Dec 22 | Aug 22 | May 22 | Feb 22 | Nov 21 | |
---|---|---|---|---|---|
Income Statement | - | ||||
Total Revenue | $ 15.89M | $ 430.60M | $ 504.10M | $ 401.50M | $ 512.50M |
Gross Profit | $ -4.25M | $ 178.30M | $ 225.30M | $ 182.10M | $ 208.80M |
EBIT | $ 6.72M | $ -61.70M | $ -42.90M | $ -25.30M | $ -38.30M |
EBITDA | $ 6.67M | $ -47.10M | $ -31.30M | $ -15.70M | $ -30.60M |
Net Income Common Stockholders | $ 5.46M | $ -63.40M | $ -44.40M | $ -26.00M | $ -39.90M |
Balance Sheet | - | ||||
Cash, Cash Equivalents and Short-Term Investments | $ 48.29M | $ 348.10M | $ 465.20M | $ 496.20M | $ 582.50M |
Total Assets | $ 565.66M | $ 1.30B | $ 1.33B | $ 1.18B | $ 1.20B |
Total Debt | $ 744.27M | $ 187.30M | $ 154.00M | $ 60.00M | $ 65.60M |
Net Debt | $ 695.98M | $ -160.80M | $ -311.20M | $ -436.20M | $ -516.90M |
Total Liabilities | $ 347.95M | $ 816.00M | $ 784.20M | $ 600.70M | $ 598.60M |
Stockholders Equity | $ 217.71M | $ 482.60M | $ 541.70M | $ 583.60M | $ 605.00M |
Cash Flow | - | ||||
Free Cash Flow | $ 453.50K | $ -109.10M | $ -19.70M | $ -73.10M | $ -51.70M |
Operating Cash Flow | $ 742.69K | $ -100.40M | $ -11.30M | $ -62.80M | $ -43.00M |
Investing Cash Flow | $ -8.31M | $ -10.00M | $ -13.10M | $ -17.10M | $ -9.50M |
Financing Cash Flow | $ -4.18M | $ -6.70M | $ -6.60M | $ -6.40M | $ -5.50M |