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ELF e.l.f. Beauty

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  • 103.120
  • -2.130-2.02%
Close Nov 1 16:00 ET
  • 103.750
  • +0.630+0.61%
Post 20:01 ET
5.81BMarket Cap49.34P/E (TTM)

e.l.f. Beauty Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-94.51%1.28M
-30.16%71.15M
12.57%37.02M
-166.00%-17.13M
123.90%27.92M
-23.62%23.35M
422.13%101.88M
181.36%32.88M
268.05%25.96M
285.59%12.47M
Net income from continuing operations
-10.23%47.56M
107.48%127.66M
-10.58%14.53M
40.74%26.89M
184.12%33.27M
266.14%52.98M
182.64%61.53M
944.09%16.25M
207.45%19.11M
104.58%11.71M
Operating gains losses
----
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----
----
----
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-61.74%176K
--0
----
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Depreciation and amortization
97.52%11.13M
62.03%35.91M
105.82%11.67M
120.18%11.94M
24.72%6.67M
-1.52%5.64M
-18.16%22.16M
-16.23%5.67M
-22.20%5.42M
-24.92%5.35M
Deferred tax
141.74%5.11M
48.82%-3.28M
65.26%-1.59M
0.63%-2.84M
67.14%-954K
-46.44%2.11M
-72.95%-6.4M
-38.85%-4.58M
-40.52%-2.86M
-10.13%-2.9M
Other non cash items
-92.47%11K
-1,793.71%-8.89M
425.49%1.34M
-9,482.30%-10.6M
397.78%224K
30.36%146K
-44.15%525K
129.73%255K
-59.50%113K
-87.11%45K
Change In working capital
-62.56%-75.49M
-2,267.14%-123.75M
-115.57%-1.25M
-1,544.72%-53.55M
-130.48%-22.52M
-21,600.47%-46.44M
88.80%-5.23M
431.94%8.01M
66.03%-3.26M
56.37%-9.77M
-Change in receivables
-40.68%-31.82M
-121.10%-49.6M
-105.30%-3.72M
-119.71%-27.07M
341.61%3.8M
-236.18%-22.62M
-300.79%-22.43M
-212.27%-1.81M
-334.23%-12.32M
-12.19%-1.57M
-Change in inventory
51.74%-8.07M
-3,059.36%-93.93M
17,624.32%12.97M
-107,978.95%-40.99M
-349.17%-49.18M
-218.16%-16.73M
111.48%3.17M
-110.07%-74K
100.45%38K
50.86%-10.95M
-Change in prepaid assets
-276.82%-30.5M
-124.75%-55.18M
51.92%-4.49M
-316.48%-23.61M
-201.67%-19M
-148.43%-8.09M
-132.62%-24.55M
-373.60%-9.33M
-156.94%-5.67M
-937.37%-6.3M
-Change in payables and accrued expense
-254.27%-3.11M
88.89%81.22M
-117.26%-3.52M
150.58%39.62M
320.88%43.1M
158.51%2.01M
2,770.16%43M
831.25%20.39M
204.84%15.81M
564.50%10.24M
-Change in other current liabilities
-96.55%-2M
-41.86%-6.26M
-115.11%-2.49M
-34.67%-1.51M
-4.71%-1.25M
-7.41%-1.02M
-0.82%-4.41M
-9.04%-1.16M
13.66%-1.12M
-18.88%-1.19M
Cash from discontinued investing activities
Operating cash flow
-94.51%1.28M
-30.16%71.15M
12.57%37.02M
-166.00%-17.13M
123.90%27.92M
-23.62%23.35M
422.13%101.88M
181.36%32.88M
268.05%25.96M
285.59%12.47M
Investing cash flow
Cash flow from continuing investing activities
-42.69%-879K
-16,421.18%-284.66M
-4,772.37%-3.7M
-29,227.60%-279.49M
-87.42%-849K
-155.60%-616K
64.24%-1.72M
65.77%-76K
-0.63%-953K
65.50%-453K
Net PPE purchase and sale
-27.60%-786K
-402.55%-8.66M
-3,419.74%-2.68M
-374.19%-4.52M
-87.42%-849K
-155.60%-616K
64.24%-1.72M
65.77%-76K
-0.63%-953K
65.50%-453K
Net business purchase and sale
----
---274.97M
--0
----
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----
--0
--0
----
----
Net investment purchase and sale
----
---1.03M
----
----
----
----
--0
----
----
----
Net other investing changes
---93K
----
----
----
----
----
----
----
----
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Cash from discontinued investing activities
Investing cash flow
-42.69%-879K
-16,421.18%-284.66M
-4,772.37%-3.7M
-29,227.60%-279.49M
-87.42%-849K
-155.60%-616K
64.24%-1.72M
65.77%-76K
-0.63%-953K
65.50%-453K
Financing cash flow
Cash flow from continuing financing activities
142.19%408K
983.86%200.95M
-111.15%-106K
975.06%203.87M
-275.81%-1.85M
32.94%-967K
21.90%-22.74M
195.00%951K
-56.26%-23.3M
107.71%1.05M
Net issuance payments of debt
--0
755.42%196.63M
-114.96%-2.69M
868.81%201.81M
0.00%-1.25M
0.00%-1.25M
-3.65%-30M
0.00%-1.25M
-78.21%-26.25M
91.23%-1.25M
Net common stock issuance
-4.33%464K
-30.94%5.56M
11.12%2.67M
-31.95%2.14M
-89.40%265K
24,150.00%485K
380.20%8.05M
444.44%2.4M
26,141.67%3.15M
228.65%2.5M
Net other financing activities
72.28%-56K
-57.49%-1.24M
56.50%-87K
57.36%-84K
-340.61%-868K
-4.12%-202K
57.24%-788K
-4.17%-200K
-2.60%-197K
-4.79%-197K
Cash from discontinued financing activities
Financing cash flow
142.19%408K
983.86%200.95M
-111.15%-106K
975.06%203.87M
-275.81%-1.85M
32.94%-967K
21.90%-22.74M
195.00%951K
-56.26%-23.3M
107.71%1.05M
Net cash flow
Beginning cash position
-10.43%108.18M
178.59%120.78M
-13.87%74.96M
96.63%167.76M
97.31%142.55M
178.59%120.78M
-24.95%43.35M
164.59%87.02M
104.63%85.32M
13.95%72.25M
Current changes in cash
-96.28%810K
-116.22%-12.56M
-1.63%33.21M
-5,543.19%-92.75M
92.93%25.21M
-24.65%21.77M
637.11%77.43M
222.60%33.76M
119.35%1.7M
160.20%13.07M
Effect of exchange rate changes
--41K
---34K
--22K
----
----
--0
--0
--0
----
----
End cash Position
-23.51%109.03M
-10.43%108.18M
-10.43%108.18M
-13.87%74.96M
96.63%167.76M
97.31%142.55M
178.59%120.78M
178.59%120.78M
164.59%87.02M
104.63%85.32M
Free cash flow
-97.82%495K
-37.60%62.5M
4.68%34.34M
-186.59%-21.65M
125.28%27.07M
-25.05%22.74M
581.59%100.16M
186.14%32.81M
309.53%25M
249.61%12.02M
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
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -94.51%1.28M-30.16%71.15M12.57%37.02M-166.00%-17.13M123.90%27.92M-23.62%23.35M422.13%101.88M181.36%32.88M268.05%25.96M285.59%12.47M
Net income from continuing operations -10.23%47.56M107.48%127.66M-10.58%14.53M40.74%26.89M184.12%33.27M266.14%52.98M182.64%61.53M944.09%16.25M207.45%19.11M104.58%11.71M
Operating gains losses -------------------------61.74%176K--0--------
Depreciation and amortization 97.52%11.13M62.03%35.91M105.82%11.67M120.18%11.94M24.72%6.67M-1.52%5.64M-18.16%22.16M-16.23%5.67M-22.20%5.42M-24.92%5.35M
Deferred tax 141.74%5.11M48.82%-3.28M65.26%-1.59M0.63%-2.84M67.14%-954K-46.44%2.11M-72.95%-6.4M-38.85%-4.58M-40.52%-2.86M-10.13%-2.9M
Other non cash items -92.47%11K-1,793.71%-8.89M425.49%1.34M-9,482.30%-10.6M397.78%224K30.36%146K-44.15%525K129.73%255K-59.50%113K-87.11%45K
Change In working capital -62.56%-75.49M-2,267.14%-123.75M-115.57%-1.25M-1,544.72%-53.55M-130.48%-22.52M-21,600.47%-46.44M88.80%-5.23M431.94%8.01M66.03%-3.26M56.37%-9.77M
-Change in receivables -40.68%-31.82M-121.10%-49.6M-105.30%-3.72M-119.71%-27.07M341.61%3.8M-236.18%-22.62M-300.79%-22.43M-212.27%-1.81M-334.23%-12.32M-12.19%-1.57M
-Change in inventory 51.74%-8.07M-3,059.36%-93.93M17,624.32%12.97M-107,978.95%-40.99M-349.17%-49.18M-218.16%-16.73M111.48%3.17M-110.07%-74K100.45%38K50.86%-10.95M
-Change in prepaid assets -276.82%-30.5M-124.75%-55.18M51.92%-4.49M-316.48%-23.61M-201.67%-19M-148.43%-8.09M-132.62%-24.55M-373.60%-9.33M-156.94%-5.67M-937.37%-6.3M
-Change in payables and accrued expense -254.27%-3.11M88.89%81.22M-117.26%-3.52M150.58%39.62M320.88%43.1M158.51%2.01M2,770.16%43M831.25%20.39M204.84%15.81M564.50%10.24M
-Change in other current liabilities -96.55%-2M-41.86%-6.26M-115.11%-2.49M-34.67%-1.51M-4.71%-1.25M-7.41%-1.02M-0.82%-4.41M-9.04%-1.16M13.66%-1.12M-18.88%-1.19M
Cash from discontinued investing activities
Operating cash flow -94.51%1.28M-30.16%71.15M12.57%37.02M-166.00%-17.13M123.90%27.92M-23.62%23.35M422.13%101.88M181.36%32.88M268.05%25.96M285.59%12.47M
Investing cash flow
Cash flow from continuing investing activities -42.69%-879K-16,421.18%-284.66M-4,772.37%-3.7M-29,227.60%-279.49M-87.42%-849K-155.60%-616K64.24%-1.72M65.77%-76K-0.63%-953K65.50%-453K
Net PPE purchase and sale -27.60%-786K-402.55%-8.66M-3,419.74%-2.68M-374.19%-4.52M-87.42%-849K-155.60%-616K64.24%-1.72M65.77%-76K-0.63%-953K65.50%-453K
Net business purchase and sale -------274.97M--0--------------0--0--------
Net investment purchase and sale -------1.03M------------------0------------
Net other investing changes ---93K------------------------------------
Cash from discontinued investing activities
Investing cash flow -42.69%-879K-16,421.18%-284.66M-4,772.37%-3.7M-29,227.60%-279.49M-87.42%-849K-155.60%-616K64.24%-1.72M65.77%-76K-0.63%-953K65.50%-453K
Financing cash flow
Cash flow from continuing financing activities 142.19%408K983.86%200.95M-111.15%-106K975.06%203.87M-275.81%-1.85M32.94%-967K21.90%-22.74M195.00%951K-56.26%-23.3M107.71%1.05M
Net issuance payments of debt --0755.42%196.63M-114.96%-2.69M868.81%201.81M0.00%-1.25M0.00%-1.25M-3.65%-30M0.00%-1.25M-78.21%-26.25M91.23%-1.25M
Net common stock issuance -4.33%464K-30.94%5.56M11.12%2.67M-31.95%2.14M-89.40%265K24,150.00%485K380.20%8.05M444.44%2.4M26,141.67%3.15M228.65%2.5M
Net other financing activities 72.28%-56K-57.49%-1.24M56.50%-87K57.36%-84K-340.61%-868K-4.12%-202K57.24%-788K-4.17%-200K-2.60%-197K-4.79%-197K
Cash from discontinued financing activities
Financing cash flow 142.19%408K983.86%200.95M-111.15%-106K975.06%203.87M-275.81%-1.85M32.94%-967K21.90%-22.74M195.00%951K-56.26%-23.3M107.71%1.05M
Net cash flow
Beginning cash position -10.43%108.18M178.59%120.78M-13.87%74.96M96.63%167.76M97.31%142.55M178.59%120.78M-24.95%43.35M164.59%87.02M104.63%85.32M13.95%72.25M
Current changes in cash -96.28%810K-116.22%-12.56M-1.63%33.21M-5,543.19%-92.75M92.93%25.21M-24.65%21.77M637.11%77.43M222.60%33.76M119.35%1.7M160.20%13.07M
Effect of exchange rate changes --41K---34K--22K----------0--0--0--------
End cash Position -23.51%109.03M-10.43%108.18M-10.43%108.18M-13.87%74.96M96.63%167.76M97.31%142.55M178.59%120.78M178.59%120.78M164.59%87.02M104.63%85.32M
Free cash flow -97.82%495K-37.60%62.5M4.68%34.34M-186.59%-21.65M125.28%27.07M-25.05%22.74M581.59%100.16M186.14%32.81M309.53%25M249.61%12.02M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

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Price Target

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