bf/NASDAQ:BMBL_icon.jpeg

NASDAQ:BMBL

Bumble Inc. Class A Common Stock

  • Stock

USD

Last Close

12.13

17/05 20:00

Market Cap

1.55B

Beta: 1.83

Volume Today

2.67M

Avg: 2.63M

PE Ratio

−13.03

PFCF: 16.31

Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-23.67M
-
85.84M
462.69%
-145.47M
269.46%
286.94M
297.26%
-114.12M
139.77%
-4.21M
96.31%
depreciation and amortization
5.96M
-
6.73M
13.04%
91.84M
1,263.83%
107.06M
16.57%
89.71M
16.20%
71.55M
20.25%
deferred income tax
-3.36M
-
-2.17M
35.27%
-763K
64.89%
-447.95M
58,609.17%
-1.31M
99.71%
-7.17M
445.77%
stock based compensation
255K
-
2.16M
747.06%
31.62M
1,364.07%
123.91M
291.82%
111.01M
10.41%
104.34M
6.01%
change in working capital
91.90M
-
7.07M
92.30%
34.44M
386.84%
-56.48M
263.99%
-34.93M
38.15%
8.67M
124.82%
accounts receivables
68K
-
-5.97M
8,880.88%
-6.86M
14.92%
-9.95M
45.05%
-20.72M
108.21%
-36.03M
73.87%
inventory
80.74M
-
11.57M
85.67%
-62.08M
636.61%
-52.59M
15.27%
accounts payables
1.13M
-
-252K
122.28%
15.95M
6,430.95%
-3.53M
122.13%
-14.00M
296.40%
1.77M
112.68%
other working capital
9.96M
-
1.73M
82.64%
87.42M
4,956.22%
9.60M
89.02%
-208K
102.17%
42.93M
20,737.50%
other non cash items
682K
-
1.75M
157.04%
2.40B
136,904.79%
91.35M
96.20%
82.58M
9.60%
8.91M
89.21%
net cash provided by operating activities
71.77M
-
101.39M
41.28%
2.41B
2,280.23%
104.84M
95.66%
132.94M
26.81%
182.09M
36.97%
investments in property plant and equipment
-8.05M
-
-9.67M
20.22%
-11.68M
20.70%
-13.65M
16.92%
-16.33M
19.63%
-14.94M
8.56%
acquisitions net
-2.84B
-
-69.72M
-
-9.82M
85.92%
purchases of investments
sales maturities of investments
other investing activites
-347K
-
-1.72M
396.25%
-2.30M
33.39%
1.17M
150.89%
net cash used for investing activites
-8.39M
-
-11.40M
35.76%
-2.85B
24,923.52%
-12.48M
99.56%
-86.05M
589.31%
-24.75M
71.23%
debt repayment
-41.97M
-
-865.82M
1,963.21%
-206.44M
76.16%
-5.75M
97.21%
-5.75M
0%
common stock issued
104K
-
2.36B
-
2.36B
0%
common stock repurchased
-1.99B
-
-1.02B
48.87%
-157.14M
84.57%
dividends paid
-37.23M
-
-23.36M
37.25%
-360M
1,441.16%
-545K
99.85%
-1.34B
245,772.66%
other financing activites
24K
-
3.23B
13,455,850%
-8.25M
100.26%
-9.20M
11.59%
-36.00M
291.16%
net cash used provided by financing activities
-37.23M
-
-65.20M
75.14%
505.82M
875.85%
151.49M
70.05%
-14.95M
109.87%
-198.89M
1,230.02%
effect of forex changes on cash
-351K
-
-640K
82.34%
3.33M
619.69%
-2.95M
188.70%
5.93M
301.12%
-6.28M
205.85%
net change in cash
25.80M
-
24.16M
6.34%
70.58M
192.14%
240.89M
241.30%
33.38M
86.14%
-46.92M
240.54%
cash at beginning of period
7.49M
-
33.29M
344.27%
57.45M
72.58%
128.29M
123.30%
369.18M
187.77%
402.56M
9.04%
cash at end of period
33.29M
-
57.45M
72.58%
128.03M
122.86%
369.18M
188.35%
402.56M
9.04%
355.64M
11.65%
operating cash flow
71.77M
-
101.39M
41.28%
2.41B
2,280.23%
104.84M
95.66%
132.94M
26.81%
182.09M
36.97%
capital expenditure
-8.05M
-
-9.67M
20.22%
-11.68M
20.70%
-13.65M
16.92%
-16.33M
19.63%
-14.94M
8.56%
free cash flow
63.72M
-
91.72M
43.94%
2.40B
2,518.56%
91.18M
96.20%
116.61M
27.88%
167.15M
43.34%

All numbers in USD (except ratios and percentages)