This data is derived from company filings and other reputable sources. It has not been generated by AI. It is intended to help verify and validate the AI analysis here. We believe this data to be accurate but we cannot guarentee that it is error free and it should not be relied upon for financial decisions.
Name |
FAT Brands Inc. – 8.25% Series |
Asset Type |
EQUITY |
Industry |
Restaurants |
Book Value |
-24.976 |
Dividend Yield |
0.20809999 |
Eps |
-3.357 |
Beta |
1.798 |
Share Price |
9.91 |
Annual Financial Statements
Ratios
|
2023-12-31 |
2022-12-31 |
2021-12-31 |
2020-12-31 |
Gross Margin |
0.41 |
0.46 |
0.48 |
0.71 |
Operating Margin |
0.04 |
-0.03 |
-0.05 |
-0.55 |
Net Margin |
-0.19 |
-0.31 |
-0.27 |
-0.82 |
ROA |
-0.06 |
-0.10 |
-0.02 |
-0.12 |
ROE |
0.35 |
0.79 |
1.46 |
0.35 |
Current Ratio |
0.44 |
0.36 |
0.60 |
0.33 |
Receivables Turnover |
22.72 |
17.05 |
5.92 |
4.10 |
Asset Turnover |
0.35 |
0.34 |
0.09 |
0.15 |
Debt/Equity |
-6.43 |
-8.62 |
-59.65 |
-3.89 |
Operating Cash Flow Ratio |
-0.13 |
-0.18 |
0.00 |
-0.16 |
FCF Margin |
-0.03 |
-0.06 |
0.09 |
-0.61 |
Income Statement
|
2023-12-31 |
2022-12-31 |
2021-12-31 |
2020-12-31 |
Tax Effect Of Unusual Items |
-376.3K |
-3.90M |
-1.33M |
-2.35M |
Tax Rate For Calcs |
0.06 |
0.21 |
0.10 |
0.20 |
Normalized EBITDA |
58.09M |
33.07M |
15.63M |
2.98M |
Total Unusual Items |
-5.80M |
-18.58M |
-13.22M |
-11.81M |
Total Unusual Items Excluding Goodwill |
-5.80M |
-18.58M |
-13.22M |
-11.81M |
Net Income From Continuing Operation Net Minority Interest |
-90.11M |
-126.19M |
-31.58M |
-14.86M |
Reconciled Depreciation |
31.13M |
27.02M |
8.47M |
1.17M |
Reconciled Cost Of Revenue |
282.89M |
221.63M |
62.22M |
5.22M |
EBITDA |
52.30M |
14.49M |
2.41M |
-8.83M |
EBIT |
21.17M |
-12.53M |
-6.06M |
-10.00M |
Net Interest Income |
-117.53M |
-94.85M |
-29.06M |
-4.92M |
Interest Expense |
117.53M |
94.85M |
29.06M |
8.55M |
Interest Income |
N/A |
N/A |
0.00 |
3.63M |
Normalized Income |
-84.69M |
-111.51M |
-19.70M |
-5.40M |
Net Income From Continuing And Discontinued Operation |
-90.11M |
-126.19M |
-31.58M |
-14.86M |
Total Expenses |
454.75M |
406.57M |
112.46M |
20.09M |
Total Operating Income As Reported |
22.33M |
-17.90M |
824.0K |
-16.27M |
Diluted NI Availto Com Stockholders |
-97.12M |
-132.82M |
-31.58M |
-14.86M |
Net Income Common Stockholders |
-97.12M |
-132.82M |
-31.58M |
-14.86M |
Preferred Stock Dividends |
7.01M |
6.64M |
N/A |
N/A |
Net Income |
-90.11M |
-126.19M |
-31.58M |
-14.86M |
Net Income Including Noncontrolling Interests |
-90.11M |
-126.19M |
-31.58M |
-14.86M |
Net Income Continuous Operations |
-90.11M |
-126.19M |
-31.58M |
-14.86M |
Tax Provision |
-6.25M |
18.81M |
-3.54M |
-3.69M |
Pretax Income |
-96.36M |
-107.38M |
-35.12M |
-18.55M |
Other Income Expense |
-4.56M |
-13.21M |
-12.47M |
-11.65M |
Other Non Operating Income Expenses |
1.23M |
5.38M |
750.0K |
157.0K |
Special Income Charges |
-5.80M |
-18.58M |
-13.22M |
-12.70M |
Gain On Sale Of Business |
100.0K |
0.00 |
2.70M |
-1.46M |
Other Special Charges |
2.40M |
N/A |
7.64M |
88.0K |
Impairment Of Capital Assets |
500.0K |
14.00M |
1.04M |
9.29M |
Restructuring And Mergern Acquisition |
3.00M |
4.58M |
7.24M |
1.85M |
Gain On Sale Of Security |
N/A |
N/A |
N/A |
887.0K |
Net Non Operating Interest Income Expense |
-117.53M |
-94.85M |
-29.06M |
-4.92M |
Interest Expense Non Operating |
117.53M |
94.85M |
29.06M |
8.55M |
Interest Income Non Operating |
N/A |
N/A |
0.00 |
3.63M |
Operating Income |
25.70M |
657.0K |
6.42M |
-1.98M |
Operating Expense |
171.87M |
184.94M |
50.25M |
14.88M |
Depreciation Amortization Depletion Income Statement |
31.13M |
27.02M |
8.47M |
N/A |
Depreciation And Amortization In Income Statement |
31.13M |
27.02M |
8.47M |
N/A |
Selling General And Administration |
140.74M |
157.93M |
41.77M |
14.88M |
Selling And Marketing Expense |
47.62M |
44.61M |
17.97M |
5.22M |
General And Administrative Expense |
93.12M |
113.31M |
41.77M |
14.88M |
Other Gand A |
93.12M |
113.31M |
41.77M |
14.88M |
Gross Profit |
197.57M |
185.60M |
56.67M |
12.90M |
Cost Of Revenue |
282.89M |
221.63M |
62.22M |
5.22M |
Total Revenue |
480.46M |
407.22M |
118.88M |
18.12M |
Operating Revenue |
475.52M |
404.13M |
118.44M |
18.08M |
Balance Sheet
|
2023-12-31 |
2022-12-31 |
2021-12-31 |
2020-12-31 |
Preferred Shares Number |
3.59M |
3.25M |
3.22M |
1.18M |
Ordinary Shares Number |
16.90M |
16.57M |
16.38M |
13.12M |
Share Issued |
16.90M |
16.57M |
16.38M |
13.12M |
Net Debt |
1.12B |
979.57M |
848.24M |
89.22M |
Total Debt |
1.38B |
1.12B |
1.01B |
97.92M |
Tangible Book Value |
-1.18B |
-1.08B |
-969.57M |
-100.50M |
Invested Capital |
897.06M |
849.06M |
883.24M |
51.28M |
Working Capital |
-155.59M |
-171.32M |
-79.45M |
-48.75M |
Net Tangible Assets |
-1.18B |
-1.08B |
-969.57M |
-100.50M |
Capital Lease Obligations |
229.00M |
110.44M |
107.26M |
4.76M |
Common Stock Equity |
-255.86M |
-159.18M |
-21.66M |
-41.88M |
Preferred Stock Equity |
44.10M |
45.50M |
120.12M |
21.79M |
Total Capitalization |
854.45M |
799.45M |
882.61M |
31.97M |
Total Equity Gross Minority Interest |
-255.86M |
-159.18M |
-21.66M |
-41.88M |
Stockholders Equity |
-255.86M |
-159.18M |
-21.66M |
-41.88M |
Retained Earnings |
-268.78M |
-178.67M |
-52.48M |
-20.90M |
Additional Paid In Capital |
12.91M |
19.49M |
30.82M |
-20.99M |
Capital Stock |
2.0K |
2.0K |
2.0K |
1.0K |
Common Stock |
2.0K |
2.0K |
2.0K |
1.0K |
Preferred Stock |
0.00 |
0.00 |
0.00 |
0.00 |
Total Liabilities Net Minority Interest |
1.64B |
1.37B |
1.29B |
163.03M |
Total Non Current Liabilities Net Minority Interest |
1.37B |
1.11B |
1.09B |
89.85M |
Other Non Current Liabilities |
4.68M |
2.33M |
976.0K |
82.0K |
Preferred Securities Outside Stock Equity |
N/A |
0.00 |
64.45M |
0.00 |
Tradeand Other Payables Non Current |
N/A |
N/A |
0.00 |
2.81M |
Non Current Deferred Liabilities |
40.76M |
48.88M |
30.58M |
9.10M |
Non Current Deferred Revenue |
21.96M |
21.70M |
17.66M |
9.10M |
Non Current Deferred Taxes Liabilities |
18.80M |
27.18M |
12.92M |
0.00 |
Long Term Debt And Capital Lease Obligation |
1.32B |
1.05B |
997.18M |
77.86M |
Long Term Capital Lease Obligation |
211.74M |
95.62M |
92.92M |
4.01M |
Long Term Debt |
1.11B |
958.63M |
904.26M |
73.85M |
Current Liabilities |
276.60M |
267.02M |
198.49M |
73.18M |
Other Current Liabilities |
95.26M |
95.92M |
79.78M |
17.87M |
Current Deferred Liabilities |
2.49M |
2.02M |
2.64M |
1.89M |
Current Deferred Revenue |
2.49M |
2.02M |
2.64M |
1.89M |
Current Debt And Capital Lease Obligation |
59.87M |
64.43M |
14.97M |
20.06M |
Current Capital Lease Obligation |
17.25M |
14.81M |
14.34M |
748.0K |
Current Debt |
42.61M |
49.61M |
631.0K |
19.31M |
Other Current Borrowings |
42.61M |
49.61M |
631.0K |
19.31M |
Payables And Accrued Expenses |
118.99M |
104.66M |
101.10M |
33.36M |
Current Accrued Expenses |
91.86M |
80.86M |
67.83M |
23.84M |
Interest Payable |
24.96M |
13.24M |
10.68M |
1.85M |
Payables |
27.13M |
23.80M |
33.27M |
9.52M |
Other Payable |
4.00M |
4.00M |
4.17M |
N/A |
Dividends Payable |
1.32M |
1.47M |
1.57M |
893.0K |
Accounts Payable |
21.81M |
18.33M |
27.53M |
8.62M |
Total Assets |
1.39B |
1.21B |
1.27B |
121.14M |
Total Non Current Assets |
1.27B |
1.12B |
1.15B |
96.72M |
Other Non Current Assets |
20.96M |
18.72M |
24.02M |
976.0K |
Non Current Deferred Assets |
N/A |
N/A |
0.00 |
30.55M |
Non Current Deferred Taxes Assets |
N/A |
N/A |
0.00 |
30.55M |
Duefrom Related Parties Non Current |
N/A |
N/A |
N/A |
0.00 |
Non Current Note Receivables |
N/A |
N/A |
3.49M |
1.62M |
Goodwill And Other Intangible Assets |
925.70M |
918.60M |
947.92M |
58.62M |
Other Intangible Assets |
620.60M |
625.30M |
652.79M |
47.71M |
Goodwill |
305.10M |
293.30M |
295.13M |
10.91M |
Net PPE |
320.54M |
180.31M |
179.05M |
4.95M |
Accumulated Depreciation |
-27.90M |
-15.00M |
-2.90M |
N/A |
Gross PPE |
348.44M |
195.31M |
181.95M |
4.95M |
Other Properties |
264.94M |
127.61M |
121.45M |
4.95M |
Properties |
83.50M |
67.70M |
60.50M |
N/A |
Current Assets |
121.01M |
95.70M |
119.04M |
24.42M |
Other Current Assets |
10.49M |
6.09M |
6.16M |
2.37M |
Assets Held For Sale Current |
3.76M |
4.77M |
5.48M |
10.83M |
Restricted Cash |
39.27M |
25.38M |
24.74M |
2.87M |
Inventory |
9.31M |
6.92M |
5.93M |
N/A |
Receivables |
21.15M |
23.88M |
20.08M |
4.42M |
Notes Receivable |
N/A |
N/A |
231.0K |
208.0K |
Accounts Receivable |
21.15M |
23.88M |
20.08M |
4.21M |
Allowance For Doubtful Accounts Receivable |
N/A |
N/A |
-4.02M |
-739.0K |
Gross Accounts Receivable |
N/A |
N/A |
23.57M |
4.95M |
Cash Cash Equivalents And Short Term Investments |
37.04M |
28.67M |
56.66M |
3.94M |
Cash And Cash Equivalents |
37.04M |
28.67M |
56.66M |
3.94M |
Cash Financial |
37.04M |
28.67M |
56.66M |
3.94M |
Cash Flow Statement
|
2023-12-31 |
2022-12-31 |
2021-12-31 |
2020-12-31 |
Free Cash Flow |
-57.11M |
-70.57M |
-9.74M |
-11.94M |
Repurchase Of Capital Stock |
N/A |
N/A |
0.00 |
-500.0K |
Repayment Of Debt |
-54.37M |
-4.87M |
-96.87M |
-24.30M |
Issuance Of Debt |
183.11M |
55.22M |
897.22M |
74.29M |
Issuance Of Capital Stock |
6.16M |
694.0K |
26.73M |
8.12M |
Capital Expenditure |
-21.50M |
-23.17M |
-10.42M |
-460.0K |
Interest Paid Supplemental Data |
109.39M |
66.85M |
14.98M |
6.40M |
Income Tax Paid Supplemental Data |
1.75M |
1.03M |
842.0K |
167.0K |
End Cash Position |
91.90M |
68.76M |
99.92M |
7.21M |
Beginning Cash Position |
68.76M |
99.92M |
7.21M |
25.0K |
Changes In Cash |
23.14M |
-31.16M |
92.71M |
7.19M |
Financing Cash Flow |
118.55M |
28.74M |
815.23M |
55.24M |
Cash Flow From Continuing Financing Activities |
118.55M |
28.74M |
815.23M |
55.24M |
Net Other Financing Charges |
N/A |
N/A |
-1.10M |
-1.24M |
Proceeds From Stock Option Exercised |
N/A |
694.0K |
2.57M |
0.00 |
Cash Dividends Paid |
-16.35M |
-16.60M |
-13.31M |
-318.0K |
Preferred Stock Dividend Paid |
-7.01M |
-7.70M |
-5.84M |
-318.0K |
Common Stock Dividend Paid |
-9.34M |
-8.90M |
-7.47M |
0.00 |
Net Preferred Stock Issuance |
N/A |
0.00 |
26.73M |
7.62M |
Preferred Stock Payments |
N/A |
N/A |
0.00 |
-500.0K |
Preferred Stock Issuance |
N/A |
0.00 |
26.73M |
8.12M |
Net Common Stock Issuance |
6.16M |
694.0K |
N/A |
N/A |
Common Stock Issuance |
6.16M |
694.0K |
N/A |
N/A |
Net Issuance Payments Of Debt |
128.74M |
44.65M |
800.34M |
49.18M |
Net Long Term Debt Issuance |
128.74M |
44.65M |
800.34M |
49.18M |
Long Term Debt Payments |
-54.37M |
-4.87M |
-96.87M |
-24.30M |
Long Term Debt Issuance |
183.11M |
55.22M |
897.22M |
74.29M |
Investing Cash Flow |
-59.80M |
-12.50M |
-723.20M |
-36.58M |
Cash Flow From Continuing Investing Activities |
-59.80M |
-12.50M |
-723.20M |
-36.58M |
Net Other Investing Changes |
295.0K |
1.76M |
179.0K |
-13.29M |
Net Investment Properties Purchase And Sale |
N/A |
N/A |
4.23M |
0.00 |
Sale Of Investment Properties |
N/A |
N/A |
4.23M |
0.00 |
Net Business Purchase And Sale |
-38.60M |
-1.02M |
-717.19M |
-22.82M |
Sale Of Business |
N/A |
0.00 |
4.19M |
1.09M |
Purchase Of Business |
-38.60M |
-1.02M |
-721.38M |
-23.92M |
Net Intangibles Purchase And Sale |
-2.61M |
-1.75M |
0.00 |
N/A |
Purchase Of Intangibles |
-2.61M |
-1.75M |
0.00 |
N/A |
Net PPE Purchase And Sale |
-18.90M |
-11.49M |
-6.19M |
-460.0K |
Sale Of PPE |
0.00 |
9.93M |
4.23M |
N/A |
Purchase Of PPE |
-18.90M |
-21.42M |
-10.42M |
-460.0K |
Operating Cash Flow |
-35.61M |
-47.40M |
682.0K |
-11.48M |
Cash Flow From Continuing Operating Activities |
-35.61M |
-47.40M |
682.0K |
-11.48M |
Change In Working Capital |
21.47M |
-24.18M |
14.17M |
-4.44M |
Change In Other Working Capital |
732.0K |
3.42M |
768.0K |
-137.0K |
Change In Other Current Liabilities |
2.34M |
-6.84M |
-653.0K |
N/A |
Change In Other Current Assets |
-6.13M |
29.0K |
-1.53M |
-992.0K |
Change In Payables And Accrued Expense |
14.33M |
3.72M |
20.29M |
-235.0K |
Change In Accrued Expense |
10.99M |
13.03M |
13.73M |
305.0K |
Change In Interest Payable |
11.72M |
2.56M |
8.83M |
585.0K |
Change In Payable |
3.34M |
-9.31M |
6.56M |
-540.0K |
Change In Dividend Payable |
-142.0K |
-107.0K |
1.19M |
-531.0K |
Change In Account Payable |
3.48M |
-9.20M |
5.37M |
-9.0K |
Change In Prepaid Assets |
N/A |
N/A |
N/A |
-992.0K |
Change In Inventory |
-2.38M |
0.00 |
N/A |
N/A |
Change In Receivables |
12.57M |
-24.52M |
-4.71M |
-3.08M |
Changes In Account Receivables |
12.57M |
-24.52M |
-4.71M |
554.0K |
Other Non Cash Items |
13.59M |
16.15M |
7.03M |
1.09M |
Stock Based Compensation |
3.62M |
7.62M |
1.64M |
99.0K |
Provisionand Write Offof Assets |
-9.83M |
20.72M |
1.84M |
981.0K |
Asset Impairment Charge |
500.0K |
14.00M |
1.04M |
9.29M |
Amortization Of Securities |
N/A |
N/A |
26.0K |
62.0K |
Deferred Tax |
-8.38M |
17.46M |
-5.34M |
-4.08M |
Deferred Income Tax |
-8.38M |
17.46M |
-5.34M |
-4.08M |
Depreciation Amortization Depletion |
31.13M |
27.02M |
8.47M |
1.17M |
Depreciation And Amortization |
31.13M |
27.02M |
8.47M |
1.17M |
Operating Gains Losses |
2.40M |
N/A |
3.41M |
-744.0K |
Gain Loss On Investment Securities |
N/A |
N/A |
N/A |
-887.0K |
Gain Loss On Sale Of PPE |
0.00 |
0.00 |
-2.68M |
55.0K |
Gain Loss On Sale Of Business |
N/A |
N/A |
N/A |
55.0K |
Net Income From Continuing Operations |
-90.11M |
-126.19M |
-31.58M |
-14.86M |
Quarterly Financial Statements
Ratios
|
2024-09-30 |
2024-06-30 |
2024-03-31 |
2023-12-31 |
2023-09-30 |
Gross Margin |
0.25 |
0.34 |
0.27 |
0.55 |
0.35 |
Operating Margin |
-0.06 |
-0.02 |
-0.00 |
-0.01 |
0.03 |
Net Margin |
-0.31 |
-0.26 |
-0.25 |
-0.17 |
-0.23 |
ROA |
-0.03 |
-0.03 |
-0.03 |
-0.02 |
-0.02 |
ROE |
0.12 |
0.12 |
0.13 |
0.10 |
0.11 |
Current Ratio |
0.30 |
0.37 |
0.46 |
0.44 |
0.61 |
Receivables Turnover |
7.85 |
6.96 |
7.70 |
7.50 |
4.54 |
Asset Turnover |
0.11 |
0.11 |
0.11 |
0.11 |
0.09 |
Debt/Equity |
-4.47 |
-5.01 |
-5.67 |
-6.43 |
-6.58 |
Operating Cash Flow Ratio |
-0.01 |
-0.05 |
-0.11 |
-0.05 |
-0.01 |
FCF Margin |
0.03 |
-0.03 |
-0.16 |
-0.03 |
0.04 |
Income Statement
|
2024-09-30 |
2024-06-30 |
2024-03-31 |
2023-12-31 |
2023-09-30 |
Tax Effect Of Unusual Items |
-33.0K |
-36.8K |
-225.3K |
-586.0K |
-156.6K |
Tax Rate For Calcs |
0.21 |
0.21 |
0.21 |
0.25 |
0.05 |
Normalized EBITDA |
1.81M |
6.97M |
10.52M |
10.52M |
13.94M |
Total Unusual Items |
-157.0K |
-175.0K |
-1.07M |
-2.33M |
-3.13M |
Total Unusual Items Excluding Goodwill |
-157.0K |
-175.0K |
-1.07M |
-2.33M |
-3.13M |
Net Income From Continuing Operation Net Minority Interest |
-44.76M |
-39.36M |
-38.32M |
-26.24M |
-24.66M |
Reconciled Depreciation |
10.74M |
10.25M |
10.19M |
9.91M |
7.04M |
Reconciled Cost Of Revenue |
106.82M |
100.11M |
111.64M |
71.32M |
70.84M |
EBITDA |
1.65M |
6.79M |
9.44M |
8.19M |
10.81M |
EBIT |
-9.09M |
-3.46M |
-751.0K |
-1.72M |
3.77M |
Net Interest Income |
-35.53M |
-34.00M |
-34.04M |
-33.34M |
-29.74M |
Interest Expense |
35.53M |
34.00M |
34.04M |
33.34M |
29.74M |
Normalized Income |
-44.63M |
-39.22M |
-37.47M |
-24.50M |
-21.68M |
Net Income From Continuing And Discontinued Operation |
-44.76M |
-39.36M |
-38.32M |
-26.24M |
-24.66M |
Total Expenses |
152.04M |
154.57M |
151.84M |
159.15M |
102.34M |
Total Operating Income As Reported |
-8.83M |
-2.70M |
-1.38M |
-3.14M |
6.62M |
Diluted NI Availto Com Stockholders |
-46.69M |
-41.28M |
-40.20M |
-28.07M |
-26.45M |
Net Income Common Stockholders |
-46.69M |
-41.28M |
-40.20M |
-28.07M |
-26.45M |
Preferred Stock Dividends |
1.94M |
1.92M |
1.88M |
1.83M |
1.79M |
Net Income |
-44.76M |
-39.36M |
-38.32M |
-26.24M |
-24.66M |
Net Income Including Noncontrolling Interests |
-44.76M |
-39.36M |
-38.32M |
-26.24M |
-24.66M |
Net Income Continuous Operations |
-44.76M |
-39.36M |
-38.32M |
-26.24M |
-24.66M |
Tax Provision |
143.0K |
1.90M |
3.52M |
-8.83M |
-1.31M |
Pretax Income |
-44.61M |
-37.46M |
-34.79M |
-35.06M |
-25.97M |
Other Income Expense |
-409.0K |
-927.0K |
-869.0K |
-1.23M |
-3.26M |
Other Non Operating Income Expenses |
-252.0K |
-752.0K |
204.0K |
1.10M |
-128.0K |
Special Income Charges |
-157.0K |
-175.0K |
-1.07M |
-2.33M |
-3.13M |
Gain On Sale Of Business |
N/A |
N/A |
-500.0K |
N/A |
N/A |
Other Special Charges |
N/A |
N/A |
-427.0K |
-326.0K |
2.72M |
Restructuring And Mergern Acquisition |
157.0K |
175.0K |
1.00M |
2.25M |
408.0K |
Net Non Operating Interest Income Expense |
-35.53M |
-34.00M |
-34.04M |
-33.34M |
-29.74M |
Interest Expense Non Operating |
35.53M |
34.00M |
34.04M |
33.34M |
29.74M |
Operating Income |
-8.68M |
-2.53M |
126.0K |
-516.0K |
7.03M |
Operating Expense |
45.22M |
54.45M |
40.20M |
87.83M |
31.50M |
Depreciation Amortization Depletion Income Statement |
10.74M |
10.25M |
10.19M |
9.91M |
7.04M |
Depreciation And Amortization In Income Statement |
10.74M |
10.25M |
10.19M |
9.91M |
7.04M |
Selling General And Administration |
34.48M |
44.21M |
30.00M |
77.92M |
24.46M |
Selling And Marketing Expense |
N/A |
14.65M |
12.59M |
13.81M |
11.67M |
General And Administrative Expense |
34.48M |
29.56M |
30.00M |
30.30M |
24.46M |
Other Gand A |
34.48M |
29.56M |
30.00M |
30.30M |
24.46M |
Gross Profit |
36.54M |
51.93M |
40.33M |
87.31M |
38.53M |
Cost Of Revenue |
106.82M |
100.11M |
111.64M |
71.32M |
70.84M |
Total Revenue |
143.37M |
152.04M |
151.97M |
158.64M |
109.37M |
Operating Revenue |
143.37M |
151.54M |
148.64M |
157.20M |
108.27M |
Balance Sheet
|
2024-09-30 |
2024-06-30 |
2024-03-31 |
2023-12-31 |
2023-09-30 |
Preferred Shares Number |
3.59M |
3.71M |
3.65M |
3.59M |
3.46M |
Ordinary Shares Number |
17.11M |
17.01M |
16.97M |
16.90M |
16.77M |
Share Issued |
17.11M |
17.01M |
16.97M |
16.90M |
16.77M |
Net Debt |
1.21B |
1.20B |
1.16B |
1.12B |
1.05B |
Total Debt |
1.45B |
1.44B |
1.43B |
1.38B |
1.25B |
Tangible Book Value |
-1.30B |
-1.26B |
-1.22B |
-1.18B |
-1.18B |
Invested Capital |
840.91M |
874.84M |
904.12M |
897.06M |
866.50M |
Working Capital |
-210.80M |
-170.84M |
-142.51M |
-155.59M |
-102.27M |
Net Tangible Assets |
-1.30B |
-1.26B |
-1.22B |
-1.18B |
-1.14B |
Capital Lease Obligations |
220.46M |
224.13M |
227.09M |
229.00M |
109.53M |
Common Stock Equity |
-386.15M |
-338.64M |
-296.77M |
-255.86M |
-272.52M |
Preferred Stock Equity |
N/A |
N/A |
N/A |
44.10M |
43.80M |
Total Capitalization |
791.77M |
829.78M |
861.29M |
854.45M |
865.07M |
Total Equity Gross Minority Interest |
-386.15M |
-338.64M |
-296.77M |
-255.86M |
-228.72M |
Stockholders Equity |
-386.15M |
-338.64M |
-296.77M |
-255.86M |
-228.72M |
Retained Earnings |
-391.21M |
-346.45M |
-307.09M |
-268.78M |
-242.54M |
Additional Paid In Capital |
5.06M |
7.81M |
10.33M |
12.91M |
N/A |
Capital Stock |
0.00 |
0.00 |
0.00 |
2.0K |
13.82M |
Common Stock |
0.00 |
0.00 |
0.00 |
2.0K |
-29.98M |
Preferred Stock |
N/A |
N/A |
N/A |
0.00 |
43.80M |
Total Liabilities Net Minority Interest |
1.73B |
1.69B |
1.68B |
1.64B |
1.50B |
Total Non Current Liabilities Net Minority Interest |
1.42B |
1.42B |
1.42B |
1.37B |
1.24B |
Other Non Current Liabilities |
3.44M |
2.60M |
4.50M |
4.68M |
2.42M |
Non Current Deferred Liabilities |
43.25M |
45.21M |
43.03M |
40.76M |
47.87M |
Non Current Deferred Revenue |
20.69M |
22.30M |
21.44M |
21.96M |
20.87M |
Non Current Deferred Taxes Liabilities |
22.56M |
22.91M |
21.59M |
18.80M |
27.00M |
Long Term Debt And Capital Lease Obligation |
1.38B |
1.38B |
1.37B |
1.32B |
1.19B |
Long Term Capital Lease Obligation |
198.96M |
206.80M |
209.49M |
211.74M |
94.83M |
Long Term Debt |
1.18B |
1.17B |
1.16B |
1.11B |
1.09B |
Current Liabilities |
302.21M |
271.96M |
266.38M |
276.60M |
265.36M |
Other Current Liabilities |
92.23M |
92.23M |
94.14M |
95.26M |
95.17M |
Current Deferred Liabilities |
2.30M |
2.38M |
2.46M |
2.49M |
2.17M |
Current Deferred Revenue |
2.30M |
2.38M |
2.46M |
2.49M |
2.17M |
Current Debt And Capital Lease Obligation |
70.64M |
62.39M |
60.42M |
59.87M |
59.93M |
Current Capital Lease Obligation |
21.50M |
17.33M |
17.60M |
17.25M |
14.70M |
Current Debt |
49.14M |
45.06M |
42.82M |
42.61M |
45.23M |
Other Current Borrowings |
49.14M |
45.06M |
42.82M |
42.61M |
45.23M |
Payables And Accrued Expenses |
137.05M |
114.96M |
109.35M |
118.99M |
108.09M |
Current Accrued Expenses |
105.63M |
95.66M |
84.24M |
91.86M |
84.38M |
Interest Payable |
31.72M |
29.47M |
26.95M |
24.96M |
19.18M |
Payables |
31.41M |
19.30M |
25.11M |
27.13M |
23.72M |
Other Payable |
N/A |
N/A |
N/A |
4.00M |
4.00M |
Dividends Payable |
1.36M |
1.34M |
1.33M |
1.32M |
1.30M |
Accounts Payable |
30.05M |
17.96M |
23.78M |
21.81M |
18.42M |
Total Assets |
1.34B |
1.36B |
1.38B |
1.39B |
1.28B |
Total Non Current Assets |
1.25B |
1.26B |
1.26B |
1.27B |
1.11B |
Other Non Current Assets |
22.25M |
22.52M |
22.54M |
20.96M |
21.12M |
Goodwill And Other Intangible Assets |
913.55M |
917.85M |
921.79M |
925.70M |
908.38M |
Other Intangible Assets |
608.50M |
612.80M |
616.70M |
620.60M |
615.10M |
Goodwill |
305.05M |
305.05M |
305.09M |
305.10M |
293.28M |
Net PPE |
312.42M |
314.89M |
316.53M |
320.54M |
182.93M |
Accumulated Depreciation |
-44.60M |
-38.80M |
-33.70M |
-27.90M |
-22.80M |
Gross PPE |
357.02M |
353.69M |
350.23M |
348.44M |
205.73M |
Other Properties |
263.72M |
268.59M |
265.83M |
264.94M |
126.43M |
Properties |
93.30M |
85.10M |
84.40M |
83.50M |
79.30M |
Current Assets |
91.42M |
101.11M |
123.86M |
121.01M |
163.09M |
Other Current Assets |
14.05M |
13.38M |
12.90M |
10.49M |
6.04M |
Assets Held For Sale Current |
370.0K |
370.0K |
2.68M |
3.76M |
3.72M |
Restricted Cash |
33.44M |
40.07M |
39.49M |
39.27M |
34.42M |
Inventory |
8.47M |
8.87M |
9.18M |
9.31M |
6.83M |
Receivables |
18.26M |
21.85M |
19.73M |
21.15M |
24.09M |
Accounts Receivable |
18.26M |
21.85M |
19.73M |
21.15M |
24.09M |
Allowance For Doubtful Accounts Receivable |
N/A |
N/A |
N/A |
N/A |
-11.72M |
Gross Accounts Receivable |
N/A |
N/A |
N/A |
N/A |
35.80M |
Cash Cash Equivalents And Short Term Investments |
16.84M |
16.58M |
39.89M |
37.04M |
87.99M |
Cash And Cash Equivalents |
16.84M |
16.58M |
39.89M |
37.04M |
87.99M |
Cash Financial |
16.84M |
16.58M |
39.89M |
37.04M |
87.99M |
Cash Flow Statement
|
2024-09-30 |
2024-06-30 |
2024-03-31 |
2023-12-31 |
2023-09-30 |
Free Cash Flow |
-11.09M |
-24.43M |
-32.53M |
-20.65M |
-8.22M |
Repayment Of Debt |
-9.28M |
-8.84M |
-36.30M |
24.00M |
-77.83M |
Issuance Of Debt |
17.21M |
13.66M |
80.01M |
-11.05M |
156.05M |
Issuance Of Capital Stock |
1.03M |
1.11M |
924.0K |
2.34M |
2.17M |
Capital Expenditure |
-7.87M |
-10.21M |
-4.13M |
-8.08M |
-6.40M |
Interest Paid Supplemental Data |
29.50M |
29.19M |
29.36M |
28.77M |
29.64M |
Income Tax Paid Supplemental Data |
488.0K |
1.17M |
288.0K |
950.0K |
127.0K |
End Cash Position |
66.74M |
73.11M |
95.83M |
91.90M |
138.84M |
Beginning Cash Position |
73.11M |
95.83M |
91.90M |
138.84M |
71.88M |
Changes In Cash |
-6.37M |
-22.72M |
3.93M |
-46.93M |
66.96M |
Financing Cash Flow |
4.64M |
1.62M |
40.38M |
11.09M |
76.25M |
Cash Flow From Continuing Financing Activities |
4.64M |
1.62M |
40.38M |
11.09M |
76.25M |
Cash Dividends Paid |
-4.32M |
-4.30M |
-4.26M |
-4.19M |
-4.13M |
Preferred Stock Dividend Paid |
-1.94M |
-1.92M |
-1.88M |
-1.83M |
-1.79M |
Common Stock Dividend Paid |
-2.39M |
-2.38M |
-2.38M |
-2.36M |
-2.34M |
Net Common Stock Issuance |
1.03M |
1.11M |
924.0K |
2.34M |
2.17M |
Common Stock Issuance |
1.03M |
1.11M |
924.0K |
2.34M |
2.17M |
Net Issuance Payments Of Debt |
7.93M |
4.82M |
43.71M |
12.95M |
78.22M |
Net Long Term Debt Issuance |
7.93M |
4.82M |
43.71M |
12.95M |
78.22M |
Long Term Debt Payments |
-9.28M |
-8.84M |
-36.30M |
24.00M |
-77.83M |
Long Term Debt Issuance |
17.21M |
13.66M |
80.01M |
-11.05M |
156.05M |
Investing Cash Flow |
-7.79M |
-10.13M |
-8.05M |
-45.46M |
-7.47M |
Cash Flow From Continuing Investing Activities |
-7.79M |
-10.13M |
-8.05M |
-45.46M |
-7.47M |
Net Other Investing Changes |
85.0K |
-3.92M |
80.0K |
77.0K |
75.0K |
Net Business Purchase And Sale |
N/A |
N/A |
-4.00M |
-37.46M |
-1.14M |
Purchase Of Business |
N/A |
N/A |
-4.00M |
-37.46M |
-1.14M |
Net PPE Purchase And Sale |
-7.87M |
-10.21M |
-4.13M |
-5.47M |
-6.40M |
Purchase Of PPE |
-7.87M |
-10.21M |
-4.13M |
-5.47M |
-6.40M |
Operating Cash Flow |
-3.22M |
-14.21M |
-28.40M |
-12.57M |
-1.82M |
Cash Flow From Continuing Operating Activities |
-3.22M |
-14.21M |
-28.40M |
-12.57M |
-1.82M |
Change In Working Capital |
22.87M |
7.11M |
-7.93M |
17.88M |
-571.0K |
Change In Other Working Capital |
-1.22M |
3.65M |
-313.0K |
1.13M |
-1.15M |
Change In Other Current Liabilities |
856.0K |
-1.51M |
-155.0K |
14.68M |
-11.45M |
Change In Other Current Assets |
-486.0K |
-564.0K |
-3.17M |
-5.27M |
1.81M |
Change In Payables And Accrued Expense |
22.07M |
5.61M |
-5.66M |
10.73M |
4.58M |
Change In Accrued Expense |
9.97M |
11.43M |
-7.63M |
7.48M |
2.46M |
Change In Interest Payable |
2.25M |
2.53M |
1.99M |
5.78M |
2.46M |
Change In Payable |
12.10M |
-5.82M |
1.97M |
3.25M |
2.11M |
Change In Account Payable |
12.10M |
-5.82M |
1.97M |
3.39M |
2.11M |
Change In Inventory |
398.0K |
317.0K |
123.0K |
-2.47M |
-582.0K |
Change In Receivables |
1.25M |
-395.0K |
1.25M |
-920.0K |
6.22M |
Changes In Account Receivables |
1.25M |
-395.0K |
1.25M |
-920.0K |
6.22M |
Other Non Cash Items |
5.29M |
7.36M |
4.38M |
1.34M |
3.74M |
Stock Based Compensation |
539.0K |
677.0K |
745.0K |
947.0K |
1.10M |
Provisionand Write Offof Assets |
2.35M |
-1.73M |
168.0K |
-8.39M |
10.96M |
Deferred Tax |
-356.0K |
1.32M |
2.78M |
-8.19M |
-2.15M |
Deferred Income Tax |
-356.0K |
1.32M |
2.78M |
-8.19M |
-2.15M |
Depreciation Amortization Depletion |
10.74M |
10.25M |
10.19M |
9.91M |
7.04M |
Depreciation And Amortization |
10.74M |
10.25M |
10.19M |
9.91M |
7.04M |
Operating Gains Losses |
100.0K |
158.0K |
-427.0K |
-326.0K |
N/A |
Gain Loss On Sale Of PPE |
100.0K |
N/A |
N/A |
N/A |
0.00 |
Net Income From Continuing Operations |
-44.76M |
-39.36M |
-38.32M |
-26.24M |
-24.66M |
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