COM:AFFIRM
Affirm Holdings, Inc.
- Stock
Last Close
65.74
22/11 21:00
Market Cap
20.90B
Beta: -
Volume Today
12.34M
Avg: -
Preview
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Jun '19 | Jun '20 | Jun '21 | Jun '22 | Jun '23 | Jun '24 | ||
---|---|---|---|---|---|---|---|
net income | -120.45M - | -112.60M 6.52% | -430.92M 282.71% | -707.42M 64.16% | -985.35M 39.29% | -517.76M 47.45% | |
depreciation and amortization | 5.27M - | 9.44M 79.34% | 19.98M 111.55% | 52.72M 163.89% | 134.63M 155.37% | -114.64M 185.15% | |
deferred income tax | 36K - | 385K 969.44% | 77.42M 20,009.61% | 629.14M - | |||
stock based compensation | 33.70M - | 29.63M 12.09% | 288.03M 872.26% | 390.98M 35.74% | 451.71M 15.53% | 344.51M 23.73% | |
change in working capital | -20.69M - | 30.98M 249.69% | -53.75M 273.51% | -9.66M 82.03% | -134.97M 1,297.40% | ||
accounts receivables | -24.79M - | -19.05M 23.16% | -22.93M 20.39% | -62.70M 173.39% | -67.69M 7.96% | -167.76M 147.83% | |
inventory | 16.77M - | 22.57M 34.63% | |||||
accounts payables | 4.43M - | 7.51M 69.43% | 32.22M 328.84% | -24.69M 176.61% | -5.04M 79.59% | 12.42M 346.47% | |
other working capital | -17.11M - | 19.94M 216.55% | -63.04M 416.20% | 77.73M 223.30% | -62.25M 180.08% | ||
other non cash items | 14.50M - | -29.13M 300.98% | -93.89M 222.28% | 159.57M 269.95% | -82.98M 152.00% | ||
net cash provided by operating activities | -87.65M - | -71.30M 18.65% | -193.13M 170.86% | -113.80M 41.08% | 12.18M 110.70% | 450.14M 3,595.41% | |
investments in property plant and equipment | -21.25M - | -21.02M 1.09% | -20.25M 3.65% | -111.70M 451.58% | -120.78M 8.12% | -159.30M 31.89% | |
acquisitions net | 1.74B - | 2.53B 44.93% | -222.43M 108.80% | -6.00M 97.30% | -16.05M 167.56% | ||
purchases of investments | -1.89B - | -2.83B 49.55% | -5.90B 108.36% | -1.84B 68.78% | -1.08B 41.23% | -22.47B 1,976.85% | |
sales maturities of investments | 147.10M - | 303.43M 106.27% | 824.01M 171.56% | 291.40M 64.64% | 1.54B 427.62% | 7.20B 368.02% | |
other investing activites | -330.63M - | -232.05M 29.82% | 4.29B 1,950.39% | -363.29M 108.46% | -1.97B 442.71% | 14.11B 815.82% | |
net cash used for investing activites | -353.73M - | -253.07M 28.46% | -1.02B 303.85% | -2.03B 98.72% | -1.65B 18.61% | -1.33B 19.84% | |
debt repayment | -1.08B - | -1.88B 74.20% | -3.38B 79.34% | -4.70B 39.20% | -6.61B 40.77% | -12.55B 89.78% | |
common stock issued | 309.56M - | 2.73M 99.12% | 1.31B 47,656.17% | 73.91M 94.34% | 15.77M 78.67% | ||
common stock repurchased | -17.13M - | -41.45M 141.96% | -813K 98.04% | -86K 89.42% | -109K 26.74% | ||
dividends paid | -309.56M - | -2.22B 618.21% | -4.82B 116.78% | -15.77M - | |||
other financing activites | 1.66B - | 4.44B 167.52% | 9.47B 113.31% | 6.62B 30.06% | 7.96B 20.27% | 13.47B 69.08% | |
net cash used provided by financing activities | 561.65M - | 294.73M 47.52% | 2.58B 774.64% | 2.00B 22.51% | 1.35B 32.42% | 913.15M 32.36% | |
effect of forex changes on cash | 1.84M - | 5.35M 191.18% | 81K 98.49% | -2.68M 3,412.35% | |||
net change in cash | 120.27M - | -29.64M 124.65% | 1.36B 4,703.12% | -141.82M 110.39% | -290.86M 105.09% | 35.45M 112.19% | |
cash at beginning of period | 237.50M - | 357.77M 50.64% | 328.13M 8.29% | 1.69B 415.85% | 1.55B 8.38% | 1.26B 18.76% | |
cash at end of period | 357.77M - | 328.13M 8.29% | 1.69B 415.85% | 1.55B 8.38% | 1.26B 18.76% | 1.30B 2.81% | |
operating cash flow | -87.65M - | -71.30M 18.65% | -193.13M 170.86% | -113.80M 41.08% | 12.18M 110.70% | 450.14M 3,595.41% | |
capital expenditure | -21.25M - | -21.02M 1.09% | -20.25M 3.65% | -111.70M 451.58% | -120.78M 8.12% | -159.30M 31.89% | |
free cash flow | -108.90M - | -92.32M 15.22% | -213.38M 131.13% | -225.50M 5.68% | -108.59M 51.84% | 290.84M 367.83% |
All numbers in (except ratios and percentages)