NASDAQ · Financial Statements
DAVE (DAVE) Financial Statements
$334.87
NASDAQ: DAVE
Market Cap $4.50B
Overview Financials Dividend
DAVE most recently reported annual revenue of $554.0M, net profit of $196.0M, revenue has compounded at 35.3% 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)
Metric 2021 2022 2023 2024 2025
Revenue $153.0M $205.0M $259.0M $347.0M $554.0M Operating Profit $-6.0M $-134.0M $-42.0M $35.0M $187.0M Net Profit $-20.0M $-129.0M $-49.0M $58.0M $196.0M EPS $-1.72 $-10.92 $-4.07 $4.19 $13.53 Op Margin -4.2% -65.6% -16.3% 10.0% 33.7%
Balance Sheet (USD)
Metric 2021 2022 2023 2024 2025
Total Assets $147.0M $321.0M $294.0M $299.0M $487.0M Total Liabilities $108.0M $215.0M $207.0M $116.0M $135.0M Cash $32.0M $23.0M $42.0M $50.0M $81.0M Borrowings $74.0M $178.0M $181.0M $76.0M $75.0M
Cash Flow (USD)
Metric 2021 2022 2023 2024 2025
Operating Cash Flow $-1.0M $-45.0M $34.0M $125.0M $290.0M Investing Cash Flow $-44.0M $-295.0M $-23.0M $-46.0M $-203.0M Financing Cash Flow $-1.0M $7.0M $0 $-1.0M $-56.0M Net Cash Flow $27.0M $-9.0M $19.0M $8.0M $31.0M Free Cash Flow $-7.0M $-54.0M $25.0M $125.0M $290.0M
Valuation & Return Ratios
Metric Value PEG Ratio — EV / EBITDA 15.80 FCF Yield 10.63% Quick Ratio 3.86 Interest Coverage 26.71 Return 1Y 73.78% Return 3Y 5121.38% Return 5Y 17.10%
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