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NYSE:HIMS

Hims & Hers Health, Inc.

  • Stock

USD

Last Close

23.25

26/07 20:00

Market Cap

4.17B

Beta: 0.46

Volume Today

11.48M

Avg: 3.65M

PE Ratio

−50.71

PFCF: 68.00

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Dec '19
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
-12.36M
-
-6.03M
51.17%
-981K
83.74%
-5.87M
498.47%
-5.23M
10.94%
-51.40M
883.06%
-9.15M
82.19%
-15.94M
74.16%
-31.16M
95.48%
-16.25M
47.85%
-19.68M
21.09%
-18.84M
4.26%
-10.91M
42.11%
-10.07M
7.70%
-7.16M
28.91%
-7.57M
5.73%
1.25M
116.45%
11.13M
793.82%
depreciation and amortization
150K
-
180K
20%
212K
17.78%
300K
41.51%
365K
21.67%
394K
7.95%
505K
28.17%
1.55M
206.14%
1.63M
5.43%
1.74M
6.81%
1.82M
4.60%
1.90M
4.45%
2.01M
5.68%
2.12M
5.32%
2.38M
12.28%
2.36M
0.59%
2.66M
12.48%
3.00M
12.90%
deferred income tax
-119K
-
2.48M
-
-2.15M
186.88%
154K
107.16%
-1.45M
-
-210K
85.48%
-112K
46.67%
-146K
30.36%
-122K
16.44%
-214K
75.41%
49K
122.90%
-69K
240.82%
-10K
85.51%
17K
270%
stock based compensation
1.44M
-
1.40M
2.57%
1.93M
37.11%
1.41M
26.55%
1.09M
23.06%
34.23M
3,046.14%
9.16M
73.24%
11.87M
29.57%
11.95M
0.70%
8.86M
25.90%
10.63M
20.05%
10.98M
3.26%
12.35M
12.49%
14.17M
14.71%
16.84M
18.90%
17.28M
2.56%
17.79M
2.98%
19.03M
6.98%
change in working capital
1.17M
-
-739K
163.22%
-1.41M
91.07%
2.80M
298.02%
3.54M
26.65%
-2.60M
173.40%
7.54M
390.30%
-3.57M
147.34%
2.08M
158.26%
-14.45M
794.33%
677K
104.69%
11.12M
1,542.69%
-11.54M
203.80%
2.44M
121.18%
5.17M
111.33%
12.35M
139.00%
2.79M
77.38%
accounts receivables
-1.66M
-
461K
127.80%
189K
59.00%
1.31M
594.71%
204K
84.46%
-6.09M
3,085.78%
6.98M
214.66%
886K
87.31%
39K
95.60%
5.21M
-
11.63M
123.08%
inventory
1.11M
-
-2M
279.86%
-4K
99.80%
1.27M
31,825%
1.41M
11.03%
-980K
169.55%
-2.07M
110.92%
-3.88M
87.76%
-2.70M
30.43%
1.42M
152.41%
-7.53M
632.16%
-2.67M
64.49%
785K
129.36%
865K
10.19%
-720K
183.24%
-575K
20.14%
-472K
17.91%
-7.36M
1,459.75%
accounts payables
1.62M
-
674K
58.37%
-1.74M
357.42%
164K
109.45%
1.72M
950.61%
5.12M
196.98%
2.24M
56.30%
-1.05M
146.82%
3.55M
438.78%
4.27M
20.27%
3.19M
25.29%
5.88M
84.47%
-609K
110.36%
3.96M
749.43%
1.48M
62.50%
-1.04M
169.93%
2.92M
381.87%
3.60M
23.23%
other working capital
96K
-
126K
31.25%
138K
9.52%
50K
63.77%
205K
310%
-645K
414.63%
392K
160.78%
470K
19.90%
1.20M
154.26%
-20.13M
1,784.52%
5.02M
124.94%
7.92M
57.69%
-11.72M
248.05%
-2.38M
79.74%
-808K
65.98%
2.33M
388.86%
342K
85.35%
other non cash items
-848K
-
-3K
99.65%
101K
3,466.67%
2.02M
1,900%
2.12M
4.85%
3.28M
54.72%
-7.46M
327.53%
-8.42M
12.88%
12.60M
249.75%
813K
93.55%
301K
62.98%
945K
213.95%
1.59M
67.83%
772K
51.32%
-337K
143.65%
779K
331.16%
-588K
175.48%
net cash provided by operating activities
-10.56M
-
-5.19M
50.86%
-155K
97.01%
3.14M
2,123.23%
-269K
108.58%
-15.95M
5,828.62%
601K
103.77%
-15.96M
2,755.57%
-3.10M
80.55%
-19.40M
524.90%
-6.39M
67.05%
5.99M
193.60%
-6.72M
212.26%
9.48M
241.14%
16.83M
77.43%
25.19M
49.71%
23.92M
5.06%
25.84M
8.04%
investments in property plant and equipment
-346K
-
-725K
109.54%
-1.13M
55.31%
-1.09M
2.93%
-1.29M
17.93%
-803K
37.70%
-1.15M
43.46%
-1.57M
35.94%
-1.49M
5.11%
-1.30M
12.72%
-1.38M
6.09%
-1.96M
42.51%
-2.61M
33.25%
-2.51M
3.94%
-6.86M
173.47%
-5.92M
13.75%
-11.20M
89.16%
-10.58M
5.51%
acquisitions net
452K
-
598K
32.30%
601K
0.50%
845K
40.60%
740K
12.43%
1.09M
47.70%
-45.72M
4,282.98%
-748K
98.36%
1.20M
260.03%
1.54M
-
1.21M
21.13%
1.88M
54.58%
2.19M
16.64%
2.64M
20.85%
purchases of investments
-17.64M
-
-31.27M
77.22%
-35.11M
12.28%
-10.99M
68.69%
-172.02M
1,464.82%
-15.50M
90.99%
-31.84M
105.42%
-47.27M
48.47%
-84.88M
79.56%
-4.26M
94.98%
-47.67M
1,017.70%
-50.88M
6.74%
-40.69M
20.04%
-24.69M
39.32%
-71.04M
187.74%
-20.82M
70.69%
-70.70M
239.51%
sales maturities of investments
4.50M
-
25.60M
468.89%
18.29M
28.55%
11.45M
37.40%
4.20M
63.32%
9.50M
126.19%
40.14M
322.48%
53.20M
32.56%
59M
10.89%
104.63M
77.34%
18.92M
81.92%
47.05M
148.72%
59.50M
26.45%
39.08M
34.31%
33.93M
13.20%
45.90M
35.29%
52.72M
14.86%
97.70M
85.33%
other investing activites
-452K
-
-598K
32.30%
-601K
0.50%
-845K
40.60%
-740K
12.43%
-1.84M
148.78%
748K
-
-1.20M
260.03%
-459K
61.65%
-1.54M
235.08%
-1.21M
21.13%
-1.88M
54.58%
-2.19M
16.64%
-2.64M
20.85%
-3.38M
-
net cash used for investing activites
4.15M
-
7.23M
74.12%
-14.10M
294.97%
-24.75M
75.51%
-8.08M
67.35%
-163.32M
1,920.84%
22.74M
113.92%
-25.92M
214.01%
10.24M
139.51%
18.45M
80.17%
12.82M
30.53%
-2.58M
120.10%
6.00M
333.04%
-4.11M
168.52%
2.37M
157.70%
-31.06M
1,408.93%
20.70M
166.63%
13.04M
36.98%
debt repayment
-2.10M
-
-1.16M
44.75%
-357K
69.17%
-1.51M
-
-1.93M
-
common stock issued
272.69M
-
-75M
-
687K
-
2.25M
226.93%
245K
89.09%
1.21M
395.10%
1.13M
6.76%
2.03M
79.58%
common stock repurchased
-22.03M
-
22.03M
-
-1.18M
-
-1.54M
30.14%
-3.66M
137.93%
-3.75M
2.65%
-2.69M
28.34%
-2.00M
25.69%
-28.06M
1,303.90%
dividends paid
-1.74M
-
other financing activites
-343K
-
31.49M
9,281.63%
6.10M
80.62%
12.37M
102.60%
2.55M
79.37%
-10.71M
520.04%
-4.34M
59.49%
-484K
88.85%
52.90M
11,028.72%
-22.53M
142.59%
353K
101.57%
-11.17M
-
-4.00M
-
-2.24M
43.83%
net cash used provided by financing activities
-2.44M
-
30.34M
1,343.75%
5.75M
81.05%
12.37M
115.19%
-707K
105.72%
239.94M
34,038.47%
-4.34M
101.81%
-484K
88.85%
-78K
83.88%
-22.53M
28,780.77%
353K
101.57%
-494K
239.94%
-10.46M
2,017.21%
-3.41M
67.38%
-2.54M
25.53%
-1.56M
38.65%
-5.90M
278.19%
-30.31M
414.04%
effect of forex changes on cash
5K
-
-9K
280%
-3K
66.67%
1K
133.33%
2K
100%
2K
0%
-21K
1,150%
-7K
66.67%
-47K
571.43%
-23K
51.06%
-29K
26.09%
16K
155.17%
-17K
206.25%
15K
188.24%
14K
6.67%
8K
42.86%
-48K
700%
net change in cash
-8.84M
-
32.37M
466.03%
-8.51M
126.30%
-9.25M
8.61%
-9.06M
2.05%
60.67M
770.00%
18.98M
68.73%
-42.37M
323.30%
7.01M
116.55%
-23.50M
435.14%
6.75M
128.72%
2.93M
56.57%
-11.19M
481.85%
1.97M
117.63%
16.67M
745.01%
-7.42M
144.51%
38.67M
621.05%
8.57M
77.83%
cash at beginning of period
31.64M
-
22.80M
27.95%
55.16M
141.98%
46.65M
15.43%
37.41M
19.82%
28.35M
24.21%
89.03M
214.02%
108.00M
21.32%
65.63M
39.23%
72.64M
10.68%
49.14M
32.35%
55.89M
13.73%
58.82M
5.24%
47.63M
19.03%
49.60M
4.14%
66.27M
33.61%
58.00M
12.49%
97.52M
68.15%
cash at end of period
22.80M
-
55.16M
141.98%
46.65M
15.43%
37.41M
19.82%
28.35M
24.21%
89.03M
214.02%
108.00M
21.32%
65.63M
39.23%
72.64M
10.68%
49.14M
32.35%
55.89M
13.73%
58.82M
5.24%
47.63M
19.03%
49.60M
4.14%
66.27M
33.61%
58.85M
11.20%
96.66M
64.25%
106.09M
9.76%
operating cash flow
-10.56M
-
-5.19M
50.86%
-155K
97.01%
3.14M
2,123.23%
-269K
108.58%
-15.95M
5,828.62%
601K
103.77%
-15.96M
2,755.57%
-3.10M
80.55%
-19.40M
524.90%
-6.39M
67.05%
5.99M
193.60%
-6.72M
212.26%
9.48M
241.14%
16.83M
77.43%
25.19M
49.71%
23.92M
5.06%
25.84M
8.04%
capital expenditure
-346K
-
-725K
109.54%
-1.13M
55.31%
-1.09M
2.93%
-1.29M
17.93%
-803K
37.70%
-1.15M
43.46%
-1.57M
35.94%
-1.49M
5.11%
-1.30M
12.72%
-1.38M
6.09%
-1.96M
42.51%
-2.61M
33.25%
-2.51M
3.94%
-6.86M
173.47%
-5.92M
13.75%
-11.20M
89.16%
-10.58M
5.51%
free cash flow
-10.91M
-
-5.92M
45.77%
-1.28M
78.35%
2.04M
259.48%
-1.56M
176.26%
-16.75M
975.16%
-551K
96.71%
-17.53M
3,080.76%
-4.59M
73.80%
-20.70M
350.88%
-7.77M
62.46%
4.02M
151.79%
-9.33M
331.91%
6.97M
174.72%
9.96M
42.87%
19.27M
93.45%
12.72M
34.00%
15.26M
19.96%

All numbers in USD (except ratios and percentages)