bf/NASDAQ:FAZE_icon.jpeg

COM:FAZECLAN

FaZe Clan

  • Stock

Last Close

0.18

07/03 21:00

Market Cap

14.12M

Beta: -

Volume Today

397.47K

Avg: -

Preview

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Jun '19
Sep '19
Dec '19
Sep '20
Dec '20
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
net income
587.34K
-
466.80K
20.52%
8.85M
1,796.53%
-472
100.01%
-10.19M
2,159,645.76%
-1.82M
82.12%
-20.88M
1,045.75%
-13.57M
34.99%
-9.54M
29.71%
-9.32M
2.31%
-130.60M
1,300.97%
-19.07M
85.40%
-14.04M
26.38%
-14.36M
2.25%
-7.20M
49.84%
depreciation and amortization
209K
-
346K
-
565K
63.29%
98K
82.65%
567K
478.57%
1.95M
243.03%
1.04M
46.53%
970K
6.73%
927K
4.43%
deferred income tax
101K
-
1.03M
-
115.69M
11,142.66%
-5.01M
-
stock based compensation
982K
-
1.15M
17.11%
1.51M
31.22%
2.34M
54.87%
5.17M
121.27%
2.67M
48.31%
5.96M
123.16%
1.36M
77.23%
change in working capital
1.33M
-
-379.53K
128.62%
379.53K
200%
997
99.74%
4.48M
448,846.84%
122.92K
97.25%
-2.10M
1,807.85%
6.82M
424.63%
-3.39M
149.77%
-11.18M
229.51%
-11.22M
0.35%
6.12M
154.57%
-1.79M
129.19%
1.75M
197.93%
61K
96.51%
accounts receivables
832K
-
-1.05M
-
-774K
26.29%
-3.06M
295.22%
-7.91M
158.55%
9.04M
214.35%
3.85M
57.44%
653K
83.03%
-516K
179.02%
inventory
41K
-
5K
-
6K
20%
6
-
5.99K
99,800%
-2.61M
-
-2.45M
6.25%
accounts payables
31.36K
-
30K
4.34%
30K
0%
4.61M
-
186.71K
95.95%
985.45K
427.80%
-1.17M
218.68%
394.91K
133.77%
-10.12K
-
-18.21M
179,811.16%
-5.14M
71.76%
2.61M
150.73%
2.45M
6.25%
other working capital
1.29M
-
-409.53K
131.63%
349.53K
185.35%
997
99.71%
-1.01M
101,002.71%
-63.79K
93.66%
-3.08M
4,735.78%
9.03M
392.72%
-3.02M
133.43%
-8.12M
168.90%
-3.30M
59.39%
15.28M
563.57%
-493K
103.23%
1.10M
322.52%
577K
47.40%
other non cash items
-2.11M
-
-19.98K
99.05%
-9.56M
47,754.76%
-525
99.99%
2.22M
423,338.10%
1.48M
33.31%
2.98M
100.88%
1.36M
54.38%
1.51M
11.12%
1.90M
25.58%
459K
75.78%
-6K
101.31%
776K
13,033.33%
380K
51.03%
5.28M
1,289.21%
net cash provided by operating activities
-192.86K
-
67.29K
134.89%
-328.85K
588.70%
-3.29M
-
-217.74K
93.38%
-20.00M
9,086.89%
-3.97M
80.14%
-9.71M
144.40%
-15.97M
64.45%
-22.76M
42.56%
-5.84M
74.34%
-11.34M
94.11%
-5.29M
53.33%
-4.59M
13.25%
investments in property plant and equipment
-141K
-
-951K
-
-2.07M
117.35%
-1.76M
14.80%
-583K
66.89%
-403K
30.87%
-114K
71.71%
-22K
80.70%
-12K
45.45%
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
-143.75M
-
171.76M
-
-12K
100.01%
net cash used for investing activites
-143.75M
-
-141K
-
171.76M
-
-963K
100.56%
-2.07M
114.64%
-1.76M
14.80%
-583K
66.89%
-403K
30.87%
-114K
71.71%
-22K
80.70%
-12K
45.45%
debt repayment
-69.75K
-
-800K
-
-25.65M
-
-25.65M
-
-1.54M
-
-100M
6,380.88%
common stock issued
-125M
-
172.50K
-
294
-
47.21K
15,956.46%
783K
1,558.69%
common stock repurchased
-969.38K
-
17.71K
101.83%
328.85K
1,757.09%
-5.66M
-
dividends paid
-94.34M
-
other financing activites
270.95M
-
-102.71K
100.04%
1.27M
1,337.63%
29.75M
-
-18.17K
100.06%
-138.76M
763,658.49%
30.52M
121.99%
9.34M
69.40%
9.04M
3.17%
62.87M
595.21%
199.53M
217.38%
296K
99.85%
-296K
200%
net cash used provided by financing activities
144.91M
-
-85K
100.06%
800K
1,041.18%
4.10M
-
-18.17K
100.44%
-138.76M
763,658.49%
5.04M
103.63%
9.34M
85.44%
9.04M
3.17%
61.33M
578.15%
-421K
100.69%
1.08M
356.29%
-296K
127.43%
effect of forex changes on cash
-12.98M
-
-353.05K
97.28%
10.48M
-
-67.54K
100.64%
net change in cash
969.38K
-
-17.71K
101.83%
-328.85K
1,757.09%
669K
-
-235.91K
135.26%
17.40M
7,476.11%
100K
99.43%
-2.44M
2,538%
-8.69M
256.28%
37.98M
537.23%
-6.67M
117.55%
-10.37M
55.63%
-5.61M
45.93%
-4.60M
17.95%
cash at beginning of period
31.66K
-
1.00M
3,061.38%
983.34K
1.77%
3.76M
-
353.08K
90.61%
117.17K
66.81%
17.52M
14,851.05%
17.62M
0.57%
15.18M
13.84%
6.49M
57.22%
44.47M
584.82%
37.81M
14.99%
27.43M
27.44%
21.82M
20.45%
cash at end of period
1.00M
-
983.34K
1.77%
654.49K
33.44%
4.43M
-
117.17K
97.36%
17.52M
14,851.05%
17.62M
0.57%
15.18M
13.84%
6.49M
57.22%
44.47M
584.82%
37.81M
14.99%
27.43M
27.44%
21.82M
20.45%
17.22M
21.09%
operating cash flow
-192.86K
-
67.29K
134.89%
-328.85K
588.70%
-3.29M
-
-217.74K
93.38%
-20.00M
9,086.89%
-3.97M
80.14%
-9.71M
144.40%
-15.97M
64.45%
-22.76M
42.56%
-5.84M
74.34%
-11.34M
94.11%
-5.29M
53.33%
-4.59M
13.25%
capital expenditure
-141K
-
-951K
-
-2.07M
117.35%
-1.76M
14.80%
-583K
66.89%
-403K
30.87%
-114K
71.71%
-22K
80.70%
-12K
45.45%
free cash flow
-192.86K
-
67.29K
134.89%
-328.85K
588.70%
-3.43M
-
-217.74K
93.65%
-20.00M
9,086.89%
-4.92M
75.38%
-11.78M
139.18%
-17.73M
50.54%
-23.35M
31.69%
-6.24M
73.26%
-11.45M
83.41%
-5.31M
53.61%
-4.60M
13.38%

All numbers in (except ratios and percentages)