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COM:SQUARESPACE

Squarespace, Inc.

  • Stock

USD

Last Close

46.67

16/10 20:00

Market Cap

6.03B

Beta: -

Volume Today

2.36M

Avg: -

Preview

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Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
58.15M
-
30.59M
47.40%
-249.15M
914.53%
-252.22M
1.23%
-7.08M
97.19%
depreciation and amortization
18.31M
-
21.70M
18.54%
32.72M
50.76%
31.62M
3.37%
43.93M
38.93%
deferred income tax
-4.02M
-
-4.85M
20.76%
3.20M
165.87%
788K
75.34%
251K
68.15%
stock based compensation
17.98M
-
31.25M
73.87%
307.92M
885.23%
102.53M
66.70%
107.75M
5.09%
change in working capital
12.22M
-
68.90M
463.60%
27.29M
60.40%
53.28M
95.27%
87.73M
64.65%
accounts receivables
-133K
-
-2.94M
2,107.52%
712K
124.25%
-5.46M
866.99%
-15.68M
187.09%
inventory
-17.91M
-
-27.11M
51.40%
-712K
97.37%
accounts payables
987K
-
27.11M
2,647.21%
14.53M
46.43%
-2.21M
115.25%
33.52M
1,613.27%
other working capital
29.28M
-
71.84M
145.33%
12.76M
82.24%
60.96M
377.71%
69.89M
14.65%
other non cash items
-310K
-
2.44M
886.13%
1.18M
51.54%
228.22M
19,224.47%
-1.46M
100.64%
net cash provided by operating activities
102.33M
-
150.03M
46.61%
123.16M
17.91%
164.22M
33.34%
231.12M
40.74%
investments in property plant and equipment
-8.22M
-
-4.71M
42.66%
-11.02M
133.89%
-11.54M
4.74%
-17.00M
47.26%
acquisitions net
-95.74M
-
-202.17M
-
488K
100.24%
-176.72M
36,313.32%
purchases of investments
-145.85M
-
-109.97M
24.60%
-28.69M
73.91%
-27.68M
3.53%
-7.82M
71.74%
sales maturities of investments
174.58M
-
148.76M
14.79%
34.16M
77.04%
27.19M
20.38%
39.66M
45.86%
other investing activites
-95K
-
178K
287.37%
-488K
-
net cash used for investing activites
-75.32M
-
34.26M
145.49%
-207.73M
706.30%
-12.03M
94.21%
-161.88M
1,245.52%
debt repayment
-556K
-
-6.56M
1,080.40%
-13.59M
107.01%
-13.59M
0%
-53.94M
297.03%
common stock issued
1.03M
-
198.76M
19,197.09%
304.41M
53.15%
2.21M
99.27%
228K
89.69%
common stock repurchased
-44.46M
-
-20.16M
54.66%
4.76M
123.61%
-120.19M
2,625.06%
-25.99M
78.38%
dividends paid
-1.03M
-
-327.75M
31,719.90%
-367K
99.89%
-1
-
other financing activites
-808K
-
-15M
1,756.44%
-34.50M
130.02%
-21.27M
38.36%
71.51M
436.25%
net cash used provided by financing activities
-45.83M
-
-170.71M
272.51%
260.71M
252.72%
-152.84M
158.62%
-8.19M
94.64%
effect of forex changes on cash
-171K
-
659K
485.38%
-351K
153.26%
-412K
17.38%
614K
249.03%
net change in cash
-18.99M
-
14.24M
175.01%
175.79M
1,134.30%
-1.06M
100.60%
61.66M
5,917.45%
cash at beginning of period
62.64M
-
43.65M
30.31%
57.89M
32.63%
233.68M
303.66%
232.62M
0.45%
cash at end of period
43.65M
-
57.89M
32.63%
233.68M
303.66%
232.62M
0.45%
294.29M
26.51%
operating cash flow
102.33M
-
150.03M
46.61%
123.16M
17.91%
164.22M
33.34%
231.12M
40.74%
capital expenditure
-8.22M
-
-4.71M
42.66%
-11.02M
133.89%
-11.54M
4.74%
-17.00M
47.26%
free cash flow
94.12M
-
145.32M
54.40%
112.14M
22.83%
152.68M
36.15%
214.12M
40.24%

All numbers in USD (except ratios and percentages)