CHR.TOCHR.TOTSX
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Revenue (LTM)
$1.3B
-6.3% YoY
Net Income (LTM)
$79M
+149.7% YoY
Free Cash Flow
$28M
Revenue CAGR (5Y)
+6.8%
Marginsdeclining
|
FCF$0.0B
|
Now profitable

Income Statement

MetricDec 21Dec 22Dec 23
Revenue
1,023
1,596
1,400
Gross Profit
206
423
337
Operating Income
71
188
159
Net Income
-20
49
101
EBITDA
270
361
271
EPS Diluted
-0.83
0.91
2.29

Balance Sheet

MetricDec 21Dec 22Dec 23
Cash & Equivalents
124
100
86
Total Current Assets
350
504
631
Total Assets
3,181
4,056
3,851
Total Current Liabilities
452
733
802
Total Liabilities
2,490
2,787
2,570
Total Equity
690
1,180
1,194
Total Debt
1,914
2,030
1,756
Net Debt
1,790
1,930
1,670

Cash Flow Statement

MetricDec 21Dec 22Dec 23
Operating Cash Flow
185
280
300
Capital Expenditure
-75
-62
-43
Free Cash Flow
110
217
257
Stock-Based Comp
4
11
0
Net Change in Cash
-42
-11
9
Values in millions except EPS · Ratios shown as percentages · Click any metric to drill down