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FRGAP Franchise Group Inc

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  • 25.150
  • 0.0000.00%
Trading Aug 22 16:00 ET
0Market Cap0.00P/E (TTM)

Franchise Group Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jul 1, 2023
(Q1)Apr 1, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 24, 2022
(Q2)Jun 25, 2022
(Q1)Mar 26, 2022
(FY)Dec 25, 2021
(Q4)Dec 25, 2021
(Q3)Sep 25, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
11.81%106.26M
-34.31%98.27M
-72.40%80.78M
-72.40%80.78M
-54.41%72.93M
-42.55%95.04M
-9.26%149.6M
96.74%292.71M
96.74%292.71M
-11.09%159.97M
-Cash and cash equivalents
11.81%106.26M
-34.31%98.27M
-72.40%80.78M
-72.40%80.78M
-54.41%72.93M
-42.55%95.04M
-9.26%149.6M
96.74%292.71M
96.74%292.71M
-11.09%159.97M
Receivables
43.27%256M
37.47%151.72M
43.36%170.16M
43.36%170.16M
49.70%143.24M
120.40%178.69M
25.04%110.37M
76.28%118.7M
76.28%118.7M
13.54%95.69M
-Accounts receivable
31.77%213.9M
39.99%115.98M
66.79%143.58M
66.79%143.58M
6.06%101.49M
100.22%162.33M
15.89%82.85M
123.93%86.09M
123.93%86.09M
96.13%95.69M
-Notes receivable
67.40%2.06M
46.81%2.21M
31.53%2.21M
31.53%2.21M
--1.16M
--1.23M
-5.88%1.51M
-89.11%1.68M
-89.11%1.68M
----
-Accrued interest receivable
----
----
--0
--0
----
--52K
--55K
-35.71%54K
-35.71%54K
----
-Taxes receivable
75.82%48.25M
34.71%36.57M
-12.71%28.33M
-12.71%28.33M
--41.81M
--27.44M
75.10%27.15M
137.71%32.45M
137.71%32.45M
----
-Recievables adjustments allowances
33.67%-8.2M
-155.29%-3.04M
-151.65%-3.96M
-151.65%-3.96M
---1.22M
---12.37M
-259.52%-1.19M
-455.48%-1.57M
-455.48%-1.57M
----
Inventory
-9.53%746.75M
-2.49%759.89M
9.46%736.84M
9.46%736.84M
48.45%792.06M
63.53%825.39M
74.02%779.28M
122.68%673.17M
122.68%673.17M
66.97%533.55M
Restricted cash
-40.43%191.83M
-24.95%290.37M
-20.74%292.91M
-20.74%292.91M
--341.08M
--322.03M
--386.89M
--369.57M
--369.57M
----
Other current assets
7.01%28.24M
4.25%29.61M
13.34%27.27M
13.34%27.27M
45.51%27.13M
22.41%26.39M
27.04%28.4M
71.92%24.06M
71.92%24.06M
-18.39%18.64M
Total current assets
-9.41%1.34B
-19.34%1.34B
-10.94%1.32B
-10.94%1.32B
71.47%1.39B
66.45%1.48B
92.46%1.66B
156.88%1.48B
156.88%1.48B
33.18%807.85M
Non current assets
Net PPE
3.34%1.13B
20.41%1.14B
-4.29%1.11B
-4.29%1.11B
29.28%1.11B
24.91%1.09B
8.99%950.88M
82.55%1.16B
82.55%1.16B
30.25%859.53M
-Gross PPE
3.34%1.13B
20.41%1.14B
1.11%1.28B
1.11%1.28B
29.28%1.11B
24.91%1.09B
8.99%950.88M
84.99%1.27B
84.99%1.27B
30.25%859.53M
-Accumulated depreciation
----
----
-61.59%-168.19M
-61.59%-168.19M
----
----
----
-117.44%-104.08M
-117.44%-104.08M
----
Goodwill and other intangible assets
-13.38%997.62M
-13.38%1B
-6.94%1.08B
-6.94%1.08B
-1.48%1.08B
4.76%1.15B
4.86%1.15B
107.32%1.16B
107.32%1.16B
78.19%1.1B
-Goodwill
-17.75%663.48M
-17.76%663.47M
-8.57%737.4M
-8.57%737.4M
-6.27%738.08M
2.47%806.65M
2.54%806.7M
79.93%806.54M
79.93%806.54M
67.62%787.44M
-Other intangible assets
-3.16%334.14M
-3.22%336.7M
-3.18%339.5M
-3.18%339.5M
10.74%342.08M
10.53%345.05M
10.65%347.91M
219.08%350.64M
219.08%350.64M
112.34%308.91M
Investments and advances
-75.50%5.98M
-16.07%9.76M
-67.13%11.59M
-67.13%11.59M
--13.26M
--24.39M
--11.63M
--35.25M
--35.25M
----
Long-term notes receivables
3.90%10.81M
-76.83%11.2M
-0.17%11.74M
-0.17%11.74M
----
--10.4M
--48.36M
--11.76M
--11.76M
----
Non current accounts receivable
----
----
----
----
-14.59%10.25M
----
-4.70%11.16M
----
----
--12M
Other non current assets
52.09%91.21M
458.02%103.67M
49.68%99.02M
49.68%99.02M
18.49%66.18M
318.44%59.97M
23.36%18.58M
4.11%66.15M
4.11%66.15M
281.69%55.86M
Total non current assets
-4.46%2.24B
3.40%2.27B
-4.97%2.31B
-4.97%2.31B
12.71%2.28B
16.92%2.34B
9.74%2.2B
91.36%2.43B
91.36%2.43B
54.97%2.02B
Total assets
-6.37%3.57B
-6.39%3.61B
-7.23%3.63B
-7.23%3.63B
29.48%3.67B
32.12%3.82B
34.64%3.85B
111.76%3.91B
111.76%3.91B
48.06%2.83B
Liabilities
Current liabilities
Current debt and capital lease obligation
6.58%533.59M
-8.68%603.88M
-20.14%526.48M
-20.14%526.48M
257.13%571.39M
193.90%500.64M
293.69%661.25M
185.29%659.27M
185.29%659.27M
-34.44%160M
-Current debt
9.92%354.34M
-12.98%424.63M
-28.63%346.96M
-28.63%346.96M
27,560.00%392.77M
2,692.47%322.36M
3,961.57%487.96M
367.23%486.17M
367.23%486.17M
-98.74%1.42M
-Current capital lease obligation
0.55%179.25M
3.43%179.25M
3.71%179.52M
3.71%179.52M
12.64%178.62M
12.27%178.28M
11.12%173.3M
36.27%173.1M
36.27%173.1M
20.42%158.58M
Other current liabilities
-16.42%34.83M
-20.53%40.98M
-20.25%40.54M
-20.25%40.54M
10.49%37.67M
-34.56%41.67M
-39.43%51.57M
-22.69%50.83M
-22.69%50.83M
-6.49%34.1M
Current liabilities
0.82%975.96M
-9.48%1.06B
-15.77%943.91M
-15.77%943.91M
82.34%1.01B
65.44%968.04M
98.05%1.17B
104.04%1.12B
104.04%1.12B
3.06%554.37M
Non current liabilities
Long term debt and capital lease obligation
16.05%2.3B
19.80%2.2B
13.48%2.2B
13.48%2.2B
26.45%2.01B
12.18%1.98B
4.47%1.84B
123.28%1.94B
123.28%1.94B
70.77%1.59B
-Long term debt
22.59%1.57B
13.64%1.46B
7.10%1.48B
7.10%1.48B
19.89%1.29B
2.90%1.28B
3.53%1.29B
196.34%1.38B
196.34%1.38B
107.79%1.07B
-Long term capital lease obligation
4.09%729.87M
34.17%741.17M
29.33%720.47M
29.33%720.47M
40.16%719.67M
34.33%701.19M
6.73%552.41M
38.48%557.07M
38.48%557.07M
24.44%513.46M
Other non current liabilities
-27.06%69.58M
-27.89%65.43M
-29.44%62.72M
-29.44%62.72M
101.85%103.68M
103.18%95.39M
96.37%90.74M
150.23%88.89M
150.23%88.89M
38.46%51.37M
Total non current liabilities
14.07%2.37B
17.56%2.27B
11.60%2.27B
11.60%2.27B
28.82%2.11B
14.54%2.08B
6.82%1.93B
122.18%2.03B
122.18%2.03B
69.53%1.64B
Total liabilities
9.86%3.35B
7.35%3.33B
1.86%3.21B
1.86%3.21B
42.35%3.12B
26.95%3.05B
29.32%3.1B
115.37%3.15B
115.37%3.15B
45.75%2.19B
Shareholders'equity
Share capital
-11.58%397K
-11.80%396K
-12.05%394K
-12.05%394K
-4.47%427K
0.45%449K
0.45%449K
8.21%448K
8.21%448K
8.23%447K
-common stock
-12.87%352K
-13.12%351K
-13.40%349K
-13.40%349K
-4.98%382K
0.50%404K
0.50%404K
0.50%403K
0.50%403K
0.25%402K
-Preferred stock
0.00%45K
0.00%45K
0.00%45K
0.00%45K
0.00%45K
0.00%45K
0.00%45K
246.15%45K
246.15%45K
275.00%45K
Retained earnings
-130.32%-85.62M
-112.16%-32.91M
-61.70%109.92M
-61.70%109.92M
-19.81%134.42M
1,233.71%282.35M
1,424,157.89%270.61M
7,514.41%286.99M
7,514.41%286.99M
600.59%167.63M
Paid-in capital
-36.09%310.65M
-35.47%310.16M
-34.57%311.07M
-34.57%311.07M
-12.83%410.91M
4.00%486.06M
3.56%480.63M
24.32%475.4M
24.32%475.4M
22.12%471.41M
Gains losses not affecting retained earnings
----
----
----
----
----
----
----
----
----
--0
Total stockholders'equity
-70.68%225.43M
-63.06%277.65M
-44.76%421.38M
-44.76%421.38M
-14.66%545.76M
57.55%768.85M
62.19%751.69M
98.05%762.83M
98.05%762.83M
56.53%639.48M
Noncontrolling interests
----
----
----
----
----
----
----
----
----
--0
Total equity
-70.68%225.43M
-63.06%277.65M
-44.76%421.38M
-44.76%421.38M
-14.66%545.76M
57.55%768.85M
62.19%751.69M
98.05%762.83M
98.05%762.83M
56.53%639.48M
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)Jul 1, 2023(Q1)Apr 1, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 24, 2022(Q2)Jun 25, 2022(Q1)Mar 26, 2022(FY)Dec 25, 2021(Q4)Dec 25, 2021(Q3)Sep 25, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 11.81%106.26M-34.31%98.27M-72.40%80.78M-72.40%80.78M-54.41%72.93M-42.55%95.04M-9.26%149.6M96.74%292.71M96.74%292.71M-11.09%159.97M
-Cash and cash equivalents 11.81%106.26M-34.31%98.27M-72.40%80.78M-72.40%80.78M-54.41%72.93M-42.55%95.04M-9.26%149.6M96.74%292.71M96.74%292.71M-11.09%159.97M
Receivables 43.27%256M37.47%151.72M43.36%170.16M43.36%170.16M49.70%143.24M120.40%178.69M25.04%110.37M76.28%118.7M76.28%118.7M13.54%95.69M
-Accounts receivable 31.77%213.9M39.99%115.98M66.79%143.58M66.79%143.58M6.06%101.49M100.22%162.33M15.89%82.85M123.93%86.09M123.93%86.09M96.13%95.69M
-Notes receivable 67.40%2.06M46.81%2.21M31.53%2.21M31.53%2.21M--1.16M--1.23M-5.88%1.51M-89.11%1.68M-89.11%1.68M----
-Accrued interest receivable ----------0--0------52K--55K-35.71%54K-35.71%54K----
-Taxes receivable 75.82%48.25M34.71%36.57M-12.71%28.33M-12.71%28.33M--41.81M--27.44M75.10%27.15M137.71%32.45M137.71%32.45M----
-Recievables adjustments allowances 33.67%-8.2M-155.29%-3.04M-151.65%-3.96M-151.65%-3.96M---1.22M---12.37M-259.52%-1.19M-455.48%-1.57M-455.48%-1.57M----
Inventory -9.53%746.75M-2.49%759.89M9.46%736.84M9.46%736.84M48.45%792.06M63.53%825.39M74.02%779.28M122.68%673.17M122.68%673.17M66.97%533.55M
Restricted cash -40.43%191.83M-24.95%290.37M-20.74%292.91M-20.74%292.91M--341.08M--322.03M--386.89M--369.57M--369.57M----
Other current assets 7.01%28.24M4.25%29.61M13.34%27.27M13.34%27.27M45.51%27.13M22.41%26.39M27.04%28.4M71.92%24.06M71.92%24.06M-18.39%18.64M
Total current assets -9.41%1.34B-19.34%1.34B-10.94%1.32B-10.94%1.32B71.47%1.39B66.45%1.48B92.46%1.66B156.88%1.48B156.88%1.48B33.18%807.85M
Non current assets
Net PPE 3.34%1.13B20.41%1.14B-4.29%1.11B-4.29%1.11B29.28%1.11B24.91%1.09B8.99%950.88M82.55%1.16B82.55%1.16B30.25%859.53M
-Gross PPE 3.34%1.13B20.41%1.14B1.11%1.28B1.11%1.28B29.28%1.11B24.91%1.09B8.99%950.88M84.99%1.27B84.99%1.27B30.25%859.53M
-Accumulated depreciation ---------61.59%-168.19M-61.59%-168.19M-------------117.44%-104.08M-117.44%-104.08M----
Goodwill and other intangible assets -13.38%997.62M-13.38%1B-6.94%1.08B-6.94%1.08B-1.48%1.08B4.76%1.15B4.86%1.15B107.32%1.16B107.32%1.16B78.19%1.1B
-Goodwill -17.75%663.48M-17.76%663.47M-8.57%737.4M-8.57%737.4M-6.27%738.08M2.47%806.65M2.54%806.7M79.93%806.54M79.93%806.54M67.62%787.44M
-Other intangible assets -3.16%334.14M-3.22%336.7M-3.18%339.5M-3.18%339.5M10.74%342.08M10.53%345.05M10.65%347.91M219.08%350.64M219.08%350.64M112.34%308.91M
Investments and advances -75.50%5.98M-16.07%9.76M-67.13%11.59M-67.13%11.59M--13.26M--24.39M--11.63M--35.25M--35.25M----
Long-term notes receivables 3.90%10.81M-76.83%11.2M-0.17%11.74M-0.17%11.74M------10.4M--48.36M--11.76M--11.76M----
Non current accounts receivable -----------------14.59%10.25M-----4.70%11.16M----------12M
Other non current assets 52.09%91.21M458.02%103.67M49.68%99.02M49.68%99.02M18.49%66.18M318.44%59.97M23.36%18.58M4.11%66.15M4.11%66.15M281.69%55.86M
Total non current assets -4.46%2.24B3.40%2.27B-4.97%2.31B-4.97%2.31B12.71%2.28B16.92%2.34B9.74%2.2B91.36%2.43B91.36%2.43B54.97%2.02B
Total assets -6.37%3.57B-6.39%3.61B-7.23%3.63B-7.23%3.63B29.48%3.67B32.12%3.82B34.64%3.85B111.76%3.91B111.76%3.91B48.06%2.83B
Liabilities
Current liabilities
Current debt and capital lease obligation 6.58%533.59M-8.68%603.88M-20.14%526.48M-20.14%526.48M257.13%571.39M193.90%500.64M293.69%661.25M185.29%659.27M185.29%659.27M-34.44%160M
-Current debt 9.92%354.34M-12.98%424.63M-28.63%346.96M-28.63%346.96M27,560.00%392.77M2,692.47%322.36M3,961.57%487.96M367.23%486.17M367.23%486.17M-98.74%1.42M
-Current capital lease obligation 0.55%179.25M3.43%179.25M3.71%179.52M3.71%179.52M12.64%178.62M12.27%178.28M11.12%173.3M36.27%173.1M36.27%173.1M20.42%158.58M
Other current liabilities -16.42%34.83M-20.53%40.98M-20.25%40.54M-20.25%40.54M10.49%37.67M-34.56%41.67M-39.43%51.57M-22.69%50.83M-22.69%50.83M-6.49%34.1M
Current liabilities 0.82%975.96M-9.48%1.06B-15.77%943.91M-15.77%943.91M82.34%1.01B65.44%968.04M98.05%1.17B104.04%1.12B104.04%1.12B3.06%554.37M
Non current liabilities
Long term debt and capital lease obligation 16.05%2.3B19.80%2.2B13.48%2.2B13.48%2.2B26.45%2.01B12.18%1.98B4.47%1.84B123.28%1.94B123.28%1.94B70.77%1.59B
-Long term debt 22.59%1.57B13.64%1.46B7.10%1.48B7.10%1.48B19.89%1.29B2.90%1.28B3.53%1.29B196.34%1.38B196.34%1.38B107.79%1.07B
-Long term capital lease obligation 4.09%729.87M34.17%741.17M29.33%720.47M29.33%720.47M40.16%719.67M34.33%701.19M6.73%552.41M38.48%557.07M38.48%557.07M24.44%513.46M
Other non current liabilities -27.06%69.58M-27.89%65.43M-29.44%62.72M-29.44%62.72M101.85%103.68M103.18%95.39M96.37%90.74M150.23%88.89M150.23%88.89M38.46%51.37M
Total non current liabilities 14.07%2.37B17.56%2.27B11.60%2.27B11.60%2.27B28.82%2.11B14.54%2.08B6.82%1.93B122.18%2.03B122.18%2.03B69.53%1.64B
Total liabilities 9.86%3.35B7.35%3.33B1.86%3.21B1.86%3.21B42.35%3.12B26.95%3.05B29.32%3.1B115.37%3.15B115.37%3.15B45.75%2.19B
Shareholders'equity
Share capital -11.58%397K-11.80%396K-12.05%394K-12.05%394K-4.47%427K0.45%449K0.45%449K8.21%448K8.21%448K8.23%447K
-common stock -12.87%352K-13.12%351K-13.40%349K-13.40%349K-4.98%382K0.50%404K0.50%404K0.50%403K0.50%403K0.25%402K
-Preferred stock 0.00%45K0.00%45K0.00%45K0.00%45K0.00%45K0.00%45K0.00%45K246.15%45K246.15%45K275.00%45K
Retained earnings -130.32%-85.62M-112.16%-32.91M-61.70%109.92M-61.70%109.92M-19.81%134.42M1,233.71%282.35M1,424,157.89%270.61M7,514.41%286.99M7,514.41%286.99M600.59%167.63M
Paid-in capital -36.09%310.65M-35.47%310.16M-34.57%311.07M-34.57%311.07M-12.83%410.91M4.00%486.06M3.56%480.63M24.32%475.4M24.32%475.4M22.12%471.41M
Gains losses not affecting retained earnings --------------------------------------0
Total stockholders'equity -70.68%225.43M-63.06%277.65M-44.76%421.38M-44.76%421.38M-14.66%545.76M57.55%768.85M62.19%751.69M98.05%762.83M98.05%762.83M56.53%639.48M
Noncontrolling interests --------------------------------------0
Total equity -70.68%225.43M-63.06%277.65M-44.76%421.38M-44.76%421.38M-14.66%545.76M57.55%768.85M62.19%751.69M98.05%762.83M98.05%762.83M56.53%639.48M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

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