NASDAQ · Financial Statements

CDLX (CDLX) Financial Statements

$3.72 NASDAQ: CDLX Market Cap $21.61M

CDLX most recently reported annual revenue of $233.0M, net profit of $-103.0M, revenue has compounded at 4.5% a year over the last five years. See the full income statement, balance sheet, and cash flow statement below, plus valuation and return ratios.

Annual Financials (USD)

Metric20212022202320242025
Revenue$267.0M$299.0M$309.0M$278.0M$233.0M
Operating Profit$-123.0M$-458.0M$-136.0M$-195.0M$-47.0M
Net Profit$-129.0M$-465.0M$-135.0M$-189.0M$-103.0M
EPS$-39.90$-139.20$-36.90$-39.10$-19.50
Op Margin-45.9%-153.3%-43.9%-70.3%-20.2%

Balance Sheet (USD)

Metric20212022202320242025
Total Assets$1.3B$691.0M$574.0M$393.0M$286.0M
Total Liabilities$573.0M$480.0M$439.0M$323.0M$292.0M
Cash$233.0M$122.0M$92.0M$66.0M$49.0M
Borrowings$197.0M$235.0M$266.0M$222.0M$215.0M

Cash Flow (USD)

Metric20212022202320242025
Operating Cash Flow$-39.0M$-54.0M$0$-9.0M$9.0M
Investing Cash Flow$-519.0M$-29.0M$-22.0M$-38.0M$-31.0M
Financing Cash Flow$0$-40.0M$-50.0M$-20.0M$-5.0M
Net Cash Flow$-60.0M$-112.0M$-30.0M$-26.0M$-17.0M
Free Cash Flow$-51.0M$-67.0M$-13.0M$-28.0M$-6.0M

Valuation & Return Ratios

MetricValue
PEG Ratio0.00
EV / EBITDA-2.63
FCF Yield-16.52%
Quick Ratio1.62
Interest Coverage-7.91
Return 1Y-74.85%
Return 3Y-95.29%
Return 5Y-99.65%

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