Quarterly report pursuant to Section 13 or 15(d)

UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS

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UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2023
Jun. 30, 2022
Jun. 30, 2023
Jun. 30, 2022
Revenue $ (29,627) $ 29,590 $ (9,162) $ 57,821
Costs and Expenses        
Cost of revenues (exclusive of items shown separately below) 4,786 5,077 8,945 9,809
Affiliate expenses 0 711 14,204 1,253
Compensation and benefits 15,327 14,138 29,473 27,263
Selling, general, and administrative 9,147 4,531 21,585 10,958
Property and technology 1,753 1,984 3,745 3,912
Depreciation and amortization 8,670 9,694 17,191 32,141
Costs and expenses 47,297 40,177 104,926 90,016
Operating loss (76,924) (10,587) (114,088) (32,195)
Other Income (Expense), Net        
Realized gains on contract derivatives, net 100 2,100 200 4,000
Other realized losses, net (139) (176) (267) (373)
Other income (expense) 554 (783) 82 (617)
Change in affiliate guarantee obligation (3,551) (221) (9,505) (211)
Other income (expense), net (6,220) 14,596 (3,848) 11,197
Net Income (Loss) Before Income Taxes (83,144) 4,009 (117,936) (20,998)
Income tax benefit (expense) 0 1,650 (17) 4,051
Net Income (Loss) (83,144) 5,659 (117,953) (16,947)
Noncontrolling interests in (income) loss of consolidated subsidiaries 28,487 (1,543) 40,349 7,089
Net Income (Loss) Attributable to Class A Shareholders $ (54,657) $ 4,116 $ (77,604) $ (9,858)
Net income (loss) per Class A share        
Basic (in dollars per share) $ (0.57) $ 0.05 $ (0.86) $ (0.11)
Diluted (in dollars per share) $ (0.59) $ 0.05 $ (0.87) $ (0.11)
Weighted average number of Class A shares outstanding        
Basic (in shares) 95,751,483 84,635,413 90,367,223 84,717,117
Diluted (in shares) 140,724,710 84,668,201 135,340,450 131,433,095
Non-Affiliates        
Revenue $ (29,738) $ 29,324 $ (9,693) $ 56,928
Costs and Expenses        
Provision for losses 7,652 3,900 9,811 4,638
Other Income (Expense), Net        
Interest income 433 5 650 38
Interest expense (24) (296) (403) (556)
Change in fair value of warrant liabilities 473 13,610 3,839 8,726
Change in fair value of contract derivatives, net (129) 106 (285) 300
Realized gains on contract derivatives, net 76 79 199 157
Affiliates        
Revenue 111 266 531 893
Costs and Expenses        
Provision for losses (38) 142 (28) 42
Other Income (Expense), Net        
Interest income 9,947 82 15,702 133
Interest expense (2,540) 0 (2,540) 0
Change in fair value of warrant liabilities 1,669 0 1,669 0
Change in fair value of contract derivatives, net (670) 214 (670) (207)
Realized gains on contract derivatives, net $ (12,319) $ 1,976 $ (12,319) $ 3,807