Annual report pursuant to Section 13 and 15(d)

Consolidated Statements of Redeemable Preferred Stock and Stockholders??? Equity

v3.24.1
Consolidated Statements of Redeemable Preferred Stock and Stockholders’ Equity - USD ($)
$ in Thousands
Total
VDL Nedcar
Standby Equity Purchase Agreement
Private Placement
Pre Paid Advance Agreement
Sale Of Shares Under The Wainwright ATM Program
Legal Settlement Member
Walmart Agreement
Purchase and Sale Agreement
YA Warrants
Preferred Shares Agreement
Redeemable Preferred Stock
Redeemable Preferred Stock
Preferred Shares Agreement
Common Stock
Common Stock
VDL Nedcar
Common Stock
Standby Equity Purchase Agreement
Common Stock
Private Placement
Common Stock
Pre Paid Advance Agreement
Common Stock
Sale Of Shares Under The Wainwright ATM Program
Common Stock
Legal Settlement Member
Common Stock
YA Warrants
Additional paid-in capital
Additional paid-in capital
VDL Nedcar
Additional paid-in capital
Standby Equity Purchase Agreement
Additional paid-in capital
Private Placement
Additional paid-in capital
Pre Paid Advance Agreement
Additional paid-in capital
Sale Of Shares Under The Wainwright ATM Program
Additional paid-in capital
Legal Settlement Member
Additional paid-in capital
Walmart Agreement
Additional paid-in capital
Purchase and Sale Agreement
Additional paid-in capital
YA Warrants
Additional paid-in capital
Preferred Shares Agreement
Accumulated deficit
Balance as of beginning of period (in shares) at Dec. 31, 2021                       0                                          
Balance as of beginning of period (in shares) at Dec. 31, 2021                           238,578,000                                      
Balance as of beginning of period at Dec. 31, 2021 $ 343,999                     $ 0   $ 24               $ 1,036,104                     $ (692,129)
Increase (Decrease) in Stockholders' Equity [Roll Forward]                                                                  
Repurchase of unvested shares - forfeitures (in shares)                           (779,000)                                      
Repurchase of unvested shares - forfeitures (12)                                         (12)                      
Issuance of shares for restricted stock units vested (in shares)                           5,283,000                                      
Issuance of shares for restricted stock units vested 0                         $ 1               (1)                      
Issuance of shares upon early exercise of vested share options (in shares)                           53,000                                      
Issuance of shares upon exercise of vested stock options 1                                         1                      
Issuance of shares under employee stock purchase plan (in shares)                           1,489,000                                      
Issuance of shares under employee stock purchase plan 2,923                                         2,923                      
Vesting of early exercised stock options and restricted stock awards 21                                         21                      
Issuance of common stock in connection with a SEPA, Private Placement, PPA & ATM (in shares)                             972,000 14,236,000 22,708,000 34,465,000 36,349,000                            
Issuance of common stock in connection with a SEPA, Private Placement, PPA & ATM   $ 8,400 $ 33,083 $ 60,000 $ 92,542 $ 49,263                   $ 1 $ 2 $ 3 $ 4       $ 8,400 $ 33,082 $ 59,998 $ 92,539 $ 49,259            
Issuance of shares under legal settlement (in shares)                                       2,034,000                          
Issuance of shares under legal settlement             $ 5,532                                         $ 5,532          
Recognition of vested Walmart warrants               $ 50,175                                         $ 50,175        
Offering costs for the issuance of shares (1,233)                                         (1,233)                      
Stock-based compensation 79,573                                         79,573                      
Net loss and comprehensive loss attributable to Canoo (487,694)                                                               (487,694)
Net loss and comprehensive loss $ (487,694)                                                               (487,694)
Balance as of end of period (in shares) at Dec. 31, 2022 0                     0                                          
Balance as of end of period at Dec. 31, 2022 $ 236,573                     $ 0   $ 35               1,416,361                     (1,179,823)
Balance as of end of period (in shares) at Dec. 31, 2022 355,388,000                         355,388,000                                      
Increase (Decrease) in Stockholders' Equity [Roll Forward]                                                                  
Repurchase of unvested shares - forfeitures (in shares)                           (65,000)                                      
Repurchase of unvested shares - forfeitures $ 0                                         0                      
Issuance of shares for restricted stock units vested (in shares)                           7,562,000                                      
Issuance of shares for restricted stock units vested 0                         $ 0               0                      
Issuance of shares upon early exercise of vested share options (in shares)                           30,000                                      
Issuance of shares upon exercise of vested stock options 0                                         0                      
Issuance of shares under employee stock purchase plan (in shares)                           2,423,000                                      
Issuance of shares under employee stock purchase plan 989                                         989                      
Vesting of early exercised stock options and restricted stock awards 31                                         31                      
Proceeds from exercise of warrants (in shares)                                         34,231,000                        
Proceeds from exercise of warrants                   $ 21,223                     $ 3                   $ 21,220    
Issuance of common stock in connection with a SEPA, Private Placement, PPA & ATM (in shares)                         45,000 294,639,000   50,000,000 21,930,000 93,357,000 1,911,000                            
Issuance of common stock in connection with a SEPA, Private Placement, PPA & ATM 100,918   $ 10,161 $ 1,772 $ 77,074 $ 1,155     $ 1,600   $ 5,006   $ 5,006 $ 29   $ 5 $ 3 $ 10 $ 0     100,889   $ 10,156 $ 1,769 $ 77,064 $ 1,155     $ 1,600   $ 0  
Accretion of preferred shares 0                     $ 601                   (601)                      
Reclassification of warrant liability to additional paid-in-capital 62,925                                         62,925                      
Issuance of shares under I-40 financing arrangement (in shares)                           2,320,000                                      
Issuance of shares under I-40 financing arrangement 1,506                                         1,506                      
Issuance of shares to vendor for services (in shares)                           861,000                                      
Issuance of shares to vendor for services 458                                         458                      
Stock-based compensation 30,206                                         30,206                      
Net loss and comprehensive loss attributable to Canoo (302,021)                                                               (302,021)
Net loss and comprehensive loss $ (302,021)                                                               (302,021)
Balance as of end of period (in shares) at Dec. 31, 2023 45,000                     45,000                                          
Balance as of end of period at Dec. 31, 2023 $ 249,576                     $ 5,607   $ 85               $ 1,725,728                     $ (1,481,844)
Balance as of end of period (in shares) at Dec. 31, 2023 864,587,000                         864,587,000