Revenue: $1,629,594,000 in QQ4 2024, YoY -20.46%, QoQ -12.85%. Gross Profit: $160,288,000, Gross Margin 9.84% (YoY -23.23%, QoQ -13.14%). Operating Income: $-82,267,000, Margin -5.05% (YoY -370.08%, QoQ -180.82%). EBITDA: $-73,931,000, EBITDA Margin -4.54% (YoY and QoQ not separately disclosed in the snippet provided). Net Income: $-236,766,000, Net Margin -14.53% (YoY -606.36%, QoQ -618.29%). EPS (diluted): $-1.79 (QoQ -611.43%, YoY not applicable).
Liquidity and Cash Flow: Net cash provided by operating activities $152,223,000; capital expenditures $32,399,000; free cash flow $119,824,000. Net change in cash $38,171,000; cash at end of period $38,909,000. Net cash used for financing activities $-79,617,000; dividends paid ($178,299,000); debt repayments $-150,784,000. Cash from operations funded capex, debt service, and distributions in QQ4 2024.
Balance Sheet and Leverage: Total assets $5,020,094,000; total liabilities $4,020,927,000; total debt $2,952,485,000; cash and cash equivalents $38,909,000. Stockholders’ equity reported as negative ($-0.499 million), indicating a heavily debt-financed capital structure with negative book equity. Current ratio 1.206 and quick ratio 1.072 indicate modest liquidity headroom but limited cushion for running needs.