Jul 24 | Apr 24 | Jan 24 | Oct 23 | Jul 23 | |
---|---|---|---|---|---|
Income Statement | - | ||||
Total Revenue | $ 547.95M | $ 524.58M | $ 565.23M | $ 511.05M | $ 494.21M |
Gross Profit | $ 466.97M | $ 444.96M | $ 483.68M | $ 429.10M | $ 413.75M |
EBIT | $ -118.55M | $ -10.93M | $ 55.79M | $ 5.37M | - |
EBITDA | $ -92.47M | $ 19.11M | $ 73.99M | $ 23.55M | - |
Net Income Common Stockholders | $ -126.10M | $ -15.62M | $ 32.80M | $ -15.85M | $ -13.29M |
Balance Sheet | - | ||||
Cash, Cash Equivalents and Short-Term Investments | $ 994.34M | $ 1.65B | $ 1.64B | $ 1.57B | $ 1.44B |
Total Assets | $ 2.14B | $ 2.77B | $ 2.73B | $ 2.57B | $ 2.53B |
Total Debt | $ 684.60M | $ 1.37B | $ 1.35B | $ 1.34B | $ 1.32B |
Net Debt | $ -309.75M | $ -276.50M | $ -290.65M | $ -230.59M | $ -120.72M |
Total Liabilities | $ 2.87B | $ 3.39B | $ 3.34B | $ 3.21B | $ 3.23B |
Stockholders Equity | $ -728.15M | $ -619.46M | $ -611.68M | $ -642.21M | $ -707.42M |
Cash Flow | - | ||||
Free Cash Flow | $ 224.26M | $ 78.32M | $ 162.64M | $ 132.45M | - |
Operating Cash Flow | $ 244.70M | $ 96.35M | $ 186.41M | $ 145.47M | $ 58.31M |
Investing Cash Flow | $ 703.42M | $ -106.51M | $ -25.10M | $ -42.22M | $ -8.91M |
Financing Cash Flow | $ -892.61M | $ -71.04M | $ -94.61M | $ -4.37M | $ 23.65M |