Quarterly report pursuant to Section 13 or 15(d)

REVENUES

v3.23.2
REVENUES
6 Months Ended
Jun. 30, 2023
REVENUES  
REVENUES

3.

Revenues

Revenues disaggregated by category were as follows (in thousands):

Three Months Ended June 30, 

Six Months Ended June 30, 

2023

    

2022

2023

    

2022

Product sales:

Gross product sales

$

33,456

$

26,427

$

66,654

49,045

Discounts and allowances

(9,575)

(7,877)

(19,028)

(14,298)

Total product sales, net

23,881

18,550

47,626

34,747

Revenues from collaborations:

License revenues

2,337

2,545

Development milestones

5,000

5,000

Royalty, delivery of drug supplies and others

2,005

3,932

4,330

4,262

Total revenues from collaborations

2,005

11,269

4,330

11,807

Government contract

1,000

1,000

Total revenues

$

26,886

$

29,819

$

52,956

$

46,554

Revenue from product sales are related to sales of our commercial products, TAVALISSE and REZLIDHIA, to our specialty distributors. For detailed discussions of our revenues from collaboration and government contract, see “Note 4 – Sponsored Research and License Agreements and Government Contract”.

Our net product sales include gross product sales, net of chargebacks, discounts and fees, government and other rebates and returns. Of the total discounts and allowances from gross product sales for the six months ended June 30, 2023 and 2022, $18.6 million and $13.0 million, respectively, was accounted for as additions to revenue reserves and refund liability, and $0.4 million and $1.3 million, respectively, as reductions in accounts receivable (as it relates to allowance for prompt pay discount) and prepaid and other current assets (as it relates to certain chargebacks and other fees that were prepaid) in the condensed balance sheet. The following tables summarize the activities in chargebacks, discounts and fees, government and other rebates and returns that were accounted for within revenue reserves and refund liability, for each of the periods presented (in thousands):

Chargebacks,

Government

Discounts and

and Other

Fees

Rebates

Returns

Total

Balance as of January 1, 2023

    

$

6,213

$

2,636

$

3,296

$

12,145

Provision related to current period sales

14,439

3,725

395

18,559

Credit or payments made during the period

(13,139)

(3,765)

(116)

(17,020)

Balance as of June 30, 2023

 

$

7,513

$

2,596

$

3,575

$

13,684

Chargebacks,

Government

Discounts and

and Other

Fees

Rebates

Returns

Total

Balance as of January 1, 2022

    

$

3,404

$

2,494

$

2,017

$

7,915

Provision related to current period sales

9,680

2,711

613

13,004

Credit or payments made during the period

(7,748)

(2,901)

(39)

(10,688)

Balance as of June 30, 2022

 

$

5,336

$

2,304

$

2,591

$

10,231

The following table summarizes the percentages of revenues from each of our customers who individually accounted for 10% or more of the total net product sales and revenues from collaborations:

Three Months Ended June 30, 

Six Months Ended June 30, 

2023

    

2022

2023

    

2022

McKesson Specialty Care Distribution Corporation

44%

34%

45%

36%

Cardinal Healthcare

28%

16%

26%

20%

ASD Healthcare and Oncology Supply

19%

12%

21%

19%

Kissei

25%

16%