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NYSE:NXDR

Nextdoor Holdings, Inc.

  • Stock

USD

Last Close

1.88

18/07 22:30

Market Cap

1.07B

Beta: -

Volume Today

1.61M

Avg: -

Preview

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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
Sep '24
Dec '24
net income
-25.14M
-
-21.50M
14.48%
-19.36M
9.94%
-29.32M
51.44%
-32.95M
12.36%
-36.84M
11.82%
-34.72M
5.77%
-33.41M
3.77%
-33.72M
0.92%
-35.40M
5.00%
-38.12M
7.66%
-40.53M
6.33%
-28.26M
30.27%
-42.78M
51.38%
-14.90M
65.18%
-12.12M
18.63%
depreciation and amortization
1.08M
-
1.07M
1.02%
1.05M
2.33%
970K
7.35%
1.33M
37.11%
1.37M
3.31%
1.47M
6.62%
1.49M
1.50%
1.45M
2.42%
1.45M
0.21%
1.45M
0.21%
1.41M
2.62%
1.39M
1.84%
591K
-
deferred income tax
-97K
-
91K
193.81%
82K
9.89%
241K
193.90%
34K
-
-6.46M
19,094.12%
-22.74M
252.14%
stock based compensation
7.21M
-
9.17M
27.11%
10.59M
15.54%
20.54M
93.95%
12.14M
40.88%
17.54M
44.47%
17.27M
1.57%
17.46M
1.12%
15.82M
9.43%
21.58M
36.42%
23.34M
8.19%
22.29M
4.51%
19.51M
12.49%
16.23M
16.77%
18.44M
13.58%
19.87M
7.78%
change in working capital
8.07M
-
-5.71M
170.72%
-183K
96.79%
-10.13M
5,434.43%
14.76M
245.77%
-4.07M
127.59%
2.61M
164.11%
-3.87M
248.03%
4.92M
227.19%
2.46M
50.02%
-3.38M
237.57%
4.61M
236.48%
-4.73M
202.49%
4.22M
-
accounts receivables
5.09M
-
-5.17M
201.63%
-4.96M
4.17%
-3.13M
36.88%
7.84M
350.58%
-4.17M
153.22%
-919K
77.98%
-2.92M
217.52%
1.73M
159.32%
-372K
121.49%
-1.66M
344.89%
3.79M
328.82%
191K
94.96%
-1.73M
-
inventory
accounts payables
321K
-
572K
78.19%
-672K
217.48%
2.54M
477.68%
-3.14M
223.84%
2.30M
173.08%
401K
82.54%
-1.13M
382.54%
498K
143.95%
903K
81.33%
-2.63M
391.14%
-1.41M
46.29%
226K
116.01%
10K
-
other working capital
2.65M
-
-1.10M
141.52%
5.45M
594.37%
-9.54M
275.04%
10.06M
205.54%
-2.20M
121.82%
3.13M
242.49%
186K
94.06%
-2.23M
1,298.39%
1.93M
186.41%
904K
53.06%
2.24M
147.57%
-5.14M
329.89%
5.94M
-
other non cash items
125K
-
31K
75.20%
138K
345.16%
-291K
310.87%
-803K
175.95%
-610K
24.03%
696K
214.10%
-1.38M
298.71%
-2.18M
57.77%
-2.45M
12.37%
4.87M
298.74%
20.02M
310.79%
20.33M
1.57%
-808K
-
net cash provided by operating activities
-8.75M
-
-16.84M
92.49%
-7.69M
54.36%
-17.99M
134.01%
-5.51M
69.35%
-22.61M
310.09%
-12.68M
43.93%
-19.71M
55.46%
-13.71M
30.40%
-12.33M
10.07%
-18.29M
48.26%
-14.94M
18.32%
-13.63M
8.77%
11.76M
-
investments in property plant and equipment
-1.89M
-
-4.45M
135.16%
-1.74M
60.91%
-757K
56.52%
-637K
15.85%
-666K
4.55%
-879K
31.98%
-979K
11.38%
-59K
93.97%
-80K
35.59%
-129K
61.25%
1K
100.78%
-20K
2,100%
-89K
-
acquisitions net
-111.07M
-
-24.72M
-
purchases of investments
-4.39M
-
-10.24M
132.92%
-25.62M
150.26%
-159.58M
522.90%
-318.25M
99.43%
-164.44M
48.33%
-72.37M
55.99%
-156.84M
116.71%
-190.01M
21.15%
-113.20M
40.42%
-151.69M
34.00%
-135.71M
10.53%
-52.64M
61.21%
-94.17M
-
sales maturities of investments
15.24M
-
18.60M
22.01%
19.21M
3.28%
6.10M
68.25%
7.34M
20.36%
41.04M
459.00%
183.44M
346.96%
145.77M
20.53%
214.73M
47.31%
143.74M
33.06%
139.38M
3.03%
162.01M
16.24%
96.05M
40.72%
87.27M
-
other investing activites
111.07M
-
-5M
104.50%
24.72M
594.48%
-2.50M
110.11%
-7.50M
-
net cash used for investing activites
8.96M
-
3.91M
56.35%
-8.15M
308.47%
-154.24M
1,792.72%
-311.54M
101.99%
-124.06M
60.18%
110.19M
188.82%
-17.04M
115.46%
24.66M
244.74%
27.96M
13.36%
-12.44M
144.48%
26.30M
311.48%
35.89M
36.45%
-6.98M
-
debt repayment
common stock issued
15.33M
-
1.43M
-
12.46M
771.54%
537K
95.69%
2.03M
277.28%
1.43M
29.42%
497K
65.24%
3.44M
591.35%
common stock repurchased
-52.30M
-
68K
100.13%
1.08M
1,482.35%
-10.49M
1,075.19%
940K
108.96%
-15.07M
-
-43.73M
190.24%
-19.82M
54.69%
-2.23M
88.75%
dividends paid
-6.33K
-
-4.31K
31.83%
other financing activites
4.93M
-
2.54M
48.55%
2.41M
4.93%
612.38M
25,306.62%
3.14M
99.49%
-21.53M
786.64%
3.61M
116.75%
-11.22M
411.03%
10.49M
-
-2.37M
122.59%
-36K
98.48%
-1.26M
3,402.78%
-6.73M
-
net cash used provided by financing activities
4.93M
-
2.53M
48.68%
2.41M
4.86%
627.71M
25,989.48%
3.14M
99.50%
-21.53M
786.64%
-47.26M
119.49%
1.31M
102.78%
1.61M
22.94%
2.03M
25.60%
4.82M
137.71%
461K
90.43%
-12.89M
2,896.75%
-8.96M
-
effect of forex changes on cash
90K
-
14K
84.44%
174K
1,142.86%
5K
97.13%
73K
1,360%
419K
473.97%
291K
30.55%
-60K
120.62%
19K
131.67%
24K
26.32%
29K
20.83%
9.99M
34,344.83%
67K
99.33%
40K
-
net change in cash
5.22M
-
-10.39M
298.91%
-13.26M
27.57%
455.49M
3,536.12%
-313.84M
168.90%
-167.78M
46.54%
50.55M
130.13%
-35.49M
170.22%
12.58M
135.45%
17.68M
40.49%
-25.88M
246.41%
11.79M
145.55%
9.44M
19.95%
-4.15M
-
cash at beginning of period
84.74M
-
89.97M
6.16%
79.58M
11.55%
66.32M
16.66%
521.81M
686.81%
207.97M
60.15%
40.19M
80.68%
90.73M
125.78%
55.24M
39.12%
67.82M
22.78%
85.49M
26.06%
48.44M
43.34%
60.23M
24.34%
60.87M
-
cash at end of period
89.97M
-
79.58M
11.55%
66.32M
16.66%
521.81M
686.81%
207.97M
60.15%
40.19M
80.68%
90.73M
125.78%
55.24M
39.12%
67.82M
22.78%
85.49M
26.06%
59.62M
30.27%
60.23M
1.04%
69.67M
15.67%
56.72M
-
operating cash flow
-8.75M
-
-16.84M
92.49%
-7.69M
54.36%
-17.99M
134.01%
-5.51M
69.35%
-22.61M
310.09%
-12.68M
43.93%
-19.71M
55.46%
-13.71M
30.40%
-12.33M
10.07%
-18.29M
48.26%
-14.94M
18.32%
-13.63M
8.77%
11.76M
-
capital expenditure
-1.89M
-
-4.45M
135.16%
-1.74M
60.91%
-757K
56.52%
-637K
15.85%
-666K
4.55%
-879K
31.98%
-979K
11.38%
-59K
93.97%
-80K
35.59%
-129K
61.25%
1K
100.78%
-20K
2,100%
-89K
-
free cash flow
-10.64M
-
-21.30M
100.08%
-9.43M
55.73%
-18.75M
98.82%
-6.15M
67.19%
-23.27M
278.44%
-13.55M
41.76%
-20.68M
52.60%
-13.77M
33.41%
-12.41M
9.87%
-18.42M
48.35%
-14.94M
18.90%
-13.65M
8.63%
11.67M
-

All numbers in USD (except ratios and percentages)