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NASDAQ:ISPOW

Inspirato Incorporated

  • Stock

USD

Last Close

3.94

30/08 20:00

Market Cap

13.27M

Beta: -

Volume Today

92.94K

Avg: 12.53K

PE Ratio

−0.23

PFCF: −0.45

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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
Jun '24
net income
-5.17M
-
-3.91M
24.31%
-570K
85.42%
-9.12M
1,499.82%
-8.62M
5.48%
-23.82M
176.31%
-7.25M
69.57%
-5.43M
25.11%
-14.59M
168.79%
-5.90M
59.54%
-46.67M
690.65%
-25.42M
45.53%
-8.79M
65.44%
1.26M
114.38%
-8.71M
789.39%
depreciation and amortization
614K
-
1.16M
88.11%
1.01M
12.64%
995K
1.39%
1.12M
12.16%
1.03M
7.35%
1.19M
14.99%
1.33M
12.03%
89.98M
6,655.18%
27.36M
69.59%
18.73M
31.57%
24.37M
30.14%
27.72M
13.76%
16.72M
39.67%
1.01M
93.94%
deferred income tax
456K
-
-9.52M
2,187.28%
-12.81M
-
-11.39M
-
-188K
98.35%
stock based compensation
913K
-
509K
44.25%
466K
8.45%
1.87M
301.72%
411K
78.04%
402K
2.19%
2.43M
504.73%
2.60M
6.79%
3.37M
29.93%
657K
80.52%
3.73M
467.88%
6.69M
79.20%
2.58M
61.44%
2.88M
11.64%
change in working capital
10.86M
-
10.62M
2.23%
18.89M
77.87%
5.50M
70.90%
17.49M
218.21%
-8.30M
147.46%
1.28M
115.38%
-16.43M
1,386.92%
-76.31M
364.37%
-39.85M
47.78%
-17.72M
55.53%
-25.76M
45.35%
-27.05M
5.02%
-10.04M
62.88%
-10.43M
3.87%
accounts receivables
153K
-
1.25M
720.26%
-1.46M
216.33%
-215K
85.27%
1.13M
624.19%
63K
94.41%
-721K
1,244.44%
747K
203.61%
-1.12M
249.53%
-2.79M
149.69%
2.66M
195.37%
1.61M
39.44%
-2.03M
226.07%
870K
142.84%
-879K
201.03%
inventory
695K
-
608K
12.52%
-1.75M
388.65%
-563K
67.92%
-5.51M
878.86%
-15.65M
-
-12.29M
21.44%
accounts payables
-1.59M
-
5.92M
471.50%
4.65M
21.46%
1.77M
61.94%
4.75M
168.51%
-1.64M
134.44%
3.81M
333.19%
-4.52M
218.43%
-1.18M
73.90%
1.16M
198.47%
-1.55M
233.76%
-3.20M
106.18%
-2.53M
21.02%
-861K
65.95%
-1.31M
52.15%
other working capital
11.61M
-
2.84M
75.53%
17.46M
514.75%
4.51M
74.19%
17.13M
280.07%
-6.73M
139.29%
-1.82M
72.99%
-12.66M
596.92%
-74.02M
484.52%
-38.23M
48.36%
-3.18M
91.68%
-11.87M
273.16%
-22.49M
89.41%
-10.91M
51.49%
-8.24M
24.47%
other non cash items
-214K
-
380K
277.57%
135K
64.47%
-515K
481.48%
12.81M
2,587.58%
18.01M
40.61%
-11.39M
163.25%
-3.93M
65.47%
142K
103.61%
150K
5.63%
30.22M
20,044%
15.41M
48.98%
-263K
101.71%
-15.15M
5,659.70%
20.57M
235.81%
net cash provided by operating activities
7.01M
-
9.21M
31.40%
10.41M
13.06%
-1.27M
112.20%
10.40M
918.90%
-12.67M
221.79%
-13.74M
8.52%
-21.87M
59.10%
2.59M
111.84%
-17.59M
779.03%
-11.72M
33.35%
-16.10M
37.33%
-5.99M
62.80%
-7.20M
20.27%
-1.77M
75.47%
investments in property plant and equipment
-376K
-
-696K
85.11%
-628K
9.77%
-1.37M
118.31%
-1.32M
3.65%
-1.17M
11.43%
-3.94M
236.58%
-4.76M
20.80%
-4.41M
7.40%
-3.21M
27.15%
-3.85M
19.88%
-3.67M
4.47%
-1.39M
62.10%
-1.27M
9.12%
-2.02M
59.87%
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
-236K
-
net cash used for investing activites
-376K
-
-696K
85.11%
-628K
9.77%
-1.37M
118.31%
-1.32M
3.65%
-1.17M
11.43%
-3.94M
236.58%
-4.76M
20.80%
-4.41M
7.40%
-3.21M
27.15%
-3.85M
19.88%
-3.67M
4.47%
-1.39M
62.10%
-1.50M
7.82%
-2.02M
34.75%
debt repayment
-21M
-
-14.14M
32.65%
-13.67M
3.37%
-289K
97.89%
-765K
164.71%
-13.27M
-
-14M
5.52%
-13.97M
0.19%
-25M
-
-1.86M
92.56%
common stock issued
5M
-
1.31M
73.88%
5K
99.62%
1.16M
23,020%
151K
86.94%
352K
133.11%
-778K
321.02%
common stock repurchased
-552K
-
-718K
30.07%
-119K
83.43%
-269K
126.05%
-276K
-
dividends paid
-80K
-
-1K
98.75%
-39K
-
-183K
369.23%
-1K
-
-25.08M
-
other financing activites
28.14M
-
13.27M
52.86%
14.07M
6.05%
-7.14M
-
66.14M
1,026.75%
13.94M
78.93%
14.53M
-
75.08M
-
928K
98.76%
-276K
129.74%
-14K
94.93%
net cash used provided by financing activities
7.14M
-
-957K
113.40%
400K
141.80%
-289K
172.25%
-7.94M
2,647.75%
65.96M
930.61%
5.67M
91.41%
-12.69M
323.96%
12K
100.09%
438K
3,550%
32K
92.69%
25.08M
78,284.38%
-1.71M
106.81%
-276K
83.85%
-14K
94.93%
effect of forex changes on cash
-82.84M
-
-20.73M
-
-1.09M
94.73%
net change in cash
13.78M
-
7.56M
45.14%
10.19M
34.77%
-2.93M
128.76%
1.14M
138.84%
52.12M
4,480.23%
-12.02M
123.05%
-39.32M
227.25%
-1.80M
95.41%
-20.36M
1,029.12%
-15.54M
23.69%
5.31M
134.19%
-9.09M
271.15%
-8.98M
1.21%
-3.81M
57.63%
cash at beginning of period
53.22M
-
67.00M
25.89%
74.56M
11.28%
84.75M
13.66%
81.81M
3.46%
82.95M
1.39%
135.08M
62.83%
123.06M
8.89%
83.74M
31.95%
81.94M
2.15%
61.58M
24.85%
46.05M
25.23%
51.36M
11.53%
42.27M
17.70%
33.29M
21.25%
cash at end of period
67.00M
-
74.56M
11.28%
84.75M
13.66%
81.81M
3.46%
82.95M
1.39%
135.08M
62.83%
123.06M
8.89%
83.74M
31.95%
81.94M
2.15%
61.58M
24.85%
46.05M
25.23%
51.36M
11.53%
42.27M
17.70%
33.29M
21.25%
29.48M
11.43%
operating cash flow
7.01M
-
9.21M
31.40%
10.41M
13.06%
-1.27M
112.20%
10.40M
918.90%
-12.67M
221.79%
-13.74M
8.52%
-21.87M
59.10%
2.59M
111.84%
-17.59M
779.03%
-11.72M
33.35%
-16.10M
37.33%
-5.99M
62.80%
-7.20M
20.27%
-1.77M
75.47%
capital expenditure
-376K
-
-696K
85.11%
-628K
9.77%
-1.37M
118.31%
-1.32M
3.65%
-1.17M
11.43%
-3.94M
236.58%
-4.76M
20.80%
-4.41M
7.40%
-3.21M
27.15%
-3.85M
19.88%
-3.67M
4.47%
-1.39M
62.10%
-1.27M
9.12%
-2.02M
59.87%
free cash flow
6.63M
-
8.52M
28.35%
9.79M
14.93%
-2.64M
126.99%
9.08M
443.77%
-13.84M
252.40%
-17.68M
27.80%
-26.63M
50.57%
-1.81M
93.18%
-20.80M
1,045.79%
-15.57M
25.14%
-19.77M
27.00%
-7.38M
62.67%
-8.47M
14.73%
-3.79M
55.23%

All numbers in USD (except ratios and percentages)