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EWCZ - European Wax Center,...

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European Wax Center, Inc.

EWCZ

NASDAQ

European Wax Center, Inc. operates as the franchisor and operator of out-of-home waxing services in the United States. The company offers body and facial waxing services; and pre- and post-service products, including ingrown hair serums, exfoliating gels, brow shapers, and skin treatments. As of March 26, 2022, it had a portfolio of centers operating in 874 locations across 44 states, including 868 franchised centers and six corporate-owned centers. European Wax Center, Inc. was founded in 2004 and is headquartered in Plano, Texas.

4.35 USD

0.145 (3.33%)

EWCZ Financial Statements

Year

2024

2023

2022

2021

Total Revenue

216.92M

221.02M

207.35M

178.68M

Cost of Revenue

57.31M

62.64M

59.23M

46.84M

Gross Profit

159.6M

158.39M

148.12M

131.84M

Operating Expenses

111.84M

113.53M

107.84M

107.14M

Research and Development

0

0

0

0

Selling, General & Administrative Expenses

58.7M

93.35M

87.61M

86.8M

Selling & Marketing Expenses

30.17M

33.87M

28.66M

86.8M

General & Administrative Expenses

28.52M

59.48M

58.95M

61.81M

Other Expenses

53.15M

20.18M

20.23M

20.33M

Operating Income

47.76M

44.86M

-15.95M

24.37M

Total Other Income/Expenses Net

-30.89M

-26.27M

-79.85M

-20.48M

Income Before Tax

16.87M

18.58M

-39.58M

4.08M

Income Tax

2.19M

6.24M

-53.19M

114k

Net Income

10.46M

8.93M

13.61M

3.97M

Basic EPS

0.22

0.17

0.34

0.11

EPS Diluted

0.22

0.17

0.34

0.11

Basic Average Shares

46.84M

49.51M

40.01M

36.93M

Diluted Average Shares

46.87M

49.59M

40.15M

36.93M

EBITDA

62.64M

65.44M

4.28M

45.03M

Retained Earning Schedule

Year

2024

2023

2022

2021

Retained Earnings (Previous Year)

-109.51M

-118.44M

-3.49M

-61.47M

Net Income

10.46M

8.93M

13.61M

3.97M

Stock Repurchases

-40.15M

-29.92M

-10.08M

-139.31M

Dividend Paid

-789k

-2.85M

-205.25M

-5.27M

Retained Earnings

-100.42M

-109.51M

-118.44M

-3.49M

Other Distributions

-31.85M

-23.84M

-330.28M

-86.59M

PPE Schedule

Year

2024

2023

2022

2021

Gross PPE

5.63M

6.3M

7.65M

3.86M

Annual Depreciation

20.28M

20.17M

20.23M

20.33M

Capital Expenditure

-521k

-785k

-245k

-8.2M

Net PPE

-14.13M

-13.09M

-12.34M

-8.27M

Intangible and Goodwill Schedule

Year

2024

2023

2022

2021

Acquisitions and Adjustments

-289.44M

0

0

0

Goodwill (Previous Year)

328.55M

328.55M

328.55M

328.55M

Goodwill

39.11M

328.55M

328.55M

328.55M

All figures are in USD.

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