Key QQ4 2024 metrics (USD, quarter over quarter and year over year in percent where available):
- Revenue: $265,386,000; YoY: -1.62%; QoQ: -79.32%.
- Gross Profit: -$20,485,000; Gross Margin: -7.72%; YoY Gross Profit Change: -608.33%; QoQ Change: -103.02%.
- EBITDA: -$117,201,000; EBITDAR Margin: -44.16%; YoY: not reported separately; QoQ: not reported separately.
- Operating Income: -$198,700,000; Operating Margin: -74.87%; YoY: -24.11%; QoQ: -133.97%.
- Net Income: -$175,377,000; Net Margin: -66.08%; YoY: -36.41%; QoQ: -148.45%.
- EPS (Diluted): -$4.67; YoY: -39.40%; QoQ: -148.80%.
- Free Cash Flow: -$150,326,000.
- Operating Cash Flow: -$94,240,000; Net Cash Used in Investing Activities: -$150,182,000; Net Cash Used in Financing Activities: -$141,353,000; Net Change in Cash: -$379,824,000.
- Cash and Cash Equivalents: $322,827,000; Cash & Short-Term Investments: $337,063,000; Total Cash Position (approx.): $659,890,000 combined liquidity.
- Balance Sheet Highlights: Total Assets $5.699B; Total Liabilities $4.660B; Total Stockholders’ Equity $723.537M; Debt (Total) $3.044B; Net Debt $2.722B; Current Ratio 0.814; Quick Ratio 0.707; Debt-to-Equity 4.21; Debt-to-Capitalization 80.8%.
- Key profitability ratios: Gross Margin -7.72%; Operating Margin -74.87%; Pretax Margin -88.42%; Net Margin -66.08%.
- Cash Flow Coverage and Efficiency: Negative EBITDA and cash burn reflect current operating leverage; Free Cash Flow yield negative; cash conversion metrics indicate constraints on liquidity in the near term.