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BBW Build-A-Bear Workshop

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  • 38.770
  • +0.780+2.05%
Close Dec 2 16:00 ET
  • 38.770
  • 0.0000.00%
Post 17:18 ET
524.08MMarket Cap10.95P/E (TTM)

Build-A-Bear Workshop Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Aug 3, 2024
(Q1)May 4, 2024
(FY)Feb 3, 2024
(Q4)Feb 3, 2024
(Q3)Oct 28, 2023
(Q2)Jul 29, 2023
(Q1)Apr 29, 2023
(FY)Jan 28, 2023
(Q4)Jan 28, 2023
(Q3)Oct 29, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-84.28%2.05M
-44.83%10.37M
36.03%64.31M
-12.38%31.57M
-79.66%927K
486.01%13.03M
320.55%18.79M
68.38%47.28M
232.31%36.03M
493.18%4.56M
Net income from continuing operations
5.28%8.78M
-21.56%11.46M
10.04%52.81M
8.60%22.27M
1.76%7.59M
43.02%8.34M
2.95%14.61M
1.52%47.99M
-14.99%20.51M
25.87%7.46M
Operating gains losses
562.50%106K
561.90%139K
10.00%121K
1,700.00%36K
200.00%48K
-76.81%16K
-8.70%21K
13.40%110K
-96.61%2K
60.00%16K
Depreciation and amortization
12.60%3.64M
18.77%3.66M
9.41%13.66M
29.18%4.12M
7.02%3.23M
6.71%3.23M
-5.23%3.08M
1.68%12.48M
2.02%3.19M
-0.43%3.02M
Deferred tax
--0
--0
-290.83%-1.89M
-289.75%-1.85M
--0
-25.00%12K
---53K
113.03%992K
112.82%976K
--0
Other non cash items
----
----
22.01%-1.91M
----
----
----
----
---2.45M
----
----
Change In working capital
-2,312.52%-11.13M
-1,426.14%-5.23M
94.06%-807K
-36.52%8.79M
-61.57%-10.49M
107.04%503K
102.86%394K
48.33%-13.58M
254.75%13.84M
39.51%-6.49M
-Change in receivables
-18,021.43%-2.51M
-155.41%-901K
292.78%5.87M
283.28%4.98M
-26.49%-745K
100.41%14K
540.65%1.63M
5.82%-3.05M
-6.89%1.3M
85.98%-589K
-Change in inventory
-871.87%-2.77M
-114.55%-593K
1,889.36%7.1M
-92.57%1.37M
207.30%1.29M
103.35%359K
165.53%4.08M
101.42%357K
282.46%18.49M
91.82%-1.21M
-Change in prepaid assets
-147.37%-1.07M
-92.27%407K
211.69%6.78M
157.47%4.27M
-425.80%-5.01M
440.51%2.26M
998.96%5.26M
-135.25%-6.07M
-165.60%-7.42M
-27.88%1.54M
-Change in payables and accrued expense
-938.57%-3.52M
87.07%-810K
-3,208.36%-11.08M
-220.75%-675K
31.88%-4.56M
-95.20%420K
-112.37%-6.27M
-103.50%-335K
58.81%559K
-182.68%-6.7M
-Change in other working capital
50.76%-1.26M
22.75%-3.33M
-111.00%-9.47M
-226.56%-1.15M
-416.70%-1.46M
-123.18%-2.55M
8.69%-4.31M
8.48%-4.49M
-59.33%911K
122.62%461K
Cash from discontinued investing activities
Operating cash flow
-84.28%2.05M
-44.83%10.37M
36.03%64.31M
-12.38%31.57M
-79.66%927K
486.01%13.03M
320.55%18.79M
68.38%47.28M
232.31%36.03M
493.18%4.56M
Investing cash flow
Cash flow from continuing investing activities
-6.41%-3.27M
20.72%-2.43M
-34.19%-18.3M
-4.20%-7.17M
-85.49%-4.99M
-2.64%-3.07M
-186.45%-3.07M
-67.70%-13.63M
-97.42%-6.88M
13.04%-2.69M
Capital expenditure reported
----
----
-34.19%-18.3M
----
----
----
----
-67.70%-13.63M
----
----
Net PPE purchase and sale
-6.41%-3.27M
20.72%-2.43M
----
----
-85.49%-4.99M
---3.07M
---3.07M
----
----
---2.69M
Cash from discontinued investing activities
Investing cash flow
-6.41%-3.27M
20.72%-2.43M
-34.19%-18.3M
-4.20%-7.17M
-85.49%-4.99M
-2.64%-3.07M
-186.45%-3.07M
-67.70%-13.63M
-97.42%-6.88M
13.04%-2.69M
Financing cash flow
Cash flow from continuing financing activities
-16.95%-11.89M
44.32%-13.98M
-75.21%-43.9M
-541.80%-4.77M
15.89%-3.87M
7.35%-10.17M
-137.56%-25.1M
-11.58%-25.06M
104.62%1.08M
-396.64%-4.6M
Net common stock issuance
-12.95%-9.15M
-196.81%-9.2M
15.19%-20.5M
---5.26M
15.64%-4.04M
27.97%-8.1M
61.92%-3.1M
-454.66%-24.17M
--0
---4.79M
Cash dividends paid
---2.74M
86.83%-2.91M
-7,455.48%-22.06M
--36K
--0
--0
-7,467.81%-22.1M
98.54%-292K
--0
--0
Proceeds from stock option exercised by employees
--0
-2,088.30%-1.87M
-126.18%-1.34M
-57.55%458K
-9.79%175K
-859.56%-2.07M
104.40%94K
-132.26%-592K
18.44%1.08M
-87.48%194K
Cash from discontinued financing activities
Financing cash flow
-16.95%-11.89M
44.32%-13.98M
-75.21%-43.9M
-541.80%-4.77M
15.89%-3.87M
7.35%-10.17M
-137.56%-25.1M
-11.58%-25.06M
104.62%1.08M
-396.64%-4.6M
Net cash flow
Beginning cash position
16.50%38.23M
5.05%44.33M
28.48%42.2M
106.27%24.8M
126.10%32.64M
25.78%32.82M
28.48%42.2M
-5.73%32.85M
-75.21%12.02M
-71.77%14.44M
Current changes in cash
-6,084.43%-13.11M
35.59%-6.04M
-75.38%2.11M
-35.05%19.63M
-190.68%-7.92M
98.19%-212K
-30.85%-9.38M
442.21%8.59M
288.63%30.23M
-0.93%-2.73M
Effect of exchange rate changes
17.14%41K
-1,800.00%-51K
-98.04%15K
-105.88%-105K
-73.72%82K
-60.23%35K
-99.28%3K
49.22%767K
-113.86%-51K
372.73%312K
End cash Position
-22.91%25.16M
16.50%38.23M
5.05%44.33M
5.05%44.33M
106.27%24.8M
126.10%32.64M
25.78%32.82M
28.48%42.2M
28.48%42.2M
-75.21%12.02M
Free cash flow
-112.28%-1.22M
-49.53%7.94M
36.78%46.02M
-16.29%24.4M
-317.17%-4.06M
1,391.05%9.95M
362.79%15.72M
68.66%33.64M
296.23%29.15M
143.98%1.87M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
--
--
--
(Q2)Aug 3, 2024(Q1)May 4, 2024(FY)Feb 3, 2024(Q4)Feb 3, 2024(Q3)Oct 28, 2023(Q2)Jul 29, 2023(Q1)Apr 29, 2023(FY)Jan 28, 2023(Q4)Jan 28, 2023(Q3)Oct 29, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -84.28%2.05M-44.83%10.37M36.03%64.31M-12.38%31.57M-79.66%927K486.01%13.03M320.55%18.79M68.38%47.28M232.31%36.03M493.18%4.56M
Net income from continuing operations 5.28%8.78M-21.56%11.46M10.04%52.81M8.60%22.27M1.76%7.59M43.02%8.34M2.95%14.61M1.52%47.99M-14.99%20.51M25.87%7.46M
Operating gains losses 562.50%106K561.90%139K10.00%121K1,700.00%36K200.00%48K-76.81%16K-8.70%21K13.40%110K-96.61%2K60.00%16K
Depreciation and amortization 12.60%3.64M18.77%3.66M9.41%13.66M29.18%4.12M7.02%3.23M6.71%3.23M-5.23%3.08M1.68%12.48M2.02%3.19M-0.43%3.02M
Deferred tax --0--0-290.83%-1.89M-289.75%-1.85M--0-25.00%12K---53K113.03%992K112.82%976K--0
Other non cash items --------22.01%-1.91M-------------------2.45M--------
Change In working capital -2,312.52%-11.13M-1,426.14%-5.23M94.06%-807K-36.52%8.79M-61.57%-10.49M107.04%503K102.86%394K48.33%-13.58M254.75%13.84M39.51%-6.49M
-Change in receivables -18,021.43%-2.51M-155.41%-901K292.78%5.87M283.28%4.98M-26.49%-745K100.41%14K540.65%1.63M5.82%-3.05M-6.89%1.3M85.98%-589K
-Change in inventory -871.87%-2.77M-114.55%-593K1,889.36%7.1M-92.57%1.37M207.30%1.29M103.35%359K165.53%4.08M101.42%357K282.46%18.49M91.82%-1.21M
-Change in prepaid assets -147.37%-1.07M-92.27%407K211.69%6.78M157.47%4.27M-425.80%-5.01M440.51%2.26M998.96%5.26M-135.25%-6.07M-165.60%-7.42M-27.88%1.54M
-Change in payables and accrued expense -938.57%-3.52M87.07%-810K-3,208.36%-11.08M-220.75%-675K31.88%-4.56M-95.20%420K-112.37%-6.27M-103.50%-335K58.81%559K-182.68%-6.7M
-Change in other working capital 50.76%-1.26M22.75%-3.33M-111.00%-9.47M-226.56%-1.15M-416.70%-1.46M-123.18%-2.55M8.69%-4.31M8.48%-4.49M-59.33%911K122.62%461K
Cash from discontinued investing activities
Operating cash flow -84.28%2.05M-44.83%10.37M36.03%64.31M-12.38%31.57M-79.66%927K486.01%13.03M320.55%18.79M68.38%47.28M232.31%36.03M493.18%4.56M
Investing cash flow
Cash flow from continuing investing activities -6.41%-3.27M20.72%-2.43M-34.19%-18.3M-4.20%-7.17M-85.49%-4.99M-2.64%-3.07M-186.45%-3.07M-67.70%-13.63M-97.42%-6.88M13.04%-2.69M
Capital expenditure reported ---------34.19%-18.3M-----------------67.70%-13.63M--------
Net PPE purchase and sale -6.41%-3.27M20.72%-2.43M---------85.49%-4.99M---3.07M---3.07M-----------2.69M
Cash from discontinued investing activities
Investing cash flow -6.41%-3.27M20.72%-2.43M-34.19%-18.3M-4.20%-7.17M-85.49%-4.99M-2.64%-3.07M-186.45%-3.07M-67.70%-13.63M-97.42%-6.88M13.04%-2.69M
Financing cash flow
Cash flow from continuing financing activities -16.95%-11.89M44.32%-13.98M-75.21%-43.9M-541.80%-4.77M15.89%-3.87M7.35%-10.17M-137.56%-25.1M-11.58%-25.06M104.62%1.08M-396.64%-4.6M
Net common stock issuance -12.95%-9.15M-196.81%-9.2M15.19%-20.5M---5.26M15.64%-4.04M27.97%-8.1M61.92%-3.1M-454.66%-24.17M--0---4.79M
Cash dividends paid ---2.74M86.83%-2.91M-7,455.48%-22.06M--36K--0--0-7,467.81%-22.1M98.54%-292K--0--0
Proceeds from stock option exercised by employees --0-2,088.30%-1.87M-126.18%-1.34M-57.55%458K-9.79%175K-859.56%-2.07M104.40%94K-132.26%-592K18.44%1.08M-87.48%194K
Cash from discontinued financing activities
Financing cash flow -16.95%-11.89M44.32%-13.98M-75.21%-43.9M-541.80%-4.77M15.89%-3.87M7.35%-10.17M-137.56%-25.1M-11.58%-25.06M104.62%1.08M-396.64%-4.6M
Net cash flow
Beginning cash position 16.50%38.23M5.05%44.33M28.48%42.2M106.27%24.8M126.10%32.64M25.78%32.82M28.48%42.2M-5.73%32.85M-75.21%12.02M-71.77%14.44M
Current changes in cash -6,084.43%-13.11M35.59%-6.04M-75.38%2.11M-35.05%19.63M-190.68%-7.92M98.19%-212K-30.85%-9.38M442.21%8.59M288.63%30.23M-0.93%-2.73M
Effect of exchange rate changes 17.14%41K-1,800.00%-51K-98.04%15K-105.88%-105K-73.72%82K-60.23%35K-99.28%3K49.22%767K-113.86%-51K372.73%312K
End cash Position -22.91%25.16M16.50%38.23M5.05%44.33M5.05%44.33M106.27%24.8M126.10%32.64M25.78%32.82M28.48%42.2M28.48%42.2M-75.21%12.02M
Free cash flow -112.28%-1.22M-49.53%7.94M36.78%46.02M-16.29%24.4M-317.17%-4.06M1,391.05%9.95M362.79%15.72M68.66%33.64M296.23%29.15M143.98%1.87M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

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