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Asset logo for symbol EWCZ
European Wax Center
EWCZ52
$5.14arrow_drop_down2.08%-$0.11
Asset logo for symbol EWCZ
EWCZ52

$5.14

arrow_drop_down2.08%

Income Statement (EWCZ)

itemSep 2024Jun 2024Mar 2024Dec 2023Sep 2023
EBIT$9.18M$14.37M$11.19M$12.75M$12.44M
EBITDA$14.44M$19.36M$16.19M$17.77M$17.48M
gross Profit$40.42M$43.84M$33.35M$35.74M$39.99M
NET Income$1.48M$4.30M$2.82M$2.48M$2.94M
total Revenue$55.43M$59.87M$51.87M$56.32M$55.71M

Balance Sheet (EWCZ)

itemSep 2024Jun 2024Mar 2024Dec 2023Sep 2023
cash Equivalents-----
net Debt$332.78M$325.11M$313.92M$321.16M$316.56M
stockholders Equity$68.75M$84.83M$87.13M$83.34M$99.40M
total Assets$707.96M$727.90M$736.86M$735.72M$754.38M
total Debt$380.80M$380.79M$380.79M$380.39M$380.52M
total Liabilities$610.06M$610.87M$616.74M$619.11M$618.91M

Cash Flow (EWCZ)

itemSep 2024Jun 2024Mar 2024Dec 2023Sep 2023
financing Cash Flow-$22.40M-$18.94M-$3.18M-$28.01M-$8.37M
free Cash Flow$14.75M$14.22M$10.69M$16.73M$17.48M
investing Cash Flow-----
operating Cash Flow$14.81M$14.40M$10.72M$16.74M$17.63M

European Wax Center (EWCZ) Financials

European Wax Center, Inc. (EWCZ) is a company that specializes in providing waxing services to its customers. The company's financials can provide valuable insight into its performance and financial health. The income statement is a financial statement that shows the company's revenues, expenses, and net income over a specific period. It provides information about the company's profitability and helps in assessing its financial performance. EWCZ's income statement can help investors and stakeholders understand how well the company is doing.
Earnings before interest and taxes (EBIT) is a measure of a company's profitability that shows how much the company is earning before taxes and interest expenses are deducted. EBITDA, on the other hand, stands for earnings before interest, taxes, depreciation, and amortization. It is a measure of a company's operating performance and is often used to assess its ability to generate cash flow. Both EBIT and EBITDA are important financial metrics that investors use to evaluate a company's profitability and financial health.
Gross profit is another important metric that reflects a company's profitability. It is the difference between the net sales revenue and the cost of goods sold. Gross profit indicates the amount of money a company has made from its core operations, excluding operating expenses. Net income from stockholders refers to the profit earned by a company after deducting taxes, interest, and other expenses. It represents the amount of money that is available to be distributed among the company's stockholders.
Total revenue represents the total amount of money generated by a company from its sales activities. It includes both the sales of goods and services. The balance sheet is a financial statement that provides a snapshot of a company's financial position at a specific point in time. It shows the company's assets, liabilities, and stockholders' equity. Cash equivalents are highly liquid assets that are easily convertible into cash, such as Treasury bills and money market funds.
Net debt is the amount of debt a company has after deducting its cash and cash equivalents. It is an important metric that reflects a company's ability to meet its financial obligations. Stockholders' equity, also known as shareholders' equity, represents the residual interest in the assets of a company after deducting its liabilities. It is a measure of the company's net worth. Total assets refer to the resources a company owns, including cash, inventory, property, and equipment. Total debt represents the total amount of money a company owes to its creditors.
Total liabilities are the debts and obligations that a company has. It includes both short-term and long-term liabilities, such as accounts payable, loans, and bonds. Cash flow is the movement of cash into or out of a company. It is an essential measure of a company's liquidity and is used to assess its ability to cover its operating expenses and invest in its growth. Financing cash flow represents the cash flows from financing activities, such as issuing or repurchasing stock or paying dividends.
Free cash flow is the cash that is left after deducting capital expenditures from operating cash flow. It represents the cash that a company can use for various purposes, such as paying dividends, repurchasing shares, or investing in new projects. Investing cash flow represents the cash flows from investing activities, such as buying or selling assets and making or collecting loans. Operating cash flow is the cash generated from a company's normal operations, excluding cash flows from investing and financing activities.
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