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Financial Statements — BRBR

Balance Sheet

(in billions USD)
MetricQ3 2026Q2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents0.050.030.060.040.030.050.070.080.090.030.030.040.030.070.030.090.030.05
Accounts Receivable0.220.270.250.240.270.220.230.230.180.170.190.180.150.130.120.130.120.12
Inventory0.480.410.440.420.390.350.240.190.190.240.270.210.230.140.130.140.150.14
Total Current Assets0.780.760.790.740.710.650.550.510.460.450.500.450.420.360.300.370.310.32
Property, Plant & Equipment0.030.030.030.010.010.010.010.010.010.010.010.010.010.010.010.010.010.01
Goodwill0.070.070.070.070.070.070.070.070.070.070.070.070.070.070.070.070.070.07
Intangible Assets0.110.120.120.130.130.140.150.150.150.190.190.200.210.210.220.230.250.27
Total Non-current Assets*0.270.270.270.250.240.240.250.250.250.270.280.280.290.300.300.310.330.36
Total Assets1.051.031.060.990.950.890.800.770.720.720.770.740.720.660.600.690.640.68
Accounts Payable0.170.140.180.130.160.110.110.100.090.100.110.090.120.090.070.110.090.07
Total Current Liabilities0.350.300.350.290.240.190.210.170.160.170.160.150.180.130.150.260.200.14
Long-term Debt1.141.191.181.010.950.830.830.830.830.910.970.940.910.940.470.490.540.64
Total Non-current Liabilities*1.171.221.221.010.960.840.840.840.840.920.980.960.930.960.500.520.570.67
Total Liabilities1.521.521.571.301.201.031.051.011.001.091.141.111.101.090.650.790.770.81
Retained Earnings0.380.350.320.210.190.13(0.02)(0.09)(0.15)(0.24)(0.28)(0.31)(0.39)(0.43)(2.81)(3.15)(2.43)(2.50)
Total Stockholder Equity(0.47)(0.50)(0.51)(0.31)(0.25)(0.15)(0.24)(0.25)(0.29)(0.36)(0.36)(0.37)(0.39)(0.43)(2.83)(3.15)(2.44)(2.50)

* Derived from reported values

Income Statement

(in millions USD) (except per-share rows)
MetricQ3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021
Total Revenue570.40598.70537.30648.20547.50588.00532.90555.80515.40494.60430.40472.60445.90385.60362.70379.20370.60315.20306.50340.00
Cost of Revenue407.10437.00376.50460.80353.90398.20333.30350.70325.50330.30282.40317.30309.90268.50240.90256.90250.40228.20214.20244.00
Gross Profit163.30161.70160.80187.40193.60189.80199.60205.10189.90164.30148.00155.30136.00117.10121.80122.30120.2087.0092.3096.00
Selling, General & Admin93.7091.5078.0080.90144.5090.5080.1088.7074.0069.1052.8065.2055.1054.3041.7056.2047.8048.9036.8038.00
Total Operating Expenses97.9095.7082.3085.20148.80179.0084.3093.0078.3073.3075.0077.2060.0059.1046.6061.2052.7053.8041.7042.90
Operating Income65.4066.0078.50102.2044.8095.10115.30112.10111.6091.0073.0078.1076.0058.0075.2061.1067.5033.2050.6053.10
Interest Expense----20.0019.1018.4016.5014.4014.5014.4014.5014.9016.1017.3016.8016.7016.4015.908.508.409.60
Pretax Income45.5045.9058.5083.1026.4078.60100.9097.6097.2076.5058.1062.0058.7041.2058.5044.7051.607.1042.2043.50
Tax Provision11.3012.0014.8023.505.4019.9024.0025.9023.5019.3014.2015.9014.4010.3014.3011.0012.503.202.903.00
Net Income34.2033.9043.7059.6021.0058.7076.9071.7073.7057.2043.9046.1044.3030.9044.2033.7039.101.308.209.70
Basic EPS0.290.290.370.470.170.460.600.550.570.440.330.350.330.230.330.360.290.020.210.24
Diluted EPS0.290.290.360.480.160.450.590.540.560.430.330.340.330.230.330.360.290.020.210.24

Cash Flow Statement

(in millions USD)
MetricQ3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021
Operating Cash Flow79.30(11.20)(3.10)169.1040.3048.203.0040.1069.0016.3074.2084.90110.40(16.00)36.309.60(6.20)26.70(9.10)80.20
Capital Expenditures2.101.804.201.001.800.601.301.200.100.300.200.800.500.200.300.600.100.500.600.80
Free Cash Flow*77.20(13.00)(7.30)168.1038.5047.601.7038.9068.9016.0074.0084.10109.90(16.20)36.009.00(6.30)26.20(9.70)79.40
Investing Cash Flow(2.10)(1.80)(4.20)(1.00)(1.80)(0.60)(1.30)(1.20)(0.10)(0.30)(0.20)(0.80)(0.50)(0.20)(0.30)(0.60)(0.10)(0.50)(0.60)(0.80)
Financing Cash Flow(60.00)(30.20)(5.30)(133.90)(28.10)(53.10)(23.20)(40.50)(75.40)(21.40)(37.80)(61.90)(109.10)(2.30)(28.40)(7.30)(28.20)13.00(112.50)(15.90)

* Derived from reported values