Dec 19 | Sep 19 | Jun 19 | Mar 19 | Dec 18 | |
---|---|---|---|---|---|
Income Statement | - | ||||
Total Revenue | $ -317.23M | $ 160.08M | $ 156.03M | $ 157.40M | $ 129.15M |
Gross Profit | $ -45.22M | $ 22.27M | $ 22.99M | $ 11.42M | $ 3.81M |
EBIT | $ 214.16M | $ 16.09M | $ 16.10M | $ -89.27M | $ -32.06M |
EBITDA | $ 148.34M | $ 16.02M | $ 11.38M | $ -64.17M | $ -7.72M |
Net Income Common Stockholders | $ 237.94M | $ 3.99M | $ 4.64M | $ -90.25M | $ -43.07M |
Balance Sheet | - | ||||
Cash Cash Equivalents And Short Term Investments | $ 104.95M | $ 101.11M | $ 141.12M | $ 149.28M | $ 48.60M |
Total Assets | $ 682.85M | $ 667.66M | $ 707.91M | $ 714.38M | $ 828.41M |
Total Debt | $ 177.94M | $ 177.03M | $ 211.13M | $ 210.00M | $ 10.00M |
Net Debt | $ 72.99M | $ 75.93M | $ 70.01M | $ 60.72M | $ -38.60M |
Total Liabilities | $ 328.95M | $ 312.84M | $ 358.75M | $ 371.58M | $ 100.50M |
Stockholders Equity | $ 353.90M | $ 354.82M | $ 349.16M | $ 342.80M | $ 126.92M |
Cash Flow | - | ||||
Free Cash Flow | - | $ 32.20M | $ -13.67M | $ 5.78M | $ -31.76M |
Operating Cash Flow | - | $ 7.38M | $ 2.03M | $ 14.91M | $ -13.53M |
Investing Cash Flow | - | $ 24.83M | $ -15.70M | $ -9.13M | $ -18.23M |
Financing Cash Flow | - | $ 275.00K | $ -84.78M | $ 84.51M | $ 9.02M |