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NASDAQ:FWRG

First Watch Restaurant Group, Inc. Common Stock

  • Stock

USD

Last Close

15.03

26/07 20:00

Market Cap

919.47M

Beta: -

Volume Today

909.28K

Avg: 190.33K

PE Ratio

58.46

PFCF: 69.14

Preview

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Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
net income
-15.71M
-
-15.71M
0%
-11.14M
29.09%
-7.12M
36.11%
-2.04M
71.31%
3.81M
286.34%
783K
79.42%
-4.65M
694.25%
4.64M
199.72%
2.71M
41.66%
46K
98.30%
-486K
1,156.52%
9.36M
2,025.93%
7.96M
14.97%
5.42M
31.93%
2.65M
51.13%
7.21M
172.43%
depreciation and amortization
7.51M
-
7.51M
0%
7.85M
4.46%
7.85M
0.01%
7.79M
0.79%
7.98M
2.44%
8.20M
2.85%
8.41M
2.57%
8.22M
2.27%
8.40M
2.15%
8.68M
3.32%
8.93M
2.87%
9.12M
2.12%
9.44M
3.55%
10.43M
10.52%
12.23M
17.22%
12.27M
0.33%
deferred income tax
-2.00M
-
-2.00M
0%
-3.25M
62.49%
-3.88M
19.24%
-193K
95.02%
2.23M
1,253.37%
493K
77.85%
-350K
170.99%
2.05M
684.57%
1.12M
45.26%
1.19M
5.98%
324K
72.70%
4.23M
1,205.25%
1.65M
61.10%
692K
57.93%
1.75M
152.75%
2.26M
29.10%
stock based compensation
189.50K
-
189.50K
0%
192K
1.32%
179K
6.77%
129K
27.93%
187K
44.96%
430K
129.95%
7.85M
1,725.58%
2.29M
70.78%
2.81M
22.41%
2.72M
3.17%
2.55M
6.11%
1.50M
41.36%
2.13M
41.95%
1.76M
16.99%
2.22M
25.74%
1.87M
15.87%
change in working capital
1.81M
-
1.81M
0%
2.72M
50.18%
1.61M
40.67%
-3.36M
308.11%
6.84M
303.54%
201K
97.06%
2.28M
1,035.82%
-13.24M
679.98%
4.69M
135.42%
-2.40M
151.24%
518K
121.56%
-7.39M
1,526.83%
8.68M
217.40%
-6.24M
171.90%
-2.32M
62.80%
accounts receivables
1.82M
-
1.82M
0%
-201K
111.05%
-1.61M
701.99%
1.18M
173.39%
-218K
118.43%
49K
122.48%
-1.55M
3,261.22%
1.42M
191.87%
-842K
159.17%
437K
151.90%
-2.73M
725.17%
2.34M
185.51%
-638K
127.31%
-524K
17.87%
-542K
3.44%
1.40M
358.67%
inventory
-7K
-
-7K
0%
67K
1,057.14%
-256K
482.09%
121K
147.27%
-453K
474.38%
-226K
50.11%
-550K
143.36%
297K
154%
-240K
180.81%
-150K
37.50%
-912K
508%
622K
168.20%
-424K
168.17%
260K
161.32%
-520K
300%
198K
138.08%
accounts payables
-1.54M
-
-1.63M
6.38%
176K
110.77%
1.97M
1,019.89%
610K
69.05%
3.94M
546.39%
-3.10M
178.49%
-979K
68.37%
514K
152.50%
90K
82.49%
-2.37M
2,730%
291K
112.29%
4K
98.63%
771K
19,175%
-643K
183.40%
other working capital
4.39M
-
5.12M
16.51%
-4.84M
194.61%
5.54M
214.46%
-232K
104.19%
439K
289.22%
-11.87M
2,802.96%
6.75M
156.89%
-3.20M
147.46%
4.07M
227.09%
-7.98M
296.02%
9.45M
218.37%
-5.98M
163.28%
-2.03M
66.05%
other non cash items
-3.76M
-
-3.76M
0%
3.15M
183.69%
3.38M
7.57%
3.51M
3.72%
3.56M
1.54%
3.73M
4.57%
5.16M
38.50%
4.03M
21.99%
4.10M
1.76%
4.60M
12.35%
4.46M
3.21%
4.33M
2.81%
4.59M
6.05%
5.39M
17.40%
5.77M
6.99%
net cash provided by operating activities
-9.95M
-
-9.95M
0%
-485K
95.13%
2.03M
518.35%
5.83M
187.28%
24.60M
322.01%
13.84M
43.75%
18.71M
35.19%
7.99M
57.29%
23.82M
198.20%
14.83M
37.74%
16.29M
9.85%
21.14M
29.77%
34.44M
62.89%
17.46M
49.30%
22.29M
27.68%
24.98M
12.06%
investments in property plant and equipment
-9.62M
-
-9.62M
0%
-2.98M
69.06%
-4.65M
56.12%
-10.59M
128.00%
-8.93M
15.69%
-7.90M
11.54%
-8.26M
4.53%
-11.46M
38.75%
-15.49M
35.16%
-18.75M
21.10%
-17.63M
6.00%
-14.60M
17.21%
-15.16M
3.86%
-23.10M
52.40%
-31.83M
37.80%
-28.58M
10.21%
acquisitions net
-8.02M
-
-22.40M
179.42%
-9.46M
57.78%
-3.42M
63.86%
purchases of investments
sales maturities of investments
other investing activites
-58.50K
-
-58.50K
0%
219K
-
154K
29.68%
447K
190.26%
42K
90.60%
555K
1,221.43%
net cash used for investing activites
-9.68M
-
-9.68M
0%
-2.98M
69.24%
-4.65M
56.12%
-10.59M
128.00%
-8.93M
15.69%
-7.90M
11.54%
-8.26M
4.53%
-11.46M
38.75%
-15.49M
35.16%
-18.75M
21.10%
-17.41M
7.17%
-14.44M
17.06%
-22.73M
57.39%
-45.46M
100.02%
-40.74M
10.40%
-32.00M
21.44%
debt repayment
-11.31M
-
-853K
92.46%
-852K
0.12%
-865K
1.53%
-864K
0.12%
-289.54M
33,411.92%
-1.80M
99.38%
-1.53M
14.53%
-656K
57.26%
-1.27M
93.60%
-2.52M
98.66%
-643K
74.51%
-1.73M
168.90%
-2.66M
54.08%
-122.66M
4,504.17%
common stock issued
182.09M
-
384K
-
797K
107.55%
565K
29.11%
1.36M
140%
3.09M
127.65%
819K
73.47%
common stock repurchased
dividends paid
other financing activites
20.24M
-
20.24M
0%
45M
122.36%
-1.25M
-
97.01M
7,830.12%
-78K
100.08%
244K
412.82%
1.89M
-
-198K
-
30M
15,251.52%
123.22M
310.72%
net cash used provided by financing activities
20.24M
-
20.24M
0%
33.69M
66.49%
-853K
102.53%
-852K
0.12%
-865K
1.53%
-2.12M
144.97%
-10.44M
392.45%
-1.87M
82.04%
-1.29M
31.11%
-272K
78.93%
1.42M
621.69%
-1.96M
237.98%
713K
136.41%
1.16M
62.69%
28.16M
2,327.16%
562K
98.00%
effect of forex changes on cash
11.73M
-
-45.71M
-
7.10M
-
1
100.00%
net change in cash
607K
-
12.34M
1,932.13%
30.23M
145.09%
-3.47M
111.48%
-5.62M
61.84%
14.80M
363.59%
3.82M
74.21%
13K
99.66%
-5.34M
41,200%
7.04M
231.85%
-4.20M
159.55%
301K
107.18%
4.74M
1,476.08%
12.42M
161.89%
-26.84M
316.05%
9.71M
136.18%
-6.46M
166.50%
cash at beginning of period
12.34M
-
42.57M
245.09%
39.10M
8.15%
33.48M
14.36%
48.28M
44.21%
52.10M
7.91%
52.12M
0.02%
46.77M
10.25%
53.82M
15.06%
49.62M
7.79%
49.92M
0.61%
54.67M
9.50%
67.09M
22.73%
40.25M
40.01%
49.96M
24.13%
cash at end of period
607K
-
12.34M
1,932.13%
42.57M
245.09%
39.10M
8.15%
33.48M
14.36%
48.28M
44.21%
52.10M
7.91%
52.12M
0.02%
46.77M
10.25%
53.82M
15.06%
49.62M
7.79%
49.92M
0.61%
54.67M
9.50%
67.09M
22.73%
40.25M
40.01%
49.96M
24.13%
43.50M
12.93%
operating cash flow
-9.95M
-
-9.95M
0%
-485K
95.13%
2.03M
518.35%
5.83M
187.28%
24.60M
322.01%
13.84M
43.75%
18.71M
35.19%
7.99M
57.29%
23.82M
198.20%
14.83M
37.74%
16.29M
9.85%
21.14M
29.77%
34.44M
62.89%
17.46M
49.30%
22.29M
27.68%
24.98M
12.06%
capital expenditure
-9.62M
-
-9.62M
0%
-2.98M
69.06%
-4.65M
56.12%
-10.59M
128.00%
-8.93M
15.69%
-7.90M
11.54%
-8.26M
4.53%
-11.46M
38.75%
-15.49M
35.16%
-18.75M
21.10%
-17.63M
6.00%
-14.60M
17.21%
-15.16M
3.86%
-23.10M
52.40%
-31.83M
37.80%
-28.58M
10.21%
free cash flow
-19.57M
-
-19.57M
0%
-3.46M
82.32%
-2.62M
24.39%
-4.76M
82.04%
15.67M
428.88%
5.94M
62.11%
10.45M
75.98%
-3.47M
133.20%
8.34M
340.30%
-3.92M
147.06%
-1.34M
65.92%
6.55M
589.75%
19.28M
194.47%
-5.64M
129.25%
-9.54M
69.15%
-3.60M
62.24%

All numbers in USD (except ratios and percentages)