bf/NASDAQ:PETQ_icon.jpeg

NASDAQ:PETQ

PetIQ, Inc.

  • Stock

USD

Last Close

21.45

26/07 20:00

Market Cap

654.76M

Beta: 1.95

Volume Today

170.96K

Avg: 279.99K

PE Ratio

41.07

PFCF: 4.97

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-1.35M
-
-3.40M
151.67%
7.82M
330.25%
87K
98.89%
-14.30M
16,539.08%
-81.02M
466.51%
-16.38M
79.78%
-48.62M
196.77%
2.13M
104.38%
depreciation and amortization
3.14M
-
4.07M
29.75%
3.61M
11.29%
12.47M
244.96%
16.51M
32.42%
30.98M
87.62%
39.30M
26.88%
35.47M
9.75%
44.57M
25.67%
deferred income tax
3.69M
-
-843K
122.85%
-3.46M
310.20%
51.51M
1,589.62%
3.49M
93.23%
599K
82.82%
-172K
128.71%
stock based compensation
447K
-
3.81M
752.80%
7.36M
92.94%
9.17M
24.68%
9.43M
2.81%
11.36M
20.52%
9.47M
16.68%
change in working capital
-9.38M
-
-974K
89.62%
-9.93M
919.92%
-30.81M
210.13%
7.19M
123.35%
-22.96M
419.23%
-16.57M
27.85%
1.90M
111.45%
-2.05M
208.01%
accounts receivables
-1.91M
-
-2.22M
16.20%
-4.31M
94.63%
-14.21M
229.45%
-14.12M
0.61%
-31.65M
124.12%
-11.20M
64.62%
-4.14M
63.05%
-24.46M
491.18%
inventory
-10.40M
-
-542K
94.79%
-9.72M
1,692.99%
-36.61M
276.72%
30.45M
183.17%
-17.85M
158.61%
1.28M
107.19%
-46.30M
3,708.50%
-16.04M
65.35%
accounts payables
6.11M
-
104K
98.30%
4.15M
3,892.31%
15.70M
278.16%
-7.59M
148.37%
17.43M
329.56%
-12.13M
169.58%
58.55M
582.61%
25.95M
55.68%
other working capital
-3.19M
-
1.68M
152.65%
-55K
103.27%
4.31M
7,936.36%
-1.54M
135.66%
9.10M
692.13%
5.48M
39.82%
-6.21M
213.47%
12.50M
301.11%
other non cash items
1.18M
-
-631K
153.61%
248K
139.30%
2.87M
1,058.06%
7.54M
162.40%
7.73M
2.53%
4.50M
41.72%
47.32M
950.79%
7.94M
83.23%
net cash provided by operating activities
-6.42M
-
-926K
85.57%
5.88M
735.21%
-12.41M
311.03%
20.83M
267.83%
-4.60M
122.09%
23.77M
616.56%
48.02M
102.06%
61.89M
28.87%
investments in property plant and equipment
-1.55M
-
-2.04M
31.68%
-4.13M
102.40%
-7.18M
73.76%
-10.28M
43.16%
-118.46M
1,052.82%
-31.27M
73.60%
-11.97M
61.71%
-9.14M
23.62%
acquisitions net
-93.05M
-
-185.09M
98.91%
442K
100.24%
5.13M
1,061.09%
-27.63M
-
purchases of investments
sales maturities of investments
other investing activites
12K
-
1K
91.67%
229K
-
340K
48.47%
net cash used for investing activites
-1.54M
-
-2.04M
32.64%
-4.13M
102.50%
-100.00M
2,320.75%
-195.03M
95.02%
-118.02M
39.48%
-26.14M
77.85%
-11.97M
54.19%
-36.78M
207.18%
debt repayment
-218.91M
-
-243.94M
11.43%
-326.53M
33.86%
-468.17M
43.37%
-678.06M
44.83%
-840.04M
23.89%
-599.00M
28.69%
-68.09M
88.63%
-9.09M
86.64%
common stock issued
104.01M
-
73.91M
28.94%
2.32M
96.86%
9.27M
300.09%
13.43M
44.77%
115K
99.14%
54K
53.04%
common stock repurchased
-55.96M
-
-114K
-
-595K
421.93%
-937K
57.48%
-3.86M
311.63%
dividends paid
-315.98M
-
-2.20M
-
-8.68M
293.78%
-12.49M
43.90%
-115K
99.08%
other financing activites
228.72M
-
244.64M
6.96%
629.84M
157.46%
535.22M
15.02%
813.12M
51.92%
968.80M
19.15%
647.33M
33.18%
58.24M
91.00%
-1.15M
101.97%
net cash used provided by financing activities
9.81M
-
692K
92.94%
35.37M
5,011.42%
140.97M
298.55%
135.06M
4.19%
128.76M
4.66%
48.33M
62.46%
-13.71M
128.37%
-10.19M
25.68%
effect of forex changes on cash
26K
-
-209K
903.85%
7K
103.35%
-92K
1,414.29%
46K
150%
43K
6.52%
-13K
130.23%
-482K
3,607.69%
185K
138.38%
net change in cash
1.88M
-
-2.48M
232.07%
37.13M
1,595.33%
28.46M
23.34%
-39.09M
237.32%
6.18M
115.82%
45.95M
643.05%
21.86M
52.43%
15.10M
30.90%
cash at beginning of period
1.37M
-
3.25M
137.23%
767K
76.40%
37.90M
4,840.81%
66.36M
75.11%
27.27M
58.90%
33.46M
22.68%
79.41M
137.34%
101.27M
27.53%
cash at end of period
3.25M
-
767K
76.40%
37.90M
4,840.81%
66.36M
75.11%
27.27M
58.90%
33.46M
22.68%
79.41M
137.34%
101.27M
27.53%
116.37M
14.92%
operating cash flow
-6.42M
-
-926K
85.57%
5.88M
735.21%
-12.41M
311.03%
20.83M
267.83%
-4.60M
122.09%
23.77M
616.56%
48.02M
102.06%
61.89M
28.87%
capital expenditure
-1.55M
-
-2.04M
31.68%
-4.13M
102.40%
-7.18M
73.76%
-10.28M
43.16%
-118.46M
1,052.82%
-31.27M
73.60%
-11.97M
61.71%
-9.14M
23.62%
free cash flow
-7.96M
-
-2.97M
62.75%
1.75M
159.02%
-19.59M
1,218.85%
10.56M
153.89%
-123.06M
1,265.72%
-7.50M
93.90%
36.05M
580.49%
52.74M
46.30%

All numbers in USD (except ratios and percentages)