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Financial Statements — FBYD

Balance Sheet

(in millions USD)
MetricQ1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023
Cash & Equivalents1.184.2626.061.110.831.661.05--
Accounts Receivable5.462.821.360.630.220.031.79--
Total Current Assets10.5011.9328.552.662.072.786.15--
Property, Plant & Equipment0.961.081.090.110.020.020.02--
Intangible Assets1.011.12------------
Total Non-current Assets*51.8654.8660.6654.0664.4863.1561.64--
Total Assets62.3666.7989.2156.7266.5565.9367.78--
Accounts Payable7.627.0810.169.524.713.826.52--
Short-term Debt9.2610.0710.4310.398.478.478.474.80
Total Current Liabilities23.4138.9455.9752.1039.38116.84197.73--
Long-term Debt7.485.9930.1830.5710.3415.6615.13--
Total Non-current Liabilities*9.268.0132.3230.5736.64248.56244.36--
Total Liabilities32.6746.9688.2882.6776.03365.40442.09--
Retained Earnings(41.62)(43.30)(38.93)(50.15)(44.32)(50.19)(51.42)--
Total Stockholder Equity14.929.150.41(11.60)(1.41)(44.72)(61.72)--

* Derived from reported values

Income Statement

(in millions USD) (except per-share rows)
MetricQ1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023
Total Revenue5.386.594.052.551.711.360.000.001.332.15
Research & Development0.00----0.080.120.110.040.010.02-0.00
Selling, General & Admin7.746.386.176.646.305.824.495.316.794.83
Total Operating Expenses(1.11)8.627.743.908.055.934.535.326.8322.42
Operating Income6.49(2.03)(3.68)(1.35)(6.34)(4.57)(2.46)(3.52)(5.31)(20.27)
Interest Expense0.170.280.930.841.330.770.420.44----
Pretax Income6.12(0.30)(10.41)25.11(8.09)(11.87)39.308.03114.02(416.89)
Tax Provision0.000.00-0.000.00-0.000.00(0.01)(0.02)-0.00(0.30)
Net Income3.07(0.30)(10.41)25.11(8.09)(11.87)39.308.03114.02(416.59)
Basic EPS0.05(0.01)(0.13)0.30(0.10)(0.84)0.580.121.90--
Diluted EPS0.05(0.01)(0.13)0.30(0.13)(0.59)0.460.011.53--

Cash Flow Statement

(in millions USD)
MetricQ1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024
Operating Cash Flow(2.75)(4.32)(13.32)(7.90)0.95(3.79)(2.37)(2.62)(3.77)
Capital Expenditures0.010.020.040.000.090.000.000.000.00
Free Cash Flow*(2.76)(4.34)(13.36)(7.90)0.85(3.80)(2.38)(2.62)(3.77)
Investing Cash Flow1.211.00(2.04)25.32(0.09)-0.00-0.002.09(2.10)
Financing Cash Flow0.850.94(4.16)7.53(0.60)3.930.597.286.23

* Derived from reported values