US Stock MarketDetailed Quotes

FAT FAT Brands

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  • 7.230
  • +0.180+2.55%
Close Apr 19 16:00 ET
  • 7.430
  • +0.200+2.77%
Post 18:43 ET
122.66MMarket Cap-1235P/E (TTM)

FAT Brands Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 24, 2023
(Q2)Jun 30, 2023
(Q1)Mar 26, 2023
(FY)Dec 25, 2022
(Q4)Dec 25, 2022
(Q3)Sep 25, 2022
(Q2)Jun 30, 2022
(Q1)Mar 27, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
24.88%-35.61M
-16.46%-12.57M
78.06%-1.82M
44.65%-9.5M
-5.23%-11.72M
-7,050.00%-47.4M
-330.27%-10.8M
-997.73%-8.31M
-365.49%-17.16M
-793.50%-11.13M
Net income from continuing operations
28.59%-90.11M
62.95%-26.24M
-5.20%-24.66M
13.40%-7.09M
-35.24%-32.13M
-299.54%-126.19M
-261.54%-70.81M
-544.76%-23.44M
-38.05%-8.19M
-876.77%-23.76M
Operating gains losses
--2.4M
---326K
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----
----
----
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Depreciation and amortization
15.24%31.13M
42.87%9.91M
2.10%7.04M
6.66%7.06M
8.46%7.12M
218.80%27.02M
30.60%6.94M
190.07%6.9M
1,615.03%6.62M
1,548.49%6.56M
Deferred tax
-147.96%-8.38M
-158.41%-8.19M
-1,281.32%-2.15M
350.53%847K
-63.53%1.12M
427.21%17.46M
818.13%14.03M
147.77%182K
109.36%188K
408.34%3.07M
Other non cash items
-15.84%13.59M
-86.53%1.34M
860.41%3.74M
11.49%3.54M
87.28%4.98M
129.63%16.15M
146.66%9.93M
-67.06%389K
285.09%3.18M
165.00%2.66M
Change In working capital
188.79%21.47M
737.03%17.88M
-132.72%-571K
89.87%-2.14M
421.56%6.31M
-270.69%-24.18M
-120.52%-2.81M
163.99%1.75M
-2,214.77%-21.16M
-364.06%-1.96M
-Change in receivables
151.28%12.57M
-158.19%-920K
165.06%6.22M
100.41%74K
412.32%7.19M
-421.06%-24.52M
194.00%1.58M
-487.65%-9.57M
-1,477.31%-17.93M
644.19%1.4M
-Change in inventory
---2.38M
---2.47M
-243.70%-582K
402.34%517K
166.24%155K
--0
--0
--405K
---171K
---234K
-Change in payables and accrued expense
284.85%14.33M
368.43%10.73M
-51.33%4.58M
-129.00%-902K
98.46%-74K
-81.65%3.72M
-123.27%-4M
519.76%9.41M
135.96%3.11M
-1,813.21%-4.8M
-Change in other current assets
-21,234.48%-6.13M
-319.35%-5.27M
192.73%1.81M
-90.80%-1.64M
-334.85%-1.03M
101.89%29K
414.12%2.4M
-13,126.67%-1.95M
27.20%-859K
10.58%439K
-Change in other current liabilities
134.29%2.34M
7,061.95%14.68M
-1,723.41%-11.45M
78.85%-1.2M
143.09%315K
-946.86%-6.84M
135.71%205K
---628K
---5.68M
---731K
-Change in other working capital
-78.59%732K
137.56%1.13M
-128.25%-1.15M
165.96%1.01M
-112.72%-249K
345.18%3.42M
-529.83%-3M
388.74%4.08M
345.88%379K
504.01%1.96M
Cash from discontinued investing activities
Operating cash flow
24.88%-35.61M
-16.46%-12.57M
78.06%-1.82M
44.65%-9.5M
-5.23%-11.72M
-7,050.00%-47.4M
-330.27%-10.8M
-997.73%-8.31M
-365.49%-17.16M
-793.50%-11.13M
Investing cash flow
Cash flow from continuing investing activities
-378.55%-59.81M
-2,445.51%-45.46M
-187.71%-7.47M
39.23%-4.92M
47.57%-1.96M
98.27%-12.5M
100.51%1.94M
99.25%-2.6M
-1,120.15%-8.1M
-552.71%-3.74M
Net PPE purchase and sale
-64.50%-18.9M
-392.62%-5.47M
-125.94%-6.4M
26.03%-5M
46.13%-2.03M
-85.60%-11.49M
141.28%1.87M
-602.98%-2.83M
-885.84%-6.75M
-557.94%-3.77M
Net intangibles purchase and sale
-48.97%-2.61M
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----
----
---1.75M
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----
----
Net business purchase and sale
-3,676.61%-38.6M
-2,240.40%-37.46M
---1.14M
----
----
99.86%-1.02M
100.47%1.75M
--0
----
----
Net other investing changes
-83.26%295K
11.59%77K
-68.49%75K
-94.88%73K
133.33%70K
884.36%1.76M
-45.24%69K
1,387.50%238K
--1.43M
--30K
Cash from discontinued investing activities
Investing cash flow
-378.55%-59.81M
-2,445.51%-45.46M
-187.71%-7.47M
39.23%-4.92M
47.57%-1.96M
98.27%-12.5M
100.51%1.94M
99.25%-2.6M
-1,120.15%-8.1M
-552.71%-3.74M
Financing cash flow
Cash flow from continuing financing activities
312.53%118.55M
-28.52%11.09M
253.29%76.25M
74.19%-996K
814.53%32.2M
-96.47%28.74M
-96.38%15.52M
-93.56%21.58M
-107.42%-3.86M
-844.86%-4.51M
Net issuance payments of debt
188.36%128.74M
-31.59%12.95M
206.35%78.22M
2,736.36%1.74M
13,900.00%35.84M
-94.42%44.65M
-95.44%18.93M
-92.44%25.53M
-100.14%-66K
172.52%256K
Net common stock issuance
787.18%6.16M
305.55%2.34M
6,267.65%2.17M
30,225.00%1.21M
455.70%439K
--694K
--577K
--34K
--4K
--79K
Cash dividends paid
1.54%-16.35M
-5.30%-4.19M
-3.72%-4.13M
-4.00%-3.95M
15.84%-4.08M
-24.74%-16.6M
23.24%-3.98M
-8.29%-3.98M
0.26%-3.8M
-657.75%-4.84M
Cash from discontinued financing activities
Financing cash flow
312.53%118.55M
-28.52%11.09M
253.29%76.25M
74.19%-996K
814.53%32.2M
-96.47%28.74M
-96.38%15.52M
-93.56%21.58M
-107.42%-3.86M
-844.86%-4.51M
Net cash flow
Beginning cash position
-31.18%68.76M
123.57%138.84M
39.77%71.88M
8.38%87.29M
-31.18%68.76M
1,285.67%99.92M
42.66%62.1M
-4.81%51.42M
--80.54M
--99.92M
Current changes in cash
174.27%23.14M
-804.29%-46.93M
527.27%66.96M
47.06%-15.42M
195.60%18.53M
-133.61%-31.16M
-88.18%6.66M
201.74%10.68M
---29.12M
---19.38M
End cash Position
33.65%91.9M
33.65%91.9M
123.57%138.84M
39.77%71.88M
8.38%87.29M
-31.18%68.76M
-31.18%68.76M
42.66%62.1M
--51.42M
--80.54M
Free cash flow
19.07%-57.11M
-0.18%-20.65M
26.21%-8.23M
39.39%-14.49M
7.76%-13.75M
-624.54%-70.57M
-406.02%-20.61M
-2,231.17%-11.15M
-447.04%-23.91M
-719.30%-14.9M
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
--
--
--
--
--
--
--
--
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 24, 2023(Q2)Jun 30, 2023(Q1)Mar 26, 2023(FY)Dec 25, 2022(Q4)Dec 25, 2022(Q3)Sep 25, 2022(Q2)Jun 30, 2022(Q1)Mar 27, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 24.88%-35.61M-16.46%-12.57M78.06%-1.82M44.65%-9.5M-5.23%-11.72M-7,050.00%-47.4M-330.27%-10.8M-997.73%-8.31M-365.49%-17.16M-793.50%-11.13M
Net income from continuing operations 28.59%-90.11M62.95%-26.24M-5.20%-24.66M13.40%-7.09M-35.24%-32.13M-299.54%-126.19M-261.54%-70.81M-544.76%-23.44M-38.05%-8.19M-876.77%-23.76M
Operating gains losses --2.4M---326K--------------------------------
Depreciation and amortization 15.24%31.13M42.87%9.91M2.10%7.04M6.66%7.06M8.46%7.12M218.80%27.02M30.60%6.94M190.07%6.9M1,615.03%6.62M1,548.49%6.56M
Deferred tax -147.96%-8.38M-158.41%-8.19M-1,281.32%-2.15M350.53%847K-63.53%1.12M427.21%17.46M818.13%14.03M147.77%182K109.36%188K408.34%3.07M
Other non cash items -15.84%13.59M-86.53%1.34M860.41%3.74M11.49%3.54M87.28%4.98M129.63%16.15M146.66%9.93M-67.06%389K285.09%3.18M165.00%2.66M
Change In working capital 188.79%21.47M737.03%17.88M-132.72%-571K89.87%-2.14M421.56%6.31M-270.69%-24.18M-120.52%-2.81M163.99%1.75M-2,214.77%-21.16M-364.06%-1.96M
-Change in receivables 151.28%12.57M-158.19%-920K165.06%6.22M100.41%74K412.32%7.19M-421.06%-24.52M194.00%1.58M-487.65%-9.57M-1,477.31%-17.93M644.19%1.4M
-Change in inventory ---2.38M---2.47M-243.70%-582K402.34%517K166.24%155K--0--0--405K---171K---234K
-Change in payables and accrued expense 284.85%14.33M368.43%10.73M-51.33%4.58M-129.00%-902K98.46%-74K-81.65%3.72M-123.27%-4M519.76%9.41M135.96%3.11M-1,813.21%-4.8M
-Change in other current assets -21,234.48%-6.13M-319.35%-5.27M192.73%1.81M-90.80%-1.64M-334.85%-1.03M101.89%29K414.12%2.4M-13,126.67%-1.95M27.20%-859K10.58%439K
-Change in other current liabilities 134.29%2.34M7,061.95%14.68M-1,723.41%-11.45M78.85%-1.2M143.09%315K-946.86%-6.84M135.71%205K---628K---5.68M---731K
-Change in other working capital -78.59%732K137.56%1.13M-128.25%-1.15M165.96%1.01M-112.72%-249K345.18%3.42M-529.83%-3M388.74%4.08M345.88%379K504.01%1.96M
Cash from discontinued investing activities
Operating cash flow 24.88%-35.61M-16.46%-12.57M78.06%-1.82M44.65%-9.5M-5.23%-11.72M-7,050.00%-47.4M-330.27%-10.8M-997.73%-8.31M-365.49%-17.16M-793.50%-11.13M
Investing cash flow
Cash flow from continuing investing activities -378.55%-59.81M-2,445.51%-45.46M-187.71%-7.47M39.23%-4.92M47.57%-1.96M98.27%-12.5M100.51%1.94M99.25%-2.6M-1,120.15%-8.1M-552.71%-3.74M
Net PPE purchase and sale -64.50%-18.9M-392.62%-5.47M-125.94%-6.4M26.03%-5M46.13%-2.03M-85.60%-11.49M141.28%1.87M-602.98%-2.83M-885.84%-6.75M-557.94%-3.77M
Net intangibles purchase and sale -48.97%-2.61M-------------------1.75M----------------
Net business purchase and sale -3,676.61%-38.6M-2,240.40%-37.46M---1.14M--------99.86%-1.02M100.47%1.75M--0--------
Net other investing changes -83.26%295K11.59%77K-68.49%75K-94.88%73K133.33%70K884.36%1.76M-45.24%69K1,387.50%238K--1.43M--30K
Cash from discontinued investing activities
Investing cash flow -378.55%-59.81M-2,445.51%-45.46M-187.71%-7.47M39.23%-4.92M47.57%-1.96M98.27%-12.5M100.51%1.94M99.25%-2.6M-1,120.15%-8.1M-552.71%-3.74M
Financing cash flow
Cash flow from continuing financing activities 312.53%118.55M-28.52%11.09M253.29%76.25M74.19%-996K814.53%32.2M-96.47%28.74M-96.38%15.52M-93.56%21.58M-107.42%-3.86M-844.86%-4.51M
Net issuance payments of debt 188.36%128.74M-31.59%12.95M206.35%78.22M2,736.36%1.74M13,900.00%35.84M-94.42%44.65M-95.44%18.93M-92.44%25.53M-100.14%-66K172.52%256K
Net common stock issuance 787.18%6.16M305.55%2.34M6,267.65%2.17M30,225.00%1.21M455.70%439K--694K--577K--34K--4K--79K
Cash dividends paid 1.54%-16.35M-5.30%-4.19M-3.72%-4.13M-4.00%-3.95M15.84%-4.08M-24.74%-16.6M23.24%-3.98M-8.29%-3.98M0.26%-3.8M-657.75%-4.84M
Cash from discontinued financing activities
Financing cash flow 312.53%118.55M-28.52%11.09M253.29%76.25M74.19%-996K814.53%32.2M-96.47%28.74M-96.38%15.52M-93.56%21.58M-107.42%-3.86M-844.86%-4.51M
Net cash flow
Beginning cash position -31.18%68.76M123.57%138.84M39.77%71.88M8.38%87.29M-31.18%68.76M1,285.67%99.92M42.66%62.1M-4.81%51.42M--80.54M--99.92M
Current changes in cash 174.27%23.14M-804.29%-46.93M527.27%66.96M47.06%-15.42M195.60%18.53M-133.61%-31.16M-88.18%6.66M201.74%10.68M---29.12M---19.38M
End cash Position 33.65%91.9M33.65%91.9M123.57%138.84M39.77%71.88M8.38%87.29M-31.18%68.76M-31.18%68.76M42.66%62.1M--51.42M--80.54M
Free cash flow 19.07%-57.11M-0.18%-20.65M26.21%-8.23M39.39%-14.49M7.76%-13.75M-624.54%-70.57M-406.02%-20.61M-2,231.17%-11.15M-447.04%-23.91M-719.30%-14.9M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------

Analysis

Analyst Rating

No Data

Price Target

No Data

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