US Stock MarketDetailed Quotes

CHWY Chewy

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  • 30.670
  • -0.120-0.39%
Close Nov 8 16:00 ET
  • 30.720
  • +0.050+0.16%
Post 20:01 ET
12.51BMarket Cap36.95P/E (TTM)

Chewy Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jul 28, 2024
(Q1)Apr 28, 2024
(FY)Jan 28, 2024
(Q4)Jan 28, 2024
(Q3)Oct 30, 2023
(Q2)Jul 30, 2023
(Q1)Apr 30, 2023
(FY)Jan 29, 2023
(Q4)Jan 29, 2023
(Q3)Oct 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-23.25%694.95M
41.70%1.14B
67.11%1.13B
67.11%1.13B
41.80%957.18M
49.21%905.43M
32.81%803.17M
12.52%678.59M
12.52%678.59M
-7.14%675.01M
-Cash and cash equivalents
51.93%694.46M
177.63%1.13B
81.59%602.23M
81.59%602.23M
24.11%469.41M
-24.67%457.1M
-32.42%408.69M
-45.01%331.64M
-45.01%331.64M
-47.97%378.23M
-Short-term investments
-99.89%490K
-99.12%3.49M
53.28%531.79M
53.28%531.79M
64.35%487.77M
--448.32M
--394.49M
--346.94M
--346.94M
--296.78M
Receivables
23.54%200.98M
13.51%172.21M
21.32%154.04M
21.32%154.04M
26.79%160.98M
13.13%162.68M
13.87%151.72M
2.80%126.97M
2.80%126.97M
-1.36%126.96M
-Accounts receivable
23.54%200.98M
13.51%172.21M
21.32%154.04M
21.32%154.04M
26.79%160.98M
13.13%162.68M
13.87%151.72M
2.80%126.97M
2.80%126.97M
-1.36%126.96M
Inventory
8.82%803.34M
2.87%752.34M
6.09%719.27M
6.09%719.27M
4.84%712.05M
4.28%738.2M
22.26%731.38M
20.98%678.01M
20.98%678.01M
11.96%679.15M
Other current assets
12.22%53.96M
34.12%63.5M
135.35%97.02M
135.35%97.02M
33.68%52.71M
2.51%48.08M
-10.98%47.35M
12.89%41.22M
12.89%41.22M
-36.29%39.43M
Total current assets
-5.46%1.75B
22.64%2.13B
38.01%2.1B
38.01%2.1B
23.83%1.88B
23.18%1.85B
24.78%1.73B
15.21%1.52B
15.21%1.52B
-0.23%1.52B
Non current assets
Net PPE
4.68%990.87M
7.46%991.15M
10.36%995.92M
10.36%995.92M
9.20%988.23M
12.31%946.56M
18.88%922.35M
21.97%902.4M
21.97%902.4M
37.20%904.98M
-Gross PPE
10.00%1.35B
12.53%1.32B
14.91%1.3B
14.91%1.3B
16.24%1.29B
18.96%1.23B
24.28%1.18B
26.63%1.13B
26.63%1.13B
38.69%1.11B
-Accumulated depreciation
-27.94%-358.87M
-30.96%-332.7M
-32.70%-305.99M
-32.70%-305.99M
-47.02%-304.37M
-48.65%-280.5M
-48.84%-254.05M
-48.89%-230.59M
-48.89%-230.59M
-45.62%-207.03M
Goodwill and other intangible assets
0.00%39.44M
0.00%39.44M
0.00%39.44M
0.00%39.44M
--39.44M
--39.44M
--39.44M
--39.44M
--39.44M
----
-Goodwill
0.00%39.44M
0.00%39.44M
0.00%39.44M
0.00%39.44M
--39.44M
--39.44M
--39.44M
--39.44M
--39.44M
----
Non current deferred assets
--275.67M
----
----
----
----
----
----
----
----
----
Other non current assets
-31.97%43.28M
3.14%44.29M
-11.37%47.15M
-11.37%47.15M
-60.56%25.88M
213.40%63.62M
73.18%42.95M
132.39%53.19M
132.39%53.19M
459.38%65.63M
Total non current assets
28.55%1.35B
6.98%1.07B
8.79%1.08B
8.79%1.08B
8.55%1.05B
21.61%1.05B
25.49%1B
30.45%995.04M
30.45%995.04M
44.57%970.61M
Total assets
6.83%3.1B
16.90%3.2B
26.47%3.19B
26.47%3.19B
17.88%2.94B
22.61%2.9B
25.04%2.74B
20.78%2.52B
20.78%2.52B
13.47%2.49B
Liabilities
Current liabilities
Payables
5.40%1.18B
2.68%1.14B
6.95%1.1B
6.95%1.1B
8.72%1.08B
6.66%1.12B
16.39%1.11B
16.97%1.03B
16.97%1.03B
-2.34%991.95M
-accounts payable
5.40%1.18B
2.68%1.14B
6.95%1.1B
6.95%1.1B
8.72%1.08B
6.66%1.12B
16.39%1.11B
16.97%1.03B
16.97%1.03B
-2.34%991.95M
Current accrued expenses
-0.53%875.37M
9.33%852.39M
26.61%1.01B
26.61%1.01B
12.17%886.26M
20.74%880.07M
5.26%779.63M
4.33%794.53M
4.33%794.53M
12.39%790.09M
Current liabilities
2.79%2.06B
5.42%2B
15.49%2.11B
15.49%2.11B
10.25%1.96B
12.43%2B
11.54%1.89B
11.12%1.83B
11.12%1.83B
3.69%1.78B
Non current liabilities
Long term debt and capital lease obligation
5.83%517.27M
3.74%519.31M
11.86%527.8M
11.86%527.8M
8.49%526.99M
7.02%488.77M
20.96%500.58M
15.03%471.82M
15.03%471.82M
28.30%485.77M
-Long term capital lease obligation
5.83%517.27M
3.74%519.31M
11.86%527.8M
11.86%527.8M
8.49%526.99M
7.02%488.77M
20.96%500.58M
15.03%471.82M
15.03%471.82M
28.30%485.77M
Other non current liabilities
-15.50%43.29M
-31.04%42.7M
-36.79%37.94M
-36.79%37.94M
-13.06%51.63M
217.90%51.23M
210.08%61.93M
263.75%60.01M
263.75%60.01M
84.74%59.39M
Total non current liabilities
3.81%560.56M
-0.09%562.02M
6.37%565.73M
6.37%565.73M
6.14%578.63M
14.21%540M
29.67%562.51M
24.65%531.83M
24.65%531.83M
32.72%545.17M
Total liabilities
3.01%2.62B
4.16%2.56B
13.44%2.68B
13.44%2.68B
9.29%2.54B
12.81%2.54B
15.23%2.46B
13.90%2.36B
13.90%2.36B
9.29%2.33B
Shareholders'equity
Share capital
-2.82%4.18M
1.94%4.35M
1.53%4.32M
1.53%4.32M
1.89%4.31M
1.68%4.3M
1.55%4.27M
1.24%4.25M
1.24%4.25M
1.24%4.23M
-common stock
-2.82%4.18M
1.94%4.35M
1.53%4.32M
1.53%4.32M
1.89%4.31M
1.68%4.3M
1.55%4.27M
1.24%4.25M
1.24%4.25M
1.24%4.23M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
16.18%-1.61B
1.58%-1.91B
1.96%-1.98B
1.96%-1.98B
0.58%-1.96B
2.51%-1.92B
2.66%-1.94B
-0.22%-2.02B
-0.22%-2.02B
-1.05%-1.97B
Paid-in capital
-8.28%2.09B
14.88%2.55B
14.31%2.48B
14.31%2.48B
10.23%2.35B
9.49%2.28B
8.34%2.22B
7.42%2.17B
7.42%2.17B
5.89%2.13B
Gains losses not affecting retained earnings
--347K
---4K
---406K
---406K
----
----
----
--0
--0
----
Total stockholders'equity
33.49%486.75M
127.69%642.92M
218.37%510.24M
218.37%510.24M
139.80%393.17M
210.61%364.63M
381.77%282.37M
987.60%160.27M
987.60%160.27M
148.34%163.96M
Total equity
33.49%486.75M
127.69%642.92M
218.37%510.24M
218.37%510.24M
139.80%393.17M
210.61%364.63M
381.77%282.37M
987.60%160.27M
987.60%160.27M
148.34%163.96M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q2)Jul 28, 2024(Q1)Apr 28, 2024(FY)Jan 28, 2024(Q4)Jan 28, 2024(Q3)Oct 30, 2023(Q2)Jul 30, 2023(Q1)Apr 30, 2023(FY)Jan 29, 2023(Q4)Jan 29, 2023(Q3)Oct 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -23.25%694.95M41.70%1.14B67.11%1.13B67.11%1.13B41.80%957.18M49.21%905.43M32.81%803.17M12.52%678.59M12.52%678.59M-7.14%675.01M
-Cash and cash equivalents 51.93%694.46M177.63%1.13B81.59%602.23M81.59%602.23M24.11%469.41M-24.67%457.1M-32.42%408.69M-45.01%331.64M-45.01%331.64M-47.97%378.23M
-Short-term investments -99.89%490K-99.12%3.49M53.28%531.79M53.28%531.79M64.35%487.77M--448.32M--394.49M--346.94M--346.94M--296.78M
Receivables 23.54%200.98M13.51%172.21M21.32%154.04M21.32%154.04M26.79%160.98M13.13%162.68M13.87%151.72M2.80%126.97M2.80%126.97M-1.36%126.96M
-Accounts receivable 23.54%200.98M13.51%172.21M21.32%154.04M21.32%154.04M26.79%160.98M13.13%162.68M13.87%151.72M2.80%126.97M2.80%126.97M-1.36%126.96M
Inventory 8.82%803.34M2.87%752.34M6.09%719.27M6.09%719.27M4.84%712.05M4.28%738.2M22.26%731.38M20.98%678.01M20.98%678.01M11.96%679.15M
Other current assets 12.22%53.96M34.12%63.5M135.35%97.02M135.35%97.02M33.68%52.71M2.51%48.08M-10.98%47.35M12.89%41.22M12.89%41.22M-36.29%39.43M
Total current assets -5.46%1.75B22.64%2.13B38.01%2.1B38.01%2.1B23.83%1.88B23.18%1.85B24.78%1.73B15.21%1.52B15.21%1.52B-0.23%1.52B
Non current assets
Net PPE 4.68%990.87M7.46%991.15M10.36%995.92M10.36%995.92M9.20%988.23M12.31%946.56M18.88%922.35M21.97%902.4M21.97%902.4M37.20%904.98M
-Gross PPE 10.00%1.35B12.53%1.32B14.91%1.3B14.91%1.3B16.24%1.29B18.96%1.23B24.28%1.18B26.63%1.13B26.63%1.13B38.69%1.11B
-Accumulated depreciation -27.94%-358.87M-30.96%-332.7M-32.70%-305.99M-32.70%-305.99M-47.02%-304.37M-48.65%-280.5M-48.84%-254.05M-48.89%-230.59M-48.89%-230.59M-45.62%-207.03M
Goodwill and other intangible assets 0.00%39.44M0.00%39.44M0.00%39.44M0.00%39.44M--39.44M--39.44M--39.44M--39.44M--39.44M----
-Goodwill 0.00%39.44M0.00%39.44M0.00%39.44M0.00%39.44M--39.44M--39.44M--39.44M--39.44M--39.44M----
Non current deferred assets --275.67M------------------------------------
Other non current assets -31.97%43.28M3.14%44.29M-11.37%47.15M-11.37%47.15M-60.56%25.88M213.40%63.62M73.18%42.95M132.39%53.19M132.39%53.19M459.38%65.63M
Total non current assets 28.55%1.35B6.98%1.07B8.79%1.08B8.79%1.08B8.55%1.05B21.61%1.05B25.49%1B30.45%995.04M30.45%995.04M44.57%970.61M
Total assets 6.83%3.1B16.90%3.2B26.47%3.19B26.47%3.19B17.88%2.94B22.61%2.9B25.04%2.74B20.78%2.52B20.78%2.52B13.47%2.49B
Liabilities
Current liabilities
Payables 5.40%1.18B2.68%1.14B6.95%1.1B6.95%1.1B8.72%1.08B6.66%1.12B16.39%1.11B16.97%1.03B16.97%1.03B-2.34%991.95M
-accounts payable 5.40%1.18B2.68%1.14B6.95%1.1B6.95%1.1B8.72%1.08B6.66%1.12B16.39%1.11B16.97%1.03B16.97%1.03B-2.34%991.95M
Current accrued expenses -0.53%875.37M9.33%852.39M26.61%1.01B26.61%1.01B12.17%886.26M20.74%880.07M5.26%779.63M4.33%794.53M4.33%794.53M12.39%790.09M
Current liabilities 2.79%2.06B5.42%2B15.49%2.11B15.49%2.11B10.25%1.96B12.43%2B11.54%1.89B11.12%1.83B11.12%1.83B3.69%1.78B
Non current liabilities
Long term debt and capital lease obligation 5.83%517.27M3.74%519.31M11.86%527.8M11.86%527.8M8.49%526.99M7.02%488.77M20.96%500.58M15.03%471.82M15.03%471.82M28.30%485.77M
-Long term capital lease obligation 5.83%517.27M3.74%519.31M11.86%527.8M11.86%527.8M8.49%526.99M7.02%488.77M20.96%500.58M15.03%471.82M15.03%471.82M28.30%485.77M
Other non current liabilities -15.50%43.29M-31.04%42.7M-36.79%37.94M-36.79%37.94M-13.06%51.63M217.90%51.23M210.08%61.93M263.75%60.01M263.75%60.01M84.74%59.39M
Total non current liabilities 3.81%560.56M-0.09%562.02M6.37%565.73M6.37%565.73M6.14%578.63M14.21%540M29.67%562.51M24.65%531.83M24.65%531.83M32.72%545.17M
Total liabilities 3.01%2.62B4.16%2.56B13.44%2.68B13.44%2.68B9.29%2.54B12.81%2.54B15.23%2.46B13.90%2.36B13.90%2.36B9.29%2.33B
Shareholders'equity
Share capital -2.82%4.18M1.94%4.35M1.53%4.32M1.53%4.32M1.89%4.31M1.68%4.3M1.55%4.27M1.24%4.25M1.24%4.25M1.24%4.23M
-common stock -2.82%4.18M1.94%4.35M1.53%4.32M1.53%4.32M1.89%4.31M1.68%4.3M1.55%4.27M1.24%4.25M1.24%4.25M1.24%4.23M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 16.18%-1.61B1.58%-1.91B1.96%-1.98B1.96%-1.98B0.58%-1.96B2.51%-1.92B2.66%-1.94B-0.22%-2.02B-0.22%-2.02B-1.05%-1.97B
Paid-in capital -8.28%2.09B14.88%2.55B14.31%2.48B14.31%2.48B10.23%2.35B9.49%2.28B8.34%2.22B7.42%2.17B7.42%2.17B5.89%2.13B
Gains losses not affecting retained earnings --347K---4K---406K---406K--------------0--0----
Total stockholders'equity 33.49%486.75M127.69%642.92M218.37%510.24M218.37%510.24M139.80%393.17M210.61%364.63M381.77%282.37M987.60%160.27M987.60%160.27M148.34%163.96M
Total equity 33.49%486.75M127.69%642.92M218.37%510.24M218.37%510.24M139.80%393.17M210.61%364.63M381.77%282.37M987.60%160.27M987.60%160.27M148.34%163.96M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

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