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Financial Statements — TZOO

Balance Sheet

(in millions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents6.8410.578.4910.4411.4711.4312.5716.1915.9019.5119.1419.4925.6135.6265.2080.9670.86
Accounts Receivable14.5413.5412.4611.5012.3913.1713.2213.1510.6810.2913.6711.8414.8118.169.089.907.29
Total Current Assets25.2728.4224.4224.1626.3327.3528.5131.5929.0131.9835.9935.5144.6257.9080.4295.9383.10
Property, Plant & Equipment0.130.180.280.320.400.470.500.530.620.650.690.510.550.570.791.031.15
Goodwill10.9410.9410.9410.9410.9410.9410.9410.9410.9410.9410.9410.9410.9410.9410.9410.9410.94
Intangible Assets1.451.451.451.461.471.591.691.772.482.863.254.304.745.193.703.984.25
Total Non-current Assets*22.5522.4521.7422.5822.880.470.500.530.620.650.690.510.550.570.791.031.15
Total Assets47.8250.8746.1646.7449.2050.5351.5154.7455.8159.1266.2768.3278.4892.88116.87126.80114.83
Accounts Payable8.478.278.406.136.054.985.215.512.862.253.143.561.233.4511.888.508.75
Total Current Liabilities39.5839.2035.8535.1736.5934.3832.8333.5137.0636.2341.9952.8761.8478.7598.42105.51100.12
Total Non-current Liabilities*14.8414.8213.4013.6513.7613.6313.0412.4312.0411.8211.4610.2010.5811.0011.9715.6913.02
Total Liabilities54.4254.0249.2548.8250.3548.0145.8745.9449.0948.0553.4563.0772.4289.75110.39121.20113.15
Retained Earnings3.116.466.937.938.8214.2017.0820.1315.7913.4410.824.693.902.873.790.97(2.04)
Total Stockholder Equity(11.74)(8.27)(8.10)(7.07)(6.05)(2.23)0.974.112.026.438.220.621.43(1.47)1.871.00(2.88)

* Derived from reported values

Income Statement

(in millions USD) (except per-share rows)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Total Revenue23.2124.2722.4822.2023.9123.1420.6820.1021.1421.9921.1520.6021.1321.6018.6115.8517.6918.4513.6615.69
Cost of Revenue7.105.244.224.525.164.172.762.552.522.642.702.672.882.692.682.322.162.832.862.99
Gross Profit16.1019.0418.2517.6818.7418.9717.9217.5518.6219.3518.4517.9318.2518.9115.9213.5315.5315.6210.8112.70
Research & Development0.600.660.590.630.700.630.640.590.600.570.580.530.520.490.670.480.450.450.540.68
Selling, General & Admin4.533.815.754.364.504.314.184.664.624.594.904.464.324.414.174.264.814.675.574.56
Total Operating Expenses18.8715.5917.7017.1916.6815.1613.0713.5114.6113.7513.9714.8314.9814.2012.3413.2513.7513.7014.5712.96
Operating Income(2.76)3.450.550.492.063.804.854.054.015.594.483.113.274.713.580.271.781.92(3.76)(0.26)
Interest Expense----------------------------------0.03----
Pretax Income(2.49)3.440.580.422.224.434.764.404.195.734.883.423.755.063.531.111.983.34(3.62)3.08
Tax Provision(0.38)0.940.520.250.741.171.481.151.271.511.621.021.091.381.060.320.930.97(0.33)0.23
Net Income(2.14)2.48(0.02)0.151.403.173.223.182.934.243.722.352.633.672.450.801.032.36(3.28)2.82
Basic EPS(0.21)0.230.010.010.130.270.280.260.230.310.270.160.170.230.200.060.080.20(0.28)0.24
Diluted EPS(0.21)0.230.020.010.120.260.260.260.230.310.270.160.170.230.200.060.080.19(0.23)0.22

Cash Flow Statement

(in millions USD)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Operating Cash Flow(1.66)3.851.45(0.37)1.303.287.845.333.314.621.383.645.120.54(2.27)(3.86)(10.23)(6.76)(17.37)(12.67)
Capital Expenditures0.010.010.020.020.010.020.050.050.050.040.040.060.050.110.230.060.090.090.01(0.06)
Free Cash Flow*(1.67)3.841.44(0.39)1.293.267.805.283.264.591.343.585.070.42(2.50)(3.92)(10.31)(6.85)(17.37)(12.61)
Investing Cash Flow(0.01)(0.01)(0.02)(0.01)(0.01)(0.02)(0.05)(0.05)(0.05)(0.04)0.07(0.06)0.03(0.07)(0.23)(0.06)(0.09)(0.94)0.130.06
Financing Cash Flow(1.94)(3.27)0.00(1.55)(2.60)(8.92)(1.78)(6.52)(6.81)(3.87)(2.08)(6.90)(4.98)(0.19)0.52(1.12)1.890.00(4.04)(2.36)

* Derived from reported values