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NASDAQ:AFRM

Affirm Holdings, Inc.

  • Stock

USD

Last Close

48.79

08/11 21:00

Market Cap

8.71B

Beta: 3.20

Volume Today

26.30M

Avg: 16.78M

PE Ratio

−13.80

PFCF: −189.26

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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 USD (except ratios and percentages)