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WOOF Q2 2019 Earnings Report — Petco Health and Wellness Company, Inc. Revenue & Financial Results | Market Cap Arena
Petco Health and Wellness Company, Inc.
WOOF
Q2 2019 Earnings
Reported August 2, 2019
Quarter Comparison
Revenue
Operating Income
Gross Margin
Net Margin
EPS (Diluted)
Free Cash Flow
Metric
Q2 2019
Q1 2019
Q2 2018
QoQ Change
YoY Change
Revenue
$1.1B
$1.1B
—
0.0%
—
Op. Income
$23M
$23M
—
0.0%
—
Gross Margin
42.7%
42.7%
—
0.0pp
—
Net Margin
-2.8%
-2.8%
—
0.0pp
—
EPS (Diluted)
$-0.02
$-0.02
—
0.0%
—
Free Cash Flow
-$53M
-$53M
—
0.0%
—
marketcaparena.com
Income Statement
Item
Amount
REVENUE
$1.1B
Cost of Revenue
$628M
GROSS PROFIT
$468M
R&D Expenses
$0
Selling & Marketing
$24M
General & Administrative
$421M
SG&A Expenses
$445M
Other Expenses
$250.0K
Operating Expenses
$445M
Cost & Expenses
$1.1B
OPERATING INCOME
$23M
Interest Income
$64M
Interest Expense
$0
Other Income/Expenses
-$64M
INCOME BEFORE TAX
-$41M
Income Tax Expense
-$10M
Net Income from Continuing Ops
-$32M
Net Income from Discontinued Ops
$0
Other Adjustments
$0
NET INCOME
-$30M
Net Income Deductions
$0
BOTTOM LINE NET INCOME
-$30M
D&A
$43M
EBIT
$23M
EBITDA
$66M
EPS
-$0
EPS Diluted
-$0
marketcaparena.com
Cash Flow Statement
Item
Amount
Net Income
-$30M
Depreciation & Amortization
$43M
Stock-Based Compensation
$2M
Deferred Income Tax
$0
Other Non-Cash Items
$104M
Change in Working Capital
-$134M
OPERATING CASH FLOW
-$15M
Capital Expenditure
-$38M
Acquisitions (Net)
$0
Purchases of Investments
$0
Sales/Maturities of Investments
$0
Other Investing Activities
$150.0K
NET CASH FROM INVESTING
-$38M
Net Debt Issuance
$0
Common Stock Repurchased
$0
Common Dividends Paid
$0
Other Financing Activities
$35M
NET CASH FROM FINANCING
$35M
FREE CASH FLOW
-$53M
Net Change in Cash
$152M
marketcaparena.com
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