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FTCH Farfetch

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1.200 +0.020+1.69% Close 12/06 16:00 ET
1.190-0.010-0.83% Post 18:37 ET
1.240High1.070Low16.00MVolume

Farfetch Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
179.56%47.88M
53.77%-155.68M
-90.18%-536.6M
-114.43%-18.41M
-74.49%-121.29M
-3.35%-60.18M
-19.42%-336.72M
-342.58%-282.15M
-36.53%127.55M
-114.58%-69.51M
Net income from continuing operations
-36.21%-228.3M
-10.73%-178.13M
-77.89%-847.16M
-194.95%-300.19M
-106.63%-218.48M
-11.52%-167.62M
-35.85%-160.88M
23.16%-476.24M
54.75%-101.78M
28.08%-105.74M
Operating gains losses
-7.74%68.12M
-27.41%48.07M
32.01%290.33M
15.39%68.22M
32.82%82.05M
35.14%73.84M
49.16%66.23M
30.64%219.93M
35.27%59.12M
27.46%61.78M
Depreciation and amortization
11.99%90.22M
7.30%87.44M
32.48%332.78M
23.38%85.97M
30.77%84.75M
28.44%80.56M
50.94%81.5M
15.64%251.2M
15.87%69.68M
20.00%64.81M
Change In working capital
342.99%104.66M
65.27%-112.34M
-66.39%-412.01M
-51.63%45.44M
-35.76%-90.95M
-223.27%-43.07M
-23.81%-323.42M
-165.80%-247.61M
-67.88%93.93M
-224.24%-67M
-Change in receivables
137.71%11.91M
55.75%-20.34M
36.81%-95.48M
15.61%-14.3M
86.34%-3.63M
7.68%-31.57M
37.36%-45.98M
-774.15%-151.11M
-21.79%-16.95M
-204.90%-26.57M
-Change in inventory
-7,366.89%-88M
102.81%1.23M
18.34%-85.61M
36.97%-27.37M
-307.41%-15.73M
103.80%1.21M
-70.40%-43.72M
-536.50%-104.84M
-149.11%-43.43M
64.78%-3.86M
-Change in payables and accrued expense
822.06%191.44M
46.70%-89.09M
-163.97%-73.58M
-41.22%110.47M
-2,294.60%-37.67M
-51.51%20.76M
-46.41%-167.15M
-58.99%115.03M
-21.36%187.95M
-191.51%-1.57M
-Change in other current liabilities
-213.40%-14.97M
118.42%7.45M
-19.59%-52.89M
-57.93%-8.23M
106.35%563K
-274.79%-4.78M
-23.02%-40.45M
-174.16%-44.23M
-111.87%-5.21M
-198.29%-8.87M
-Change in other working capital
114.96%4.29M
55.65%-11.59M
-67.21%-104.45M
46.77%-15.13M
-32.05%-34.49M
-497.81%-28.7M
-72.70%-26.13M
-189.30%-62.47M
-169.54%-28.43M
-190.65%-26.12M
Cash from discontinued investing activities
Operating cash flow
179.56%47.88M
53.77%-155.68M
-90.18%-536.6M
-114.43%-18.41M
-74.49%-121.29M
-3.35%-60.18M
-19.42%-336.72M
-342.58%-282.15M
-36.53%127.55M
-114.58%-69.51M
Investing cash flow
Cash flow from continuing investing activities
80.41%-54.62M
26.74%-54.85M
-4.14%-344.34M
45.35%-36.84M
150.47%46.2M
-108.99%-278.82M
-95.57%-74.87M
-149.29%-330.66M
-73.31%-67.42M
-216.98%-91.54M
Net PPE purchase and sale
14.90%-5.86M
-42.56%-6.97M
23.09%-22.19M
87.25%-1.03M
-2.79%-9.39M
-10.15%-6.88M
9.05%-4.89M
-7.51%-28.85M
19.89%-8.1M
-19.74%-9.13M
Net intangibles purchase and sale
-12.47%-49.9M
-56.01%-40.01M
11.35%-148.68M
-6.33%-39.07M
49.36%-39.6M
-58.27%-44.36M
-3.69%-25.65M
-78.21%-167.71M
-28.56%-36.74M
-248.74%-78.2M
Net business purchase and sale
87.00%-3.19M
66.61%-15.18M
-170.60%-73.86M
--0
2.00%-3.87M
---24.52M
---45.47M
-127.16%-27.3M
---23.34M
---3.95M
Net investment purchase and sale
----
----
1.16%-108.52M
31.30%-472K
--97.02M
----
----
-3,722.91%-109.79M
---687K
--0
Cash from discontinued investing activities
Investing cash flow
80.41%-54.62M
26.74%-54.85M
-4.14%-344.34M
45.35%-36.84M
150.47%46.2M
-108.99%-278.82M
-95.57%-74.87M
-149.29%-330.66M
-73.31%-67.42M
-216.98%-91.54M
Financing cash flow
Cash flow from continuing financing activities
-71.86%-39.62M
-109.46%-30.32M
-36.57%256.98M
798.19%303.74M
-102.01%-9.23M
-88.70%-23.05M
-760.61%-14.47M
-67.87%405.14M
-106.74%-43.5M
2,943.21%458.67M
Net issuance payments of debt
-26.96%-10.85M
-48.70%-12.04M
1,253.00%302.68M
4,294.02%326.71M
-23.62%-7.4M
-24.81%-8.54M
-43.80%-8.1M
-102.15%-26.25M
-101.31%-7.79M
-25.52%-5.99M
Net common stock issuance
----
----
--0
----
----
----
----
--0
----
----
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Proceeds from stock option exercised by employees
-333.18%-1.04M
--0
-106.07%-1.86M
-99.08%52K
69.60%1.1M
-96.06%446K
-126.44%-3.46M
-51.17%30.71M
-83.92%5.66M
-97.21%648K
Net other financing activities
---6.07M
---4.75M
-103.95%-17.13M
58.77%-12.74M
--0
----
----
2,212.94%433.47M
---30.9M
--468.64M
Cash from discontinued financing activities
Financing cash flow
-71.86%-39.62M
-109.46%-30.32M
-36.57%256.98M
798.19%303.74M
-102.01%-9.23M
-88.70%-23.05M
-760.61%-14.47M
-67.87%405.14M
-106.74%-43.5M
2,943.21%458.67M
Net cash flow
Beginning cash position
-48.19%485.92M
-46.14%734.22M
-13.37%1.36B
-63.89%487.39M
-45.12%575.57M
-24.82%937.97M
-13.37%1.36B
387.99%1.57B
78.36%1.35B
30.75%1.05B
Current changes in cash
87.20%-46.36M
43.47%-240.84M
-200.46%-623.95M
1,394.33%248.49M
-128.33%-84.32M
-77.60%-362.06M
-33.96%-426.07M
-116.68%-207.67M
-97.94%16.63M
744.17%297.62M
Effect of exchange rate changes
4,317.46%14.26M
-921.26%-7.46M
-88.84%-4.96M
48.14%-1.66M
-216.09%-3.87M
-106.72%-338K
111.66%908K
-141.81%-2.63M
-134.41%-3.2M
315.46%3.33M
End cash Position
-21.15%453.82M
-48.19%485.92M
-46.14%734.22M
-46.14%734.22M
-63.89%487.39M
-45.12%575.57M
-24.82%937.97M
-13.37%1.36B
-13.37%1.36B
78.36%1.35B
Free cash flow
92.94%-7.87M
44.82%-202.67M
-47.78%-707.47M
-170.74%-58.51M
-8.56%-170.27M
-20.45%-111.43M
-17.68%-367.26M
-10,241.65%-478.72M
-49.03%82.71M
-151.17%-156.84M
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 with Explanatory Notes
--
--
(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 179.56%47.88M53.77%-155.68M-90.18%-536.6M-114.43%-18.41M-74.49%-121.29M-3.35%-60.18M-19.42%-336.72M-342.58%-282.15M-36.53%127.55M-114.58%-69.51M
Net income from continuing operations -36.21%-228.3M-10.73%-178.13M-77.89%-847.16M-194.95%-300.19M-106.63%-218.48M-11.52%-167.62M-35.85%-160.88M23.16%-476.24M54.75%-101.78M28.08%-105.74M
Operating gains losses -7.74%68.12M-27.41%48.07M32.01%290.33M15.39%68.22M32.82%82.05M35.14%73.84M49.16%66.23M30.64%219.93M35.27%59.12M27.46%61.78M
Depreciation and amortization 11.99%90.22M7.30%87.44M32.48%332.78M23.38%85.97M30.77%84.75M28.44%80.56M50.94%81.5M15.64%251.2M15.87%69.68M20.00%64.81M
Change In working capital 342.99%104.66M65.27%-112.34M-66.39%-412.01M-51.63%45.44M-35.76%-90.95M-223.27%-43.07M-23.81%-323.42M-165.80%-247.61M-67.88%93.93M-224.24%-67M
-Change in receivables 137.71%11.91M55.75%-20.34M36.81%-95.48M15.61%-14.3M86.34%-3.63M7.68%-31.57M37.36%-45.98M-774.15%-151.11M-21.79%-16.95M-204.90%-26.57M
-Change in inventory -7,366.89%-88M102.81%1.23M18.34%-85.61M36.97%-27.37M-307.41%-15.73M103.80%1.21M-70.40%-43.72M-536.50%-104.84M-149.11%-43.43M64.78%-3.86M
-Change in payables and accrued expense 822.06%191.44M46.70%-89.09M-163.97%-73.58M-41.22%110.47M-2,294.60%-37.67M-51.51%20.76M-46.41%-167.15M-58.99%115.03M-21.36%187.95M-191.51%-1.57M
-Change in other current liabilities -213.40%-14.97M118.42%7.45M-19.59%-52.89M-57.93%-8.23M106.35%563K-274.79%-4.78M-23.02%-40.45M-174.16%-44.23M-111.87%-5.21M-198.29%-8.87M
-Change in other working capital 114.96%4.29M55.65%-11.59M-67.21%-104.45M46.77%-15.13M-32.05%-34.49M-497.81%-28.7M-72.70%-26.13M-189.30%-62.47M-169.54%-28.43M-190.65%-26.12M
Cash from discontinued investing activities
Operating cash flow 179.56%47.88M53.77%-155.68M-90.18%-536.6M-114.43%-18.41M-74.49%-121.29M-3.35%-60.18M-19.42%-336.72M-342.58%-282.15M-36.53%127.55M-114.58%-69.51M
Investing cash flow
Cash flow from continuing investing activities 80.41%-54.62M26.74%-54.85M-4.14%-344.34M45.35%-36.84M150.47%46.2M-108.99%-278.82M-95.57%-74.87M-149.29%-330.66M-73.31%-67.42M-216.98%-91.54M
Net PPE purchase and sale 14.90%-5.86M-42.56%-6.97M23.09%-22.19M87.25%-1.03M-2.79%-9.39M-10.15%-6.88M9.05%-4.89M-7.51%-28.85M19.89%-8.1M-19.74%-9.13M
Net intangibles purchase and sale -12.47%-49.9M-56.01%-40.01M11.35%-148.68M-6.33%-39.07M49.36%-39.6M-58.27%-44.36M-3.69%-25.65M-78.21%-167.71M-28.56%-36.74M-248.74%-78.2M
Net business purchase and sale 87.00%-3.19M66.61%-15.18M-170.60%-73.86M--02.00%-3.87M---24.52M---45.47M-127.16%-27.3M---23.34M---3.95M
Net investment purchase and sale --------1.16%-108.52M31.30%-472K--97.02M---------3,722.91%-109.79M---687K--0
Cash from discontinued investing activities
Investing cash flow 80.41%-54.62M26.74%-54.85M-4.14%-344.34M45.35%-36.84M150.47%46.2M-108.99%-278.82M-95.57%-74.87M-149.29%-330.66M-73.31%-67.42M-216.98%-91.54M
Financing cash flow
Cash flow from continuing financing activities -71.86%-39.62M-109.46%-30.32M-36.57%256.98M798.19%303.74M-102.01%-9.23M-88.70%-23.05M-760.61%-14.47M-67.87%405.14M-106.74%-43.5M2,943.21%458.67M
Net issuance payments of debt -26.96%-10.85M-48.70%-12.04M1,253.00%302.68M4,294.02%326.71M-23.62%-7.4M-24.81%-8.54M-43.80%-8.1M-102.15%-26.25M-101.31%-7.79M-25.52%-5.99M
Net common stock issuance ----------0------------------0--------
Cash dividends paid --0--0--0--0--0--0--0--0--0--0
Proceeds from stock option exercised by employees -333.18%-1.04M--0-106.07%-1.86M-99.08%52K69.60%1.1M-96.06%446K-126.44%-3.46M-51.17%30.71M-83.92%5.66M-97.21%648K
Net other financing activities ---6.07M---4.75M-103.95%-17.13M58.77%-12.74M--0--------2,212.94%433.47M---30.9M--468.64M
Cash from discontinued financing activities
Financing cash flow -71.86%-39.62M-109.46%-30.32M-36.57%256.98M798.19%303.74M-102.01%-9.23M-88.70%-23.05M-760.61%-14.47M-67.87%405.14M-106.74%-43.5M2,943.21%458.67M
Net cash flow
Beginning cash position -48.19%485.92M-46.14%734.22M-13.37%1.36B-63.89%487.39M-45.12%575.57M-24.82%937.97M-13.37%1.36B387.99%1.57B78.36%1.35B30.75%1.05B
Current changes in cash 87.20%-46.36M43.47%-240.84M-200.46%-623.95M1,394.33%248.49M-128.33%-84.32M-77.60%-362.06M-33.96%-426.07M-116.68%-207.67M-97.94%16.63M744.17%297.62M
Effect of exchange rate changes 4,317.46%14.26M-921.26%-7.46M-88.84%-4.96M48.14%-1.66M-216.09%-3.87M-106.72%-338K111.66%908K-141.81%-2.63M-134.41%-3.2M315.46%3.33M
End cash Position -21.15%453.82M-48.19%485.92M-46.14%734.22M-46.14%734.22M-63.89%487.39M-45.12%575.57M-24.82%937.97M-13.37%1.36B-13.37%1.36B78.36%1.35B
Free cash flow 92.94%-7.87M44.82%-202.67M-47.78%-707.47M-170.74%-58.51M-8.56%-170.27M-20.45%-111.43M-17.68%-367.26M-10,241.65%-478.72M-49.03%82.71M-151.17%-156.84M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion with Explanatory Notes----
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Direction
Buy
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Types
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