Mar 24 | Dec 23 | Jun 23 | Mar 23 | Mar 23 | |
---|---|---|---|---|---|
Income Statement | - | ||||
Total Revenue | $ 277.20M | $ 273.80M | $ 153.20M | $ 140.20M | $ 140.20M |
Gross Profit | $ 71.00M | $ 71.90M | $ 63.90M | $ 59.40M | $ 59.40M |
EBIT | $ 4.80M | $ 13.80M | $ 2.60M | $ -5.80M | $ 200.00K |
EBITDA | $ 17.30M | $ 26.00M | $ 13.40M | $ 5.00M | $ 11.00M |
Net Income Common Stockholders | $ 1.30M | $ 2.40M | $ -2.70M | $ -7.00M | $ -7.00M |
Balance Sheet | - | ||||
Cash, Cash Equivalents and Short-Term Investments | $ 338.90M | $ 72.80M | $ 48.20M | $ 46.70M | $ 46.70M |
Total Assets | $ 1.91B | $ 1.63B | $ 1.56B | $ 1.56B | $ 1.56B |
Total Debt | $ 226.30M | $ 269.20M | $ 284.70M | $ 301.40M | $ 301.40M |
Net Debt | $ -112.60M | $ 196.40M | $ 236.50M | $ 254.70M | $ 254.70M |
Total Liabilities | $ 586.00M | $ 634.00M | $ 602.50M | $ 613.50M | $ 613.50M |
Stockholders Equity | $ 1.31B | $ 976.00M | $ 945.60M | $ 931.20M | $ 931.20M |
Cash Flow | - | ||||
Free Cash Flow | $ -15.90M | $ 48.10M | $ 20.80M | $ -33.40M | $ -33.40M |
Operating Cash Flow | $ 700.00K | $ 67.40M | $ 23.70M | $ -25.70M | $ -25.70M |
Investing Cash Flow | $ -16.60M | $ -19.00M | $ -2.90M | $ -7.70M | $ -7.70M |
Financing Cash Flow | $ 282.60M | $ -18.60M | $ -19.40M | $ -1.40M | $ -1.40M |