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      "text": "Six Months Ended June 30, 2023 2022 (unaudited, in thousands) Cash flows from operating activities Net loss $ (70,620) $ (38,269) Adjustments to reconcile net loss to net cash used in operating activities Depreciation, amortization and accretion 23,192 15,574 Net loss on disposal of property and equipment and impairment expense 6,008 2,889 Share-based compensation 14,922 10,548 Change in fair value of earnout liability (433) (2,627) Change in fair value of warrant liabilities (1,011) (25,839) Other (155) 474 Changes in operating assets and liabilities Accounts receivable, net (11,422) (2,302) Receivables from related parties — 1,499 Prepaid expenses and other current and noncurrent assets 3,779 3,735 Operating lease assets and liabilities, net 642 (808) Accounts payable (2,872) (76) Accrued liabilities 2,925 358 Deferred revenue 18,939 (572) Customer deposits (6,481) (2,110) Other current and noncurrent liabilities 62 (844) Net cash used in operating activities (22,525) (38,370) Cash flows from investing activities Purchases of property, equipment and software (100,057) (72,291) Proceeds from insurance for property losses 159 202 Purchases of investments — (34,747) Net cash used in investing activities (99,898) (106,836) Cash flows from financing activities Proceeds from issuance of Class A common stock under the ATM 5,828 — Proceeds from issuance of Class A common stock under the equity offering 128,023 — Proceeds from capital-build funding 4,256 5,029 Proceeds from exercise of warrants — 3 Payments of issuance costs (4,751) — Net cash provided by financing activities 133,356 5,032 Net increase (decrease) in cash, cash equivalents and restricted cash 10,933 (140,174) Cash, cash equivalents and restricted cash, beginning of period 246,493 485,181 Cash, cash equivalents and restricted cash, end of period $ 257,426 $ 345,007",
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