Jul 24 | Apr 24 | Jan 24 | Oct 23 | Jul 23 | |
---|---|---|---|---|---|
Income Statement | - | ||||
Total Revenue | $ 319.55M | $ 322.73M | $ 330.40M | $ 364.79M | $ 364.74M |
Gross Profit | $ 142.48M | $ 146.98M | $ 143.48M | $ 159.10M | $ 160.87M |
EBIT | $ -48.55M | $ -21.16M | $ -38.04M | $ -28.66M | $ -38.13M |
EBITDA | $ -48.55M | $ -11.29M | $ -25.23M | $ -14.88M | $ -38.13M |
Net Income Common Stockholders | $ -35.81M | $ -22.02M | $ -35.52M | $ -35.49M | $ -39.83M |
Balance Sheet | - | ||||
Cash, Cash Equivalents and Short-Term Investments | $ 246.97M | $ 244.50M | $ 229.82M | $ 262.34M | $ 257.60M |
Total Assets | $ 486.86M | $ 536.96M | $ 538.32M | $ 624.04M | $ 614.48M |
Total Debt | $ 117.50M | $ 131.91M | $ 139.02M | $ 146.39M | $ 153.63M |
Net Debt | $ -129.47M | $ -112.60M | $ -90.80M | $ -115.95M | $ -103.97M |
Total Liabilities | $ 299.84M | $ 328.07M | $ 325.05M | $ 393.30M | $ 367.17M |
Stockholders Equity | $ 187.02M | $ 208.89M | $ 213.27M | $ 230.74M | $ 247.31M |
Cash Flow | - | ||||
Free Cash Flow | $ 4.54M | $ 19.20M | $ -29.26M | $ 10.79M | $ 18.55M |
Operating Cash Flow | $ 8.20M | $ 21.74M | $ -25.49M | $ 14.44M | $ 22.55M |
Investing Cash Flow | $ -39.19M | $ -48.11M | $ -624.00K | $ 9.19M | $ 28.18M |
Financing Cash Flow | $ -3.68M | $ -3.09M | $ -4.63M | $ -4.27M | $ -4.70M |