EAT Financial Analysis
Quarterly
FY2025Q2 | FY2025Q1 | FY2024Q4 | FY2024Q3 | FY2024Q2 | FY2024Q1 | FY2023Q4 | FY2023Q3 | FY2023Q2 | FY2023Q1 | FY2022Q4 | FY2022Q3 | FY2022Q2 | FY2022Q1 | FY2021Q4 | FY2021Q3 | FY2021Q2 | FY2021Q1 | FY2020Q4 | FY2020Q3 | FY2020Q2 | FY2020Q1 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Net Cash Flow from Operating Activities | 218.20M 139.25% | 62.80M 6.26% | 141.50M 154.95% | 130.10M -2.03% | 91.20M 110.14% | 59.10M 140.24% | 55.50M 36.70% | 132.80M 27.45% | 43.40M -35.42% | 24.60M -38.81% | 40.60M -59.84% | 104.20M -24.82% | 67.20M 42.37% | 40.20M -51.45% | 101.10M 1304.17% | 138.60M 45.13% | 47.20M -15.26% | 82.80M -4.39% | 7.20M -88.41% | 95.50M | 55.70M | 86.60M |
Funds from Operations | 187.60M 128.78% | 101.30M 70.83% | 123.60M 22.74% | 101.50M 6.62% | 82.00M 16.15% | 59.30M 257.23% | 100.70M 12.14% | 95.20M 8.30% | 70.60M 2.62% | 16.60M -75.98% | 89.80M -25.23% | 87.90M 2.57% | 68.80M 62.26% | 69.10M 30.87% | 120.10M 1459.74% | 85.70M -5.82% | 42.40M -50.23% | 52.80M -10.66% | 7.70M -92.57% | 91.00M | 85.20M | 59.10M |
Change in Working Capital | 30.60M 232.61% | -38.50M 19150.00% | 17.90M -139.60% | 28.60M -23.94% | 9.20M -133.82% | -200.00K -102.50% | -45.20M -8.13% | 37.60M 130.67% | -27.20M 1600.00% | 8.00M -127.68% | -49.20M 158.95% | 16.30M -69.19% | -1.60M -133.33% | -28.90M -196.33% | -19.00M 3700.00% | 52.90M 1075.56% | 4.80M -116.27% | 30.00M 9.09% | -500.00K -98.80% | 4.50M | -29.50M | 27.50M |
Net Cash Flow from Investing Activities | -49.30M 19.66% | -56.50M 23.90% | -54.20M 32.52% | -51.20M 27.68% | -41.20M -13.45% | -45.60M -0.00% | -40.90M 0.25% | -40.10M 13.60% | -47.60M -49.25% | -45.60M -29.08% | -40.80M 29.11% | -35.30M 42.34% | -93.80M 336.28% | -64.30M 394.62% | -31.60M 53.40% | -24.80M -9.82% | -21.50M -28.57% | -13.00M -88.77% | -20.60M -10.43% | -27.50M | -30.10M | -115.80M |
Capital Expenditures - Net | 49.30M 17.66% | 56.50M 20.47% | 54.20M 26.64% | 51.20M 23.97% | 41.90M -13.79% | 46.90M 0.43% | 42.80M 3.63% | 41.30M 18.68% | 48.60M 32.07% | 46.70M 25.20% | 41.30M 30.70% | 34.80M 39.20% | 36.80M 65.77% | 37.30M 174.26% | 31.60M 41.70% | 25.00M -16.39% | 22.20M -27.92% | 13.60M -33.00% | 22.30M -43.40% | 29.90M | 30.80M | 20.30M |
Acquisition & Disposal of Business Sold/(Acquired) | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 -100.00% | 0.00 -100.00% | 0.00 -100.00% | 0.00 -100.00% | -600.00K | -1.50M | -57.00M | -47.50M | 0.00 | 0.00 -100.00% | 0.00 | 0.00 -100.00% | 0.00 -100.00% | 1.60M | 0.00 | -96.20M |
Net Cash Flow from Financing Activities | -170.30M 308.39% | -54.70M 285.21% | -38.20M 187.22% | -86.10M -8.01% | -41.70M 6850.00% | -14.20M -152.59% | -13.30M -1762.50% | -93.60M 30.73% | -600.00K -105.45% | 27.00M -14.01% | 800.00K -100.73% | -71.60M -37.36% | 11.00M -153.92% | 31.40M -157.19% | -109.20M -0.64% | -114.30M -231.08% | -20.40M -52.11% | -54.90M -222.54% | -109.90M 189.97% | 87.20M | -42.60M | 44.80M |
Dividends Paid | 0.00 | 0.00 | 0.00 -100.00% | 200.00K 0.00% | 0.00 | 0.00 -100.00% | 200.00K | 200.00K 100.00% | 0.00 -100.00% | 200.00K -75.00% | 0.00 | 100.00K -50.00% | 200.00K | 800.00K -38.46% | 0.00 -100.00% | 200.00K -98.60% | 0.00 -100.00% | 1.30M -91.22% | 14.10M -1.40% | 14.30M | 14.20M | 14.80M |
Stock - Total - Issuance/(Retirement) - Net | -6.40M -6500.00% | -71.40M 189.07% | 18.80M 147.37% | 7.90M 295.00% | 100.00K -200.00% | -24.70M 1135.00% | 7.60M -7700.00% | 2.00M -107.66% | -100.00K -99.71% | -2.00M -94.91% | -100.00K -100.61% | -26.10M -583.33% | -35.00M -736.36% | -39.30M 4266.67% | 16.50M -88.76% | 5.40M -125.84% | 5.50M 2650.00% | -900.00K -91.00% | 146.80M 73300.00% | -20.90M | 200.00K | -10.00M |
Debt - LT & ST - Issuance/(Retirement) | -163.90M 292.11% | 16.80M 50.00% | -57.00M 270.13% | -93.80M -1.68% | -41.80M 8260.00% | 11.20M -61.64% | -15.40M -1811.11% | -95.40M 110.13% | -500.00K -101.08% | 29.20M -60.81% | 900.00K -100.72% | -45.40M -62.01% | 46.30M -283.73% | 74.50M -245.51% | -125.70M -45.96% | -119.50M -197.63% | -25.20M -8.70% | -51.20M -173.56% | -232.60M 877.31% | 122.40M | -27.60M | 69.60M |
Net Change in Cash | -1.40M -116.87% | -48.40M 6814.29% | 49.10M 3676.92% | -7.20M 700.00% | 8.30M -272.92% | -700.00K -111.67% | 1.30M 116.67% | -900.00K -66.67% | -4.80M -69.23% | 6.00M -17.81% | 600.00K -101.51% | -2.70M 440.00% | -15.60M -394.34% | 7.30M -51.01% | -39.70M -67.80% | -500.00K -100.32% | 5.30M -131.18% | 14.90M -4.49% | -123.30M -10375.00% | 155.20M | -17.00M | 15.60M |
Free Cash Flow | 168.90M 247.53% | 6.30M -48.36% | 83.50M 1059.72% | 78.70M -13.99% | 48.60M -1034.62% | 12.20M -155.20% | 7.20M -1128.57% | 91.50M 32.03% | -5.20M -117.11% | -22.10M -862.07% | -700.00K -101.01% | 69.30M -38.83% | 30.40M 28.27% | 2.90M -95.81% | 69.50M -554.25% | 113.30M 74.58% | 23.70M -4.44% | 69.20M 4.69% | -15.30M -168.00% | 64.90M | 24.80M | 66.10M |
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What is EAT's PE Ratio in 2025/4/4?
EAT's PE ratio in April 4, 2025 is 23.59. This indicates the price investors are willing to pay for $1 of earnings.
What is EAT's PS Ratio in 2025/4/4?
EAT's PS ratio in April 4, 2025 is 1.24. This indicates how much investors are willing to pay for each dollar of the company's sales.
What is EAT's Dividend Yield in 2025/Q2?
EAT's Dividend Yield in 2025/Q2 is 0.00%. This represents the return on investment from dividends relative to the stock price.
What is EAT's Gross Margin in 2025/Q2?
EAT's Gross Margin in 2025/Q2 is 16.29. Gross Margin is typically calculated as (Revenue - Cost of Goods Sold) / Revenue and is a key indicator of a company's financial health and efficiency in managing production costs.
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