SmileDirectClub Inc (SDC)

SmileDirectClub (SDC) Financial Statements


SmileDirectClub Financial Overview

SmileDirectClub's market cap is currently ―. The company's EPS TTM is $-0.78; its P/E ratio is -0.74; SmileDirectClub is scheduled to report earnings on February 28, 2023, and the estimated EPS forecast is $-0.21. See an overview of income statement, balance sheet, and cash flow financials.
Sep 22Jun 22Mar 22Dec 21Sep 21
Income Statement-
Total Revenue$ 106.77M$ 125.80M$ 151.65M$ 126.29M$ 137.68M
Gross Profit$ 74.78M$ 91.72M$ 108.58M$ 81.92M$ 98.27M
EBIT$ -63.63M$ -60.78M$ -73.11M$ -93.80M$ -87.73M
EBITDA$ -44.52M$ -41.20M$ -54.20M$ -75.34M$ -69.24M
Net Income Common Stockholders$ -21.67M$ -20.30M$ -22.58M$ -29.26M$ -27.39M
Balance Sheet-
Cash, Cash Equivalents and Short-Term Investments$ 120.18M$ 158.26M$ 144.75M$ 224.86M$ 307.65M
Total Assets$ 631.80M$ 700.56M$ 710.25M$ 794.56M$ 886.10M
Total Debt$ 809.35M$ 810.63M$ 758.68M$ 761.32M$ 763.71M
Net Debt$ 689.17M$ 652.37M$ 613.93M$ 536.46M$ 456.06M
Total Liabilities$ 953.66M$ 959.10M$ 913.79M$ 928.91M$ 931.81M
Stockholders Equity$ 126.47M$ 141.24M$ 152.36M$ 171.50M$ 194.45M
Cash Flow-
Free Cash Flow$ -34.90M$ -35.59M$ -76.38M$ -79.73M$ -63.70M
Operating Cash Flow$ -27.60M$ -17.84M$ -61.26M$ -43.45M$ -38.72M
Investing Cash Flow$ -7.30M$ -17.75M$ -15.12M$ -36.28M$ -24.98M
Financing Cash Flow$ -3.32M$ 49.02M$ -3.69M$ -3.09M$ -4.89M
Currency in USD

SmileDirectClub Earnings and Revenue History

SmileDirectClub Debt to Assets

SmileDirectClub Cash Flow

SmileDirectClub Forecast EPS vs Actual EPS

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