive Quarter to 2.6 million
Total Products of 3.7 million Up 123% Year-over-Year

Record Quarterly Net Revenue Up 101% Year-over-Year and Adjusted Net Revenue Up 74% Year-over-Year
Successful Business Combination and Public Listing on Nasdaq
SAN FRANCISCO, Calif – (BUSINESS WIRE) – August 12, 2021 – SoFi Technologies, Inc. (NASDAQ: SOFI), a member-centric, one-stop shop for digital financial services that allows members to borrow, save, spend, invest and protect their money, reported financial results today for its second quarter ended June 30, 2021.
“The second quarter proved to be another quarter full of milestones for SoFi,” said Anthony Noto, CEO of SoFi. “We exceeded our financial expectations, delivering record adjusted quarterly net revenue and our fourth consecutive quarter of positive adjusted EBITDA. We drove our 8th straight quarter of accelerating member growth, with even faster growth in cross-buying from existing members, increased our Galileo account base to nearly 79 million, and raised nearly $2 billion in our successful transition to a public company. We accomplished all of this by focusing on our members and our mission to provide them with the right financial products, services, and advice for every major financial decision in their lives and every day in between.”
Consolidated results summary
Three Months Ended June 30,% Change
($ in thousands)
20212020
Consolidated GAAP
Total net revenue$231,274 $114,952 101 %
Net income (loss)(165,314)7,808 n/m
Consolidated Non-GAAP
Adjusted net revenue(1)
$237,215 $136,250 74 %
Adjusted EBITDA(1)
11,240 (23,750)n/m
___________________
(1)Adjusted net revenue and adjusted EBITDA are non-GAAP financial measures. For more information and reconciliations to the most comparable GAAP measures, see “Non-GAAP Financial Measures” and Table 2 to the “Financial Tables” herein.

Consolidated Results
Total GAAP net revenue of $231.3 million in the second quarter of 2021 was up 101% from the corresponding prior-year period. On an adjusted basis, net revenue for the second quarter of 2021 was $237.2 million, a record high and 74% higher than last year's second quarter total of $136.3 million. Strength in all three of SoFi's business segments drove the growth in these measures.
SoFi recorded a $165.3 million net loss for the second quarter of 2021, compared to net income of $7.8 million in last year's second quarter. We remeasured our valuation allowance during 2020 as a result of the deferred tax liabilities recognized in connection with our acquisition of Galileo, which decreased the valuation allowance by $99.8 million. The absence of that tax benefit, together with significant non-cash stock-based compensation expenses and fair value changes in warrants primarily related to the fair market value of SoFi stock, were the largest contributors to the current period net loss.

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Second quarter adjusted EBITDA of $11.2 million was positive for the fourth consecutive quarter, and $35.0 million higher than the second quarter of 2020, due to the combination of higher revenues across all business segments, partially offset by increased spending to achieve incremental growth.
The Company continued its trend of accelerating year-over-year growth in both members and total products in the second quarter. Total members grew 113% year-over-year to 2.6 million, up from 1.2 million at the same point last year, and total products grew 123% to 3.7 million at quarter end compared to 1.6 million at the same point last year. Growth in our member base and products was driven by significant expansion in the offering across business segments, particularly in the Financial Services segment, where growth in SoFi Invest and SoFi Money offerings more than tripled the number of Financial Services segment products, to nearly 2.7 million, up from approximately 783,000 at the same point last year. As of the end of the second quarter of 2021, Financial Services segment products were nearly three times the number of Lending products. Growth in personal and student loans largely drove the 14% year-over-year increase in Lending segment products. Technology Platform accounts increased by 119% in the second quarter of 2021, to nearly 79 million, due to both new client acquisition by Galileo and growth at its existing clients.
q221bargraph-keybusinessmea.jpg
Note: For additional information on our company metrics, see Table 5 in the “Financial Tables” herein.
Lending Segment results
Lending segment net revenues of $166.3 million on a GAAP basis and $172.2 million on an adjusted basis for the second quarter of 2021 increased by 73% and 47%, respectively, year-over-year, driven by higher origination volume in every type of loan SoFi offers.
Lending segment contribution profit of $89.2 million increased 80% year-over-year in the second quarter of 2021, due to the combination of revenue growth and strategic balance sheet management.


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Lending – Segment Results of Operations
Three Months Ended June 30,
($ in thousands)
20212020Variance% Change
Total net revenue – Lending$166,291 $95,884 $70,407 73 %
Servicing rights – change in valuation inputs or assumptions224 18,720 (18,496)(99)%
Residual interests classified as debt – change in valuation inputs or assumptions5,717 2,578 3,139 122 %
Directly attributable expenses(83,044)(67,763)(15,281)23 %
Contribution Profit$89,188 $49,419 $39,769 80 %
Adjusted net revenue – Lending(1)
$172,232 $117,182 $55,050 47 %
___________________
(1)Adjusted net revenue – Lending represents a non-GAAP financial measure. For more information and a reconciliation to the most comparable GAAP measure, see “Non-GAAP Financial Measures” and Table 2 to the “Financial Tables” herein.

In the second quarter of 2021, total origination volume in the Lending segment increased 66% year-over-year. While growth in student loans remains depressed relative to pre-COVID levels, low rates and improving U.S. economic trends have allowed SoFi to return to more normalized credit qualification standards. This led to an increase in personal and home loan funding volumes, which were up 188% and 49%, respectively, year-over-year.
Lending – Originations
Three Months Ended June 30,Variance% Change
($ in thousands)20212020
Home loans$792,228 $532,323 $259,905 49 %
Personal loans1,294,384 448,980 845,404 188 %
Student loans859,497 788,694 70,803 %
Total$2,946,109 $1,769,997 $1,176,112 66 %
Despite various headwinds, SoFi has continued its trend of expanding its set of product offerings and features in the Lending segment. So far this year, SoFi has introduced a Rate Match Guarantee feature for student loans, as well as a "snooze" feature that allows borrowers to lock in current low rates on a new student loan without beginning payments until the suspension of principal and interest payments on federally-held student loans enacted by the CARES Act is lifted. In personal loans, we have refined our credit policy and automation capabilities, creating a faster, more accurate and lower-touch experience. More than 50% of personal loans processed in the second quarter of 2021 were fully automated, up from less than 30% one year ago, and we reduced time to fund by 50%, to two days. And in home loans, we introduced a new rates calculator to help borrowers find the right loan for them. The combination of these enhancements, the return to more normalized credit qualification standards, and increased marketing in a favorable rate environment, contributed to double-digit year-over-year growth across every loan type in the second quarter of 2021.
Lending – Products
June 30, 2021June 30, 2020Variance
% Change
Home loans18,102 10,511 7,591 72 %
Personal loans544,068 474,581 69,487 15 %
Student loans419,270 376,878 42,392 11 %
Total lending products
981,440 861,970 119,470 14 %
Financial Services Segment results
The Company has experienced significant growth in Financial Services net revenue this year, as members have responded positively to a steady stream of new offerings launched since 2019. Second quarter 2021 net revenue of $17.0 million compares to $2.4 million in the second quarter of 2020. The largest driver of the revenue increase was

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our SoFi Invest business, where we experienced a surge in new members and activity. Revenues from new equity capital markets and advisory services offerings we introduced during the quarter contributed as well, as did strength in SoFi Money and SoFi Lantern.
Second quarter Financial Services segment contribution loss of $24.7 million improved by $6.1 million from the prior year quarter loss of $30.9 million. Revenue growth of $14.6 million fueled by strength in the offerings referenced above more than offset the $8.5 million year-over-year increase in expenses driven by ongoing investment to grow this business. At the same time, we are executing efficiently on our long-term strategy to increase member adoption of multiple products across segments, which reduces customer acquisition costs and ultimately drives higher lifetime value per member.
Financial Services – Segment Results of Operations
Three Months Ended June 30,
($ in thousands)
20212020Variance% Change
Total net revenue $17,039 $2,428 $14,611 602 %
Directly attributable expenses(41,784)(33,321)(8,463)25 %
Contribution loss $(24,745)$(30,893)$6,148 (20)%
By continuously innovating for members with new and relevant offerings, features and rewards, SoFi has more than tripled the number of Financial Services products in the past year, to 2.7 million in total. For our SoFi Money offering, we added a two-day early paycheck feature to an already competitive direct deposit program that includes free overdraft protection and roundups. An innovative personal loan/SoFi Money bundle that offers a rate cut on personal loans paid by direct deposit also drove meaningful account growth over the past year. In our SoFi Invest offering, in addition to expanding our crypto and fractional share trading offerings, the Company launched a first-of-its-kind equity ETF that pays weekly dividends. In our new SoFi Credit Card business, accounts, balances and average spend have all grown substantially since we introduced an innovative rewards program earlier this year, where members have already redeemed 450 million points across SoFi products. In our SoFi Relay offering, we have experienced a surge of new members signing up for free credit score monitoring through the app this year, and opportunities for new SoFi At Work partnerships have grown as companies contemplate post-COVID benefit packages for employees.
Financial Services – Products
June 30, 2021June 30, 2020Variance
% Change
Money954,519 220,201 734,318 333 %
Invest1,038,570 328,837 709,733 216 %
Credit Card42,744 — 42,744 n/m
Relay626,195 227,201 398,994 176 %
At Work23,653 6,835 16,818 246 %
Total products
2,685,681 783,074 1,902,607 243 %
Technology Platform Segment results
SoFi's Technology Platform segment consists primarily of Galileo Financial Technologies, LLC (Galileo) a technology infrastructure provider we acquired in May 2020. Already a leader in the internet-only neobanks space with a substantial market share, Galileo is increasingly expanding into non-financial sectors as well. Over the past year, Galileo more than doubled its number of accounts, to nearly 79 million from 36 million, through growth in both new and existing clients.
Technology Platform
June 30, 2021June 30, 2020Variance
% Change
Total accounts
78,902,156 35,988,090 42,914,066 119 %

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Total net revenue of $45.3 million for the second quarter of 2021 was up 138% year-over-year, which reflects a full quarter of operations in 2021 compared to a partial quarter in 2020 subsequent to our acquisition of Galileo. SoFi has used the first year since acquisition to position the business for future growth, investing heavily to move operations from an on-premise environment to the Cloud, nearly double headcount and expand to new geographies. This has caused a significant increase in expenses and slower growth in contribution profit, which was up 8% during the period.
Technology Platform – Segment Results of Operations
Three Months Ended June 30,
($ in thousands)
20212020Variance% Change
Total net revenue$45,297 $19,019 $26,278 138 %
Directly attributable expenses(32,284)(6,919)(25,365)367 %
Contribution Profit $13,013 $12,100 913 %
Recent Events
Social Finance, Inc. (Social Finance) entered into a merger agreement (the Agreement) with Social Capital Hedosophia Holdings Corp. V (SCH) on January 7, 2021. The transactions contemplated by the terms of the Agreement were completed on May 28, 2021, in conjunction with which SCH changed its name to SoFi Technologies, Inc. The transactions contemplated in the Agreement are collectively referred to as the Business Combination.
Guidance and Outlook
Second quarter 2021 adjusted net revenue of $237 million exceeded quarterly guidance of $215 million to $220 million by 10% at the low end and 8% at the high end. Adjusted EBITDA of $11 million for the quarter exceeded quarterly guidance of $(8) million to $2 million by $19 million at the low end and $9 million at the high end.
Management expects continued strong growth in the third quarter of 2021, with expected adjusted net revenue of $245 million to $255 million and expected adjusted EBITDA of $(7) million to $3 million. Management reiterates its full-year 2021 guidance of adjusted net revenue of $980 million and adjusted EBITDA of $27 million. This is despite lowering our expectations for second half student loan refinancing revenue by $40 million, due to the extension of the CARES Act moratorium on student loan payments from September 30, 2021 to January 31, 2022, and reducing our Technology Platform revenue estimate by $12 million due to the minority stake in Apex being bought back. Management will further address third quarter and full-year 2021 guidance on the quarterly earnings conference call.
Earnings Webcast
SoFi’s executive management team will host a live audio webcast beginning at 5:00 p.m. Eastern Time (2:00 p.m. Pacific Time) today to discuss the quarter’s financial results and business highlights. All interested parties are invited to listen to the live webcast at https://investors.sofi.com. A replay of the webcast will be available on the SoFi Investor Relations website for 30 days. Investor information, including supplemental financial information, is available on SoFi’s Investor Relations website at https://investors.sofi.com.


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Cautionary Statement Regarding Forward-Looking Statements
Certain of the statements above are forward-looking and as such are not historical facts. This includes, without limitation, statements regarding the financial position, business strategy and the plans and objectives of management for our future operations. These forward-looking statements are not guarantees of performance. Such statements can be identified by the fact that they do not relate strictly to historical or current facts. Words such as “anticipate”, “believe”, “continue”, “could”, “estimate”, “expect”, “intend”, “may”, "opportunity", "future", "strategy", “might”, “plan”, “possible”, “potential”, “predict”, “project”, “should”, “strive”, “would”, “will be”, “will continue”, “will likely result” and similar expressions may identify forward-looking statements, but the absence of these words does not mean that a statement is not forward-looking. Factors that could cause actual results to differ materially from those contemplated by these forward-looking statements include: (i) the effect of and uncertainties related to the COVID-19 pandemic (including any government responses thereto); (ii) our ability to achieve and maintain profitability in the future; (iii) the impact on our business of the regulatory environment and complexities with compliance related to such environment; (iv) our ability to become a bank holding company and acquire a national bank charter; (v) our ability to respond to general economic conditions; (vi) our ability to manage our growth effectively and our expectations regarding the development and expansion of our business; (vii) our ability to access sources of capital, including debt financing and other sources of capital to finance operations and growth; (viii) the success of our marketing efforts and our ability to expand our member basis; (ix) our ability to grow market share in existing markets or any new markets we may enter; (x) our ability to develop new products, features and functionality that are competitive and meet market needs; (xi) our ability to realize the benefits of our strategy, including what we refer to as our financial services productivity loop; (xii) our ability to make accurate credit and pricing decisions or effectively forecast our loss rates; (xiii) our ability to establish and maintain an effective system of internal controls over financial reporting; (xiv) our ability to maintain the listing of our securities on Nasdaq; (xv) our ability to realize the anticipated benefits of the Business Combination; and (xvi) the outcome of any legal or governmental proceedings that may be instituted against us. The foregoing list of factors is not exhaustive. You should carefully consider the foregoing factors and the other risks and uncertainties set forth in the section titled “Risk Factors” in the final proxy/prospectus for our recently completed Business Combination, as filed with the Securities and Exchange Commission, and those that are included in any of our future filings with the Securities and Exchange Commission, including our periodic reports under the Exchange Act.
These forward-looking statements are based on information available as of the date hereof and current expectations, forecasts and assumptions, and involve a number of judgments, risks and uncertainties. Accordingly, forward-looking statements should not be relied upon as representing our views as of any subsequent date, and we do not undertake any obligation to update forward-looking statements to reflect events or circumstances after the date they were made, whether as a result of new information, future events or otherwise, except as may be required under applicable securities laws.
As a result of a number of known and unknown risks and uncertainties, our actual results or performance may be materially different from those expressed or implied by these forward-looking statements. You should not place undue reliance on these forward-looking statements.
Non-GAAP Financial Measures
This press release presents information about our adjusted net revenue and adjusted EBITDA, which are non-GAAP financial measures provided as supplements to the results provided in accordance with accounting principles generally accepted in the United States (GAAP). We use adjusted net revenue and adjusted EBITDA to evaluate our operating performance, formulate business plans, help better assess our overall liquidity position, and make strategic decisions, including those relating to operating expenses and the allocation of internal resources. Accordingly, we believe that adjusted net revenue and adjusted EBITDA provide useful information to investors and others in

6


understanding and evaluating our operating results in the same manner as our management. These non-GAAP measures are presented for supplemental informational purposes only, have limitations as analytical tools, and should not be considered in isolation from, or as a substitute for, the analysis of other GAAP financial measures, such as total net revenue and net income (loss). Other companies may not use these non-GAAP measures or may use similar measures that are defined in a different manner. Therefore, SoFi's non-GAAP measures may not be directly comparable to similarly titled measures of other companies. Reconciliations of these non-GAAP measures to the most directly comparable GAAP financial measures are provided in Table 2 to the “Financial Tables” herein.
Forward-looking non-GAAP financial measures are presented without reconciliations of such forward-looking non-GAAP measures because the GAAP financial measures are not accessible on a forward-looking basis and reconciling information is not available without unreasonable effort due to the inherent difficulty in forecasting and quantifying certain amounts that are necessary for such reconciliations, including adjustments reflected in our reconciliation of historic non-GAAP financial measures, the amounts of which, based on historical experience, could be material.
About SoFi
SoFi's mission is to help people achieve financial independence to realize their ambitions. Our products for borrowing, saving, spending, investing and protecting give our more than two million members fast access to tools to get their money right. SoFi membership comes with the key essentials for getting ahead, including career advisors and connection to a thriving community of like-minded, ambitious people. SoFi is also the naming rights partner of SoFi Stadium, home of the Los Angeles Chargers and the Los Angeles Rams. For more information, visit https://www.sofi.com or download our iOS and Android apps.
Availability of Other Information About SoFi
Investors and others should note that we communicate with our investors and the public using our website (www.sofi.com), the investor relations website (https://investors.sofi.com), and on social media (Twitter and LinkedIn), including but not limited to investor presentations and investor fact sheets, Securities and Exchange Commission filings, press releases, public conference calls and webcasts. The information that SoFi posts on these channels and websites could be deemed to be material information. As a result, SoFi encourages investors, the media, and others interested in SoFi to review the information that is posted on these channels, including the investor relations website, on a regular basis. This list of channels may be updated from time to time on SoFi’s investor relations website and may include additional social media channels. The contents of SoFi’s website or these channels, or any other website that may be accessed from its website or these channels, shall not be deemed incorporated by reference in any filing under the Securities Act of 1933, as amended.
Contact

Investors:
Andrea Prochniak
SoFi Investor Relations
aprochniak@sofi.org

Media:
Rachel Rosenzweig
SoFi Media Relations
pr@sofi.com

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FINANCIAL TABLES
1. Condensed Consolidated Statements of Operations and Comprehensive Income (Loss) (unaudited)
2. Reconciliation of GAAP to Non-GAAP Financial Measures
3. Condensed Consolidated Balance Sheets (unaudited)
4. Condensed Consolidated Statements of Cash Flows (unaudited)
5. Company Metrics
6. Segment Financials


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Table 1

SoFi Technologies, Inc.
Unaudited Condensed Consolidated Statements of Operations and Comprehensive Income (Loss)
(In Thousands, Except for Share and Per Share Data)
Three Months Ended June 30,Six Months Ended June 30,
2021202020212020
Interest income
Loans$79,678 $77,485 $156,899 $163,601 
Securitizations3,794 6,500 8,261 13,561 
Related party notes— 879 211 1,931 
Other636 1,201 1,265 4,254 
Total interest income84,108 86,065 166,636 183,347 
Interest expense
Securitizations and warehouses26,250 39,678 56,058 87,201 
Corporate borrowings1,378 3,416 6,386 4,504 
Other468 224 900 1,746 
Total interest expense28,096 43,318 63,344 93,451 
Net interest income56,012 42,747 103,292 89,896 
Noninterest income
Loan origination and sales109,719 62,958 220,064 167,213 
Securitizations(26)7,350 (2,062)(75,754)
Servicing(224)(18,720)(12,333)(11,661)
Technology Platform fees44,950 16,202 90,609 16,202 
Other20,843 4,415 27,688 7,358 
Total noninterest income175,262 72,205 323,966 103,358 
Total net revenue231,274 114,952 427,258 193,254 
Noninterest expense
Technology and product development69,389 47,833 135,337 88,004 
Sales and marketing94,951 64,267 182,185 126,937 
Cost of operations60,624 41,408 118,194 74,065 
General and administrative171,216 53,404 332,913 102,518 
Provision for credit losses486 — 486 — 
Total noninterest expense396,666 206,912 769,115 391,524 
Loss before income taxes(165,392)(91,960)(341,857)(198,270)
Income tax (expense) benefit78 99,768 (1,021)99,711 
Net income (loss)$(165,314)$7,808 $(342,878)$(98,559)
Other comprehensive income (loss)
Foreign currency translation adjustments, net(266)(36)(346)(43)
Total other comprehensive loss(266)(36)(346)(43)
Comprehensive income (loss)$(165,580)$7,772 $(343,224)$(98,602)
Loss per share
Loss per share – basic$(0.48)$(0.03)$(1.50)$(1.68)
Loss per share – diluted$(0.48)$(0.03)$(1.50)$(1.68)
Weighted average common stock outstanding – basic365,036,365 72,147,293 241,282,003 70,768,457 
Weighted average common stock outstanding – diluted365,036,365 72,147,293 241,282,003 70,768,457 

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Table 2
Non-GAAP Financial Measures
Reconciliation of Adjusted Net Revenue
Adjusted net revenue is defined as total net revenue, adjusted to exclude the fair value changes in servicing rights and residual interests classified as debt due to valuation inputs and assumptions changes, which relate only to our Lending segment. For our consolidated results and for the Lending segment, we reconcile adjusted net revenue to total net revenue, the most directly comparable GAAP measure, as presented for the periods indicated below:

Three Months Ended June 30,Six Months Ended June 30,
($ in thousands)
2021202020212020
Total net revenue $231,274 $114,952 $427,258 $193,254 
Servicing rights – change in valuation inputs or assumptions(1)
224 18,720 12,333 11,661 
Residual interests classified as debt – change in valuation inputs or assumptions(2)
5,717 2,578 13,668 17,514 
Adjusted net revenue $237,215 $136,250 $453,259 $222,429 

Three Months Ended June 30,Six Months Ended June 30,
($ in thousands)
2021202020212020
Total net revenue – Lending$166,291 $95,884 $314,268 $169,762 
Servicing rights – change in valuation inputs or assumptions(1)
224 18,720 12,333 11,661 
Residual interests classified as debt – change in valuation inputs or assumptions(2)
5,717 2,578 13,668 17,514 
Adjusted net revenue – Lending$172,232 $117,182 $340,269 $198,937 
___________________
(1)Reflects changes in fair value inputs and assumptions on servicing rights, including conditional prepayment and default rates and discount rates. These assumptions are highly sensitive to market interest rate changes and are not indicative of our performance or results of operations. Moreover, these non-cash charges are unrealized during the period and, therefore, have no impact on our cash flows from operations. As such, these positive and negative changes are adjusted out of total net revenue to provide management and financial users with better visibility into the net revenue available to finance our operations and our overall performance.
(2)Reflects changes in fair value inputs and assumptions on residual interests classified as debt, including conditional prepayment and default rates and discount rates. When third parties finance our consolidated securitization variable interest entities ("VIEs") by purchasing residual interests, we receive proceeds at the time of the closing of the securitization and, thereafter, pass along contractual cash flows to the residual interest owner. These residual debt obligations are measured at fair value on a recurring basis, but they have no impact on our initial financing proceeds, our future obligations to the residual interest owner (because future residual interest claims are limited to contractual securitization collateral cash flows), or the general operations of our business. As such, these positive and negative non-cash changes in fair value attributable to assumption changes are adjusted out of total net revenue to provide management and financial users with better visibility into the net revenue available to finance our operations.


10


Reconciliation of Adjusted EBITDA
Adjusted EBITDA is defined as net income (loss), adjusted to exclude: (i) corporate borrowing-based interest expense (our adjusted EBITDA measure is not adjusted for warehouse or securitization-based interest expense, nor deposit interest expense and finance lease liability interest expense, as discussed further below), (ii) income taxes, (iii) depreciation and amortization, (iv) stock-based expense (inclusive of equity-based payments to non-employees), (v) impairment expense (inclusive of goodwill impairment and of property, equipment and software abandonments), (vi) transaction-related expenses, (vii) warrant fair value adjustments, and (viii) fair value changes in servicing rights and residual interests classified as debt due to valuation assumptions. We reconcile adjusted EBITDA to net income (loss), the most directly comparable GAAP measure, for the periods indicated below:
Three Months Ended June 30,Six Months Ended June 30,
($ in thousands)
2021202020212020
Net income (loss)$(165,314)$7,808 $(342,878)$(98,559)
Non-GAAP adjustments:
Interest expense – corporate borrowings(1)
1,378 3,415 6,386 4,503 
Income tax expense(2)
(78)(99,768)1,021 (99,711)
Depreciation and amortization(3)
24,989 14,955 50,966 19,670 
Stock-based expense52,154 24,453 89,608 44,138 
Transaction-related expense(4)
21,181 4,950 23,359 8,864 
Fair value changes in warrant liabilities(5)
70,989 (861)160,909 2,018 
Servicing rights – change in valuation inputs or assumptions(6)
224 18,720 12,333 11,661 
Residual interests classified as debt – change in valuation inputs or assumptions(7)
5,717 2,578 13,668 17,514 
Total adjustments176,554 (31,558)358,250 8,657 
Adjusted EBITDA$11,240 $(23,750)$15,372 $(89,902)
___________________
(1)Our adjusted EBITDA measure adjusts for corporate borrowing-based interest expense, which includes interest on our revolving credit facility and the seller note issued in connection with our acquisition of Galileo (for periods prior to the quarter ended June 30, 2021) and other financings assumed in the acquisition, as these expenses are a function of our capital structure. Our adjusted EBITDA measure does not adjust for interest expense on warehouse facilities and securitization debt, as these interest expenses are direct operating expenses driven by loan origination and sales activity. Additionally, our adjusted EBITDA measure does not adjust for interest expense on SoFi Money deposits or interest expense on our finance lease liability in connection with SoFi Stadium, as these interest expenses are direct operating expenses driven by SoFi Money deposits and finance leases, respectively. As compared to the three and six months ended June 30, 2020, during the three and six months ended June 30, 2021, we had a higher average balance on our revolving credit facility as a result of the Galileo acquisition, as well as interest expense related to the Galileo seller note issued in May 2020, which we repaid in February 2021.
(2)The significant change in our income tax position for the 2021 periods relative to 2020 was primarily due to a partial release of our valuation allowance in the second quarter of 2020 in connection with deferred tax liabilities resulting from intangible assets acquired from Galileo in May 2020.
(3)Depreciation and amortization expense for the three and six months ended June 30, 2021 increased compared to the same periods in 2020 primarily due to: (i) amortization expense on intangible assets acquired during the second quarter of 2020 from Galileo and 8 Limited, (ii) amortization of purchased and internally-developed software, and (iii) depreciation related to SoFi Stadium related fixed assets.
(4)During the three months ended June 30, 2021, transaction-related expenses included the special payment to the Series 1 preferred stockholders in conjunction with the Business Combination. Transaction-related expenses for the six months ended June 30, 2021 also included financial advisory and professional services costs associated with our pending purchase of Golden Pacific Bancorp, Inc. During the three and six months ended June 30, 2020, transaction-related expenses included certain costs, such as financial advisory and professional services costs, associated with our acquisitions of Galileo and 8 Limited.
(5)In 2019, Social Finance issued Series H warrants in connection with certain redeemable preferred stock issuances, which were accounted for as liabilities and measured at fair value on a recurring basis. In conjunction with the closing of the Business Combination, we measured the final fair value of the Series H warrants and subsequently reclassified them into permanent equity. Therefore, we will not measure the Series H warrants at fair value on an ongoing basis, subsequent to May 28, 2021. In addition, in conjunction with the Business Combination, SoFi Technologies assumed certain common stock warrants (“SoFi Technologies warrants”) that are accounted for as liabilities and measured at fair value on a recurring basis, subsequent to the Business Combination. Our adjusted EBITDA measure excludes the non-cash fair value changes in the Series H warrants and the SoFi Technologies warrants during the periods wherein each class of warrants was measured at fair value through earnings. The increases for the three and six months ended June 30, 2021 compared to the same periods in 2020 were primarily attributable to a significant increase in our assumed Series H redeemable preferred stock share price for the Series H warrants, as well as the assumption of the SoFi Technologies warrants in the second quarter of 2021. The fair value of the SoFi Technologies warrants is based on the closing price of ticker SOFIW and, therefore, fluctuates based on market activity.
(6)See footnote (1) to the "Reconciliation of Adjusted Net Revenue" table above.
(7)See footnote (2) to the "Reconciliation of Adjusted Net Revenue" table above.

11


Table 3
SoFi Technologies, Inc.
Unaudited Condensed Consolidated Balance Sheets
(In Thousands, Except for Share Data)
June 30, 2021December 31, 2020
Assets
Cash and cash equivalents$461,920 $872,582 
Restricted cash and restricted cash equivalents306,533 450,846 
Loans, less allowance for credit losses on loans at amortized cost of $691 and $219, respectively
4,727,515 4,879,303 
Servicing rights159,767 149,597 
Securitization investments407,782 496,935 
Equity method investments— 107,534 
Property, equipment and software95,123 81,489 
Goodwill898,527 899,270 
Intangible assets317,802 355,086 
Operating lease right-of-use assets113,281 116,858 
Related party notes receivable— 17,923 
Other assets, less allowance for credit losses of $1,230 and $562, respectively
164,750 136,076 
Total assets$7,653,000 $8,563,499 
Liabilities, temporary equity and permanent equity (deficit)
Liabilities:
Accounts payable, accruals and other liabilities317,941 412,950 
Operating lease liabilities135,489 139,796 
Debt2,319,918 4,798,925 
Residual interests classified as debt112,545 118,298 
Warrant liabilities239,343 39,959 
Total liabilities3,125,236 5,509,928 
Commitments, guarantees, concentrations and contingencies
Temporary equity:
Redeemable preferred stock, $0.0001 par value: 100,000,000 and 570,562,965 shares authorized; 3,234,000 and 469,150,522 shares issued and outstanding as of June 30, 2021 and December 31, 2020, respectively
320,374 3,173,686 
Permanent equity (deficit):
Common stock, $0.0001 par value: 3,100,000,000 and 789,167,056 shares authorized; 794,692,813 and 115,084,358 shares issued and outstanding as of June 30, 2021 and December 31, 2020, respectively
79 — 
Additional paid-in capital5,249,878 579,228 
Accumulated other comprehensive loss(512)(166)
Accumulated deficit(1,042,055)(699,177)
Total permanent equity (deficit)4,207,390 (120,115)
Total liabilities, temporary equity and permanent equity (deficit)$7,653,000 $8,563,499 


12


Table 4
SoFi Technologies, Inc.
Unaudited Condensed Consolidated Statements of Cash Flows
(In Thousands)
Six Months Ended June 30,
20212020
Operating activities
Net loss$(342,878)$(98,559)
Adjustments to reconcile net loss to net cash provided by operating activities:
Depreciation and amortization50,966 19,670 
Deferred debt issuance and discount expense11,450 16,819 
Stock-based compensation expense89,608 43,230 
Equity-based payments to non-employees— 908 
Deferred income taxes637 (99,731)
Equity method investment earnings— (3,560)
Accretion of seller note interest expense— 1,554 
Fair value changes in residual interests classified as debt13,668 17,514 
Fair value changes in securitization investments(5,502)(4,075)
Fair value changes in warrant liabilities160,909 2,018 
Fair value adjustment to related party notes receivable(169)— 
Other(3,937)643 
Changes in operating assets and liabilities:
Originations and purchases of loans(5,749,363)(5,189,772)
Proceeds from sales and repayments of loans5,848,655 5,623,441 
Other changes in loans5,231 30,586 
Servicing assets(10,170)17,593 
Related party notes receivable interest income1,399 204 
Other assets(21,752)(19,089)
Accounts payable, accruals and other liabilities33,856 35,531 
Net cash provided by operating activities$82,608 $394,925 
Investing activities
Purchases of property, equipment, software and intangible assets$(26,808)$(8,831)
Related party notes receivable issuances— (4,246)
Proceeds from repayment of related party notes receivable16,693 — 
Proceeds from non-securitization investments107,534 — 
Purchases of non-securitization investments— (145)
Receipts from securitization investments141,920 143,048 
Acquisition of business, net of cash acquired— (32,392)
Net cash provided by investing activities$239,339 $97,434 


13


SoFi Technologies, Inc.
Unaudited Condensed Consolidated Statements of Cash Flows (Continued)
(In Thousands)
Six Months Ended June 30,
20212020
Financing activities
Proceeds from debt issuances$3,849,645 $5,635,115 
Repayment of debt(6,355,653)(5,901,828)
Payment of debt issuance costs(4,520)(12,145)
Taxes paid related to net share settlement of stock-based awards(28,603)(12,628)
Purchases of common stock(526)(40)
Redemptions of redeemable common and preferred stock(282,859)— 
Proceeds from Business Combination and PIPE Investment1,989,851 — 
Payment of costs directly attributable to the issuance of common stock in connection with Business Combination and PIPE Investment(26,951)— 
Proceeds from stock option exercises3,365 415 
Note receivable principal repayments from stockholder— 24,865 
Payment of redeemable preferred stock dividends(20,047)(20,157)
Finance lease principal payments(278)— 
Net cash used in financing activities$(876,576)$(286,403)
Effect of exchange rates on cash and cash equivalents(346)(43)
Net increase (decrease) in cash, cash equivalents, restricted cash and restricted cash equivalents$(554,975)$205,913 
Cash, cash equivalents, restricted cash and restricted cash equivalents at beginning of period1,323,428 690,206 
Cash, cash equivalents, restricted cash and restricted cash equivalents at end of period$768,453 $896,119 
Reconciliation to amounts on Consolidated Balance Sheets (as of period end)
Cash and cash equivalents$461,920 $641,500 
Restricted cash and restricted cash equivalents306,533 254,619 
Total cash, cash equivalents, restricted cash and restricted cash equivalents$768,453 $896,119 
Supplemental non-cash investing and financing activities
Securitization investments acquired via loan transfers$47,265 $151,768 
Non-cash property, equipment, software and intangible asset additions896 2,636 
Deconsolidation of residual interests classified as debt— 72,026 
Deconsolidation of securitization debt— 659,029 
Costs directly attributable to the issuance of common stock paid in 2020588 — 
Reduction to temporary equity associated with purchase price adjustments743 — 
Warrant liabilities recognized in conjunction with the Business Combination200,250 — 
Series H warrant liabilities conversion to common stock warrants39,959 — 
Conversion of temporary equity into permanent equity in conjunction with the Business Combination2,702,569 — 
Seller note issued in acquisition— 243,998 
Redeemable preferred stock issued in acquisition— 814,156 
Common stock options assumed in acquisition— 32,197 
Issuance of common stock in acquisition— 15,565 
Property, equipment and software acquired in acquisition— 2,026 
Debt assumed in acquisition— 5,832 
Deferred debt issuance costs accrued but not paid550 1,200 


14


Table 5
Company Metrics

June 30,
2021
March 31,
2021
December 31, 2020September 30, 2020June 30,
2020
March 31,
2020
December 31, 2019
September 30, 2019
June 30,
2019
Members2,560,492 2,281,092 1,850,871 1,500,576 1,204,475 1,086,409 976,459 863,521 759,467 
Total Products
3,667,121 3,184,554 2,523,555 2,052,672 1,645,044 1,442,481 1,185,362 1,020,255 869,376 
Lending
Total Products
981,440 945,227 917,645 892,934 861,970 841,615 798,005 751,999 709,883 
Financial Services
Total Products2,685,681 2,239,327 1,605,910 1,159,738 783,074 600,866 387,357 268,256 159,493 
Technology Platform
Total Accounts78,902,156 69,572,680 59,359,843 49,276,594 35,988,090 — — — — 

Members
We refer to our customers as “members”. We define a member as someone who has a lending relationship with us through origination or servicing, opened a financial services account, linked an external account to our platform, or signed up for our credit score monitoring service. Once someone becomes a member, they are always considered a member unless they violate our terms of service, given that our members have continuous access to our certified financial planners, our career advice services, our member events, our content, educational material, news, tools and calculators at no cost to the member. We view members as an indication not only of the size and a measurement of growth of our business, but also as a measure of the significant value of the data we have collected over time.
Products
Total products refers to the aggregate number of lending and financial services products that our members have selected on our platform since our inception through the reporting date, whether or not the members are still registered for such products. In our Lending segment, total products refers to the number of home loans, personal loans and student loans that have been originated through our platform through the reporting date, whether or not such loans have been paid off. If a member has multiple loan products of the same loan product type, such as two personal loans, that is counted as a single product. However, if a member has multiple loan products across loan product types, such as one personal loan and one home loan, that is counted as two products. In our Financial Services segment, total products refers to the number of SoFi Money accounts, SoFi Invest accounts, SoFi Credit Card accounts (including accounts with a zero dollar balance at the reporting date), SoFi At Work accounts and SoFi Relay accounts (with either credit score monitoring enabled or external linked accounts) that have been opened through our platform through the reporting date. Our SoFi Invest service is composed of three products: active investing accounts, robo-advisory accounts and cryptocurrency accounts. Our members can select any one or combination of the three types of SoFi Invest products. If a member has multiple SoFi Invest products of the same account type, such as two active investing accounts, that is counted as a single product. However, if a member has multiple SoFi Invest products across account types, such as one active investing account and one robo-advisory account, those separate account types are considered separate products. Total products is a primary indicator of the size and reach of our Lending and Financial Services segments. Management relies on total products metrics to understand the effectiveness of our member acquisition efforts and to gauge the propensity for members to use more than one product.
Technology Platform Total Accounts
In our Technology Platform segment, total accounts refers to the number of open accounts at Galileo as of the reporting date, excluding SoFi accounts. We exclude SoFi accounts because revenue generated by Galileo from the SoFi relationship is eliminated in consolidation. No information is reported prior to our acquisition of Galileo on May 14, 2020. Total accounts is a primary indicator of the accounts dependent upon Galileo’s technology platform to use virtual card products, virtual wallets, make peer-to-peer and bank-to-bank transfers, receive early paychecks, separate savings from spending balances, make debit transactions and rely upon real-time authorizations, all of which result in technology platform fees for the Technology Platform segment.

15


Table 6
Segment Financials
Quarter Ended
($ in thousands)
June 30,
2021
March 31,
2021
December 31,
2020
September 30, 2020June 30,
2020
March 31,
2020
December 31,
2019
September 30, 2019
June 30,
2019
Lending
Total interest income$83,035 $81,547 $90,753 $86,468 $83,985 $93,177 $125,041 $161,926 $153,956 
Total interest expense(26,213)(29,770)(33,626)(34,246)(39,650)(47,516)(57,497)(67,989)(68,609)
Total noninterest income (loss)109,469 96,200 91,865 109,890 51,549 28,217 (6,655)33,133 71,294 
Total net revenue166,291 147,977 148,992 162,112 95,884 73,878 60,889 127,070 156,641 
Adjusted net revenue(1)
172,232 168,037 159,520 178,084 117,182 81,755 58,602 135,402 154,971 
Contribution profit (loss)
89,188 87,686 85,204 103,011 49,419 4,095 (33,362)35,674 67,283 
Financial Services
Total interest income893 540 378 365 316 1,737 1,924 2,071 1,406 
Total interest expense(351)(311)(290)(267)(233)(1,522)(1,798)(1,798)(1,242)
Total noninterest income16,497 6,234 3,963 3,139 2,345 1,939 1,524 760 609 
Total net revenue17,039 6,463 4,051 3,237 2,428 2,154 1,650 1,033 773 
Contribution loss
(24,745)(35,519)(36,067)(37,467)(30,893)(26,983)(34,517)(33,533)(27,855)
Technology Platform
Total interest expense(32)(36)(42)(47)(18)— — — — 
Total noninterest income45,329 46,101 36,838 38,865 19,037 997 325 206 149 
Total net revenue45,297 46,065 36,796 38,818 19,019 997 325 206 149 
Contribution profit
13,013 15,685 16,120 23,986 12,100 997 325 206 149 
Other(2)
Total interest income180 441 942 1,284 1,764 2,368 2,533 2,434 2,316 
Total interest expense(1,500)(5,131)(19,292)(4,345)(3,417)(1,095)(1,155)(1,351)(1,355)
Total noninterest income (loss)3,967 169 (319)(726)— — — — 
Total net revenue (loss)
2,647 (4,521)(18,348)(3,380)(2,379)1,273 1,378 1,083 961 
Consolidated
Total interest income$84,108 $82,528 $92,073 $88,117 $86,065 $97,282 $129,498 $166,431 $157,678 
Total interest expense(28,096)(35,248)(53,250)(38,905)(43,318)(50,133)(60,450)(71,138)(71,206)
Total noninterest income (loss)175,262 148,704 132,668 151,575 72,205 31,153 (4,806)34,099 72,052 
Total net revenue231,274 195,984 171,491 200,787 114,952 78,302 64,242 129,392 158,524 
Adjusted net revenue(1)
237,215 216,044 182,019 216,759 136,250 86,179 61,955 137,724 156,854 
Net income (loss)(165,314)(177,564)(82,616)(42,878)7,808 (106,367)(122,541)(57,559)(10,218)
Adjusted EBITDA(1)
11,240 4,132 11,817 33,509 (23,750)(66,152)(101,004)(27,656)6,611 
___________________
(1)Adjusted net revenue and adjusted EBITDA are non-GAAP financial measures. For additional information on these measures and reconciliations to the most directly comparable GAAP measures, see “Non-GAAP Financial Measures” and Table 2 to the “Financial Tables” herein.
(2)“Other” includes total net revenue associated with corporate functions and non-recurring gains from non-securitization investing activities that are not directly related to a reportable segment.

16
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DE 001-39606 98-1547291 234 1st Street San Francisco CA 94105 855 456-7634 false false false false Common stock, $0.0001 par value per share SOFI NASDAQ Redeemable warrants, each whole warrant exercisable for one share of common stock, $0.0001 par value SOFIW NASDAQ false XML 9 R1.htm IDEA: XBRL DOCUMENT v3.21.2
Cover
Aug. 12, 2021
Entity Information [Line Items]  
Document Type 8-K
Document Period End Date Aug. 12, 2021
Entity Registrant Name SoFi Technologies, Inc.
Entity Incorporation, State or Country Code DE
Entity File Number 001-39606
Entity Tax Identification Number 98-1547291
Entity Address, Address Line One 234 1st Street
Entity Address, City or Town San Francisco
Entity Address, State or Province CA
Entity Address, Postal Zip Code 94105
City Area Code 855
Local Phone Number 456-7634
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Entity Emerging Growth Company false
Entity Central Index Key 0001818874
Amendment Flag false
Common stock, $0.0001 par value per share  
Entity Information [Line Items]  
Title of 12(b) Security Common stock, $0.0001 par value per share
Trading Symbol SOFI
Security Exchange Name NASDAQ
Redeemable warrants, each whole warrant exercisable for one share of common stock, $0.0001 par value  
Entity Information [Line Items]  
Title of 12(b) Security Redeemable warrants, each whole warrant exercisable for one share of common stock, $0.0001 par value
Trading Symbol SOFIW
Security Exchange Name NASDAQ
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