Stocklytics Platform
Asset logo for symbol BAND
Bandwidth
BAND54
$11.78arrow_drop_up2.83%$0.32
Asset logo for symbol BAND
BAND54

$11.78

arrow_drop_up2.83%

Income Statement (BAND)

itemDec 2024Sep 2024Jun 2024Mar 2024Dec 2023
EBIT$10.29M-$898.00K-$6.07M-$10.41M-$11.06M
EBITDA$22.40M$11.52M$7.09M$3.13M$5.05M
gross Profit$76.51M$73.13M$59.14M$59.80M$56.45M
NET Income-$1.75M$413.00K$4.05M-$9.23M-$10.93M
total Revenue$209.96M$193.88M$173.60M$171.03M$165.38M

Balance Sheet (BAND)

itemDec 2024Sep 2024Jun 2024Mar 2024Dec 2023
cash Equivalents-----
net Debt$421.77M$454.09M$482.35M$538.26M$512.23M
stockholders Equity$312.53M$336.57M$307.44M$298.19M$297.39M
total Assets$989.16M$1.02B$1.00B$1.08B$1.10B
total Debt$503.58M$529.03M$544.63M$643.82M$644.53M
total Liabilities$676.63M$693.17M$694.65M$787.33M$803.65M

Cash Flow (BAND)

itemDec 2024Sep 2024Jun 2024Mar 2024Dec 2023
financing Cash Flow-$25.12M-$15.12M-$88.85M-$1.80M-$39.00K
free Cash Flow$30.34M$14.24M$17.96M-$4.40M$13.02M
investing Cash Flow-----
operating Cash Flow$36.51M$20.46M$24.08M$2.46M$19.25M

Bandwidth (BAND) Financials

Bandwidth Inc (BAND) is a telecommunications company that provides cloud-based communications technology. The company's income statement shows its financial performance over a specific period of time. It provides information about the company's revenue, expenses, and net income. Bandwidth Inc reported impressive total revenue for the year, indicating strong sales growth. The gross profit, which is the revenue left after deducting the cost of goods sold, was also notable. EBIT and EBITDA are profitability indicators that measure a company's operating performance. Bandwidth Inc's EBIT and EBITDA were both positive, indicating that the company was able to generate profits from its core operations. Net income from stockholders represents the profit that is distributed among the company's shareholders after deducting expenses and taxes. In terms of the balance sheet, Bandwidth Inc had a healthy stockholders' equity, which is the company's assets minus its liabilities. The total assets and total liabilities provide further insights into the financial health of the company. Cash equivalents are highly liquid assets that can be easily converted into cash. Bandwidth Inc had a significant amount of cash equivalents, which indicates its ability to meet short-term obligations. Net debt is the company's total debt minus its cash and cash equivalents. Bandwidth Inc had a positive net debt, suggesting that it has more cash than debt. Cash flow refers to the movement of cash in and out of the company. The operating cash flow, investing cash flow, and financing cash flow indicate how the company generates and uses cash. Bandwidth Inc's cash flow was strong, with positive values in all three categories. Free cash flow is a measure of the company's cash flow after deducting capital expenditures. Bandwidth Inc had a positive free cash flow, indicating its ability to generate cash even after investing in its operations. Overall, Bandwidth Inc's financials demonstrate its strong performance and financial stability.
add Bandwidth  to watchlist

Keep an eye on Bandwidth

Adding the right stocks to your watchlist can provide valuable insights and opportunities for strategic decision-making.

Take Your Investments to a Whole New Level