bf/NYSE:PSFE_icon.png

NYSE:PSFE

Paysafe Limited

  • Stock

USD

Last Close

20.99

26/07 20:00

Market Cap

1.07B

Beta: 1.85

Volume Today

251.86K

Avg: 343.90K

PE Ratio

−20.53

PFCF: −0.89

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
-51.01M
-
-34.07M
33.22%
-38.62M
13.37%
-3.01M
92.20%
-49M
1,526.83%
-4.74M
90.32%
-147.11M
3,000.89%
90.52M
161.54%
-1.17B
1,393.40%
-658.74M
43.74%
978K
100.15%
-33.71M
3,546.93%
-3.81M
88.70%
-1.76M
53.65%
-2.55M
44.42%
-12.13M
375.83%
3.06M
125.20%
depreciation and amortization
69.50M
-
67.49M
2.89%
66.14M
2.00%
65.03M
1.67%
65.46M
0.66%
70.11M
7.11%
61.83M
11.81%
63.96M
3.45%
63.42M
0.85%
69.58M
9.72%
66.09M
5.03%
67.72M
2.47%
63.55M
6.17%
66.42M
4.53%
67.07M
0.98%
66.39M
1.02%
68.31M
2.90%
deferred income tax
-25.63M
-
1.08M
104.22%
-14.78M
1,466.98%
-21.82M
47.65%
-2.55M
88.33%
7.26M
385.08%
-98.97M
1,463.02%
-2.74M
97.23%
-49.60M
1,711.58%
-9.38M
81.08%
-5.18M
44.80%
-18.71M
261.22%
7.78M
141.59%
322K
95.86%
9.35M
2,803.42%
2.24M
76.05%
-1.77M
178.92%
stock based compensation
65.49M
-
31.82M
51.41%
60.53M
90.24%
8.21M
86.43%
72.38M
781.38%
11.74M
83.78%
8.71M
25.77%
8.94M
2.61%
13.97M
56.26%
17.74M
26.96%
13.54M
23.65%
17.11M
26.32%
7.22M
57.82%
10.91M
51.15%
4.94M
54.73%
-137.82M
2,891.01%
change in working capital
-61.41M
-
33.33M
154.28%
-25.07M
175.21%
170.89M
781.64%
-42.63M
124.95%
-98.93M
132.05%
-17.39M
82.42%
32.71M
288.07%
421.23M
1,187.65%
828.47M
96.68%
-81.48M
109.84%
-494.06M
506.33%
-199.72M
59.58%
-309.72M
55.08%
-86.65M
72.02%
528.64M
710.07%
-29.15M
105.51%
accounts receivables
-17.20M
-
-12.26M
28.74%
-17.71M
44.47%
672K
103.79%
-20.86M
3,203.57%
-486K
97.67%
-5.52M
1,035.80%
-15.73M
184.96%
-14.53M
7.64%
249K
101.71%
-9.77M
4,022.09%
-10.18M
4.22%
-12.77M
25.43%
-4.88M
61.76%
1.79M
136.69%
-5.05M
381.74%
-24.22M
380.02%
inventory
-98.54M
-
accounts payables
-31.72M
-
12.65M
139.89%
199K
98.43%
-8.90M
4,572.86%
-9.31M
4.58%
-11.83M
27.08%
14.29M
220.79%
-18.88M
232.15%
-1.19M
93.70%
41.15M
3,561.06%
-10.77M
126.17%
-11.79M
9.52%
-15.75M
33.56%
-21.42M
36.00%
10.55M
149.25%
-3.79M
-
other working capital
-12.50M
-
32.94M
363.59%
-7.56M
122.96%
179.12M
2,468.96%
-12.47M
106.96%
-86.62M
594.67%
-26.16M
69.79%
67.33M
357.33%
436.95M
549.00%
787.07M
80.13%
-60.95M
107.74%
-472.09M
674.57%
-171.20M
63.73%
-283.42M
65.54%
-452K
99.84%
533.69M
118,172.34%
-1.13M
100.21%
other non cash items
14.65M
-
23.80M
62.52%
-10.44M
143.86%
17.00M
262.83%
5.08M
70.12%
6.83M
34.55%
244.51M
3,477.38%
-61.53M
125.17%
1.23B
2,091.84%
627.93M
48.77%
-173K
100.03%
12.51M
7,331.79%
6.02M
51.85%
-93K
101.54%
5.36M
5,861.29%
142.07M
2,551.59%
183.02M
28.82%
net cash provided by operating activities
11.58M
-
123.46M
966.27%
37.76M
69.41%
236.30M
525.74%
48.74M
79.37%
-7.73M
115.86%
51.59M
767.40%
131.87M
155.61%
503.85M
282.09%
875.60M
73.78%
-6.23M
100.71%
-449.14M
7,111.64%
-118.96M
73.51%
-233.92M
96.64%
-2.48M
98.94%
589.39M
23,837.01%
58.84M
90.02%
investments in property plant and equipment
-18.55M
-
-14.44M
22.15%
-15.90M
10.10%
-38.02M
139.07%
-17.05M
55.15%
-58.27M
241.78%
-34.74M
40.38%
-37.68M
8.45%
-31.00M
17.72%
-37.71M
21.64%
-39.33M
4.28%
-42.01M
6.81%
-34.77M
17.23%
-44.55M
28.13%
-28.96M
35.00%
-20.65M
28.70%
-24.43M
18.30%
acquisitions net
-9.14M
-
44.83M
590.69%
-23.53M
152.48%
-95.65M
-
-144.34M
50.91%
-424.72M
194.24%
-826K
99.81%
826K
-
2.17M
163.32%
19.09M
777.66%
3.26M
82.92%
purchases of investments
-14.36M
-
-18.09M
25.95%
-4.40M
75.68%
-19.09M
333.94%
-3.26M
82.92%
-3.99M
22.23%
sales maturities of investments
18.09M
-
2.22M
87.71%
2.56M
15.11%
2.74M
6.88%
2.53M
-
other investing activites
14.36M
-
-826K
105.75%
2.22M
369.25%
-478K
121.49%
-24.33M
4,990.38%
14.96M
161.47%
8.07M
46.05%
net cash used for investing activites
-18.55M
-
-14.44M
22.15%
-25.04M
73.36%
6.82M
127.22%
-40.58M
695.47%
-58.27M
43.60%
-130.39M
123.75%
-182.02M
39.60%
-455.73M
150.37%
-38.54M
91.54%
-39.33M
2.05%
-42.01M
6.81%
-32.54M
22.53%
-42.47M
30.49%
-50.55M
19.05%
-9.68M
80.86%
-13.82M
42.88%
debt repayment
-80.14M
-
-200.15M
149.75%
-371.20M
85.46%
-38.73M
89.57%
-1.31B
3,290.26%
-2.25B
71.70%
-178.39M
92.09%
-287.55M
61.19%
-210.88M
26.66%
-241.49M
14.51%
-275.26M
13.98%
-238.39M
13.39%
-295.71M
24.05%
-292.96M
0.93%
-279.26M
4.68%
-60.75M
78.24%
-14.06M
76.85%
common stock issued
5K
-
common stock repurchased
-6.94M
-
-3.69M
46.81%
-3.02M
18.18%
-8.47M
-
-12M
41.73%
dividends paid
other financing activites
225.05M
-
212.89M
5.40%
171.36M
19.51%
5.45M
96.82%
1.18B
21,517.26%
2.22B
88.35%
251.01M
88.69%
866.43M
245.18%
192.15M
77.82%
247.85M
28.99%
196.03M
20.91%
256.39M
30.79%
243.82M
4.90%
253.83M
4.11%
256.64M
1.11%
-581.46M
326.57%
-116.31M
80.00%
net cash used provided by financing activities
144.91M
-
12.74M
91.21%
-199.84M
1,668.87%
-33.27M
83.35%
-134.16M
303.19%
-34.06M
74.61%
72.62M
313.18%
578.88M
697.16%
-18.73M
103.24%
6.36M
133.95%
-79.23M
1,345.95%
11.06M
113.96%
-55.58M
602.47%
-42.15M
24.17%
-22.61M
46.36%
-650.68M
2,777.73%
-142.38M
78.12%
effect of forex changes on cash
-14.92M
-
17.56M
217.68%
42.85M
143.99%
53.59M
25.07%
-55.20M
203.00%
14.48M
126.24%
-26.82M
285.19%
-21.08M
21.40%
-31.07M
47.39%
-102.15M
228.79%
-151.12M
47.94%
171.87M
213.73%
20.38M
88.14%
11.17M
45.17%
-39.36M
452.26%
1.34B
3,511.38%
net change in cash
123.01M
-
137.90M
12.10%
-145.10M
205.22%
265.68M
283.10%
-181.20M
168.20%
-85.59M
52.77%
-33.00M
61.44%
507.65M
1,638.29%
-1.68M
100.33%
741.27M
44,275.98%
-275.90M
137.22%
-308.22M
11.71%
-186.71M
39.42%
-307.37M
64.62%
-115.01M
62.58%
1.27B
1,205.84%
-188K
100.01%
cash at beginning of period
1.38B
-
1.51B
8.90%
1.64B
9.16%
1.50B
8.83%
1.76B
17.73%
1.58B
10.27%
1.50B
5.41%
1.46B
2.20%
1.97B
34.67%
1.97B
0.09%
2.71B
37.63%
2.44B
10.18%
2.13B
12.66%
1.94B
8.78%
1.63B
15.84%
226.45M
86.13%
202.32M
10.66%
cash at end of period
1.51B
-
1.64B
9.16%
1.50B
8.83%
1.76B
17.73%
1.58B
10.27%
1.50B
5.41%
1.46B
2.20%
1.97B
34.67%
1.97B
0.09%
2.71B
37.63%
2.44B
10.18%
2.13B
12.66%
1.94B
8.78%
1.63B
15.84%
1.52B
7.04%
1.50B
1.31%
202.13M
86.51%
operating cash flow
11.58M
-
123.46M
966.27%
37.76M
69.41%
236.30M
525.74%
48.74M
79.37%
-7.73M
115.86%
51.59M
767.40%
131.87M
155.61%
503.85M
282.09%
875.60M
73.78%
-6.23M
100.71%
-449.14M
7,111.64%
-118.96M
73.51%
-233.92M
96.64%
-2.48M
98.94%
589.39M
23,837.01%
58.84M
90.02%
capital expenditure
-18.55M
-
-14.44M
22.15%
-15.90M
10.10%
-38.02M
139.07%
-17.05M
55.15%
-58.27M
241.78%
-34.74M
40.38%
-37.68M
8.45%
-31.00M
17.72%
-37.71M
21.64%
-39.33M
4.28%
-42.01M
6.81%
-34.77M
17.23%
-44.55M
28.13%
-28.96M
35.00%
-20.65M
28.70%
-24.43M
18.30%
free cash flow
-6.97M
-
109.02M
1,663.22%
21.86M
79.95%
198.28M
807.02%
31.69M
84.02%
-66.00M
308.28%
16.85M
125.52%
94.19M
459.11%
472.85M
402.03%
837.89M
77.20%
-45.55M
105.44%
-491.15M
978.16%
-153.73M
68.70%
-278.47M
81.15%
-31.44M
88.71%
568.74M
1,908.98%
34.41M
93.95%

All numbers in USD (except ratios and percentages)