US Stock MarketDetailed Quotes

Playboy Inc (PLBY)

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  • 1.450
  • +0.080+5.84%
Close Jun 11 16:00 ET
  • 1.422
  • -0.028-1.93%
Post 19:51 ET
168.15MMarket Cap-24.17P/E (TTM)

Playboy Inc (PLBY) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-5.73%-8.06M
100.09%18K
767.08%1.4M
255.35%10.13M
-28.33%-3.89M
21.85%-7.62M
55.27%-19.14M
101.76%161K
6.44%-6.52M
27.41%-3.03M
Net income from continuing operations
56.17%-3.96M
84.04%-12.67M
128.61%3.59M
101.36%460K
53.89%-7.68M
45.03%-9.04M
57.42%-79.4M
85.75%-12.54M
-148.10%-33.76M
87.41%-16.65M
Depreciation and amortization
6.75%2.31M
-40.54%8.35M
-4.24%1.99M
-40.00%2.03M
-49.02%2.17M
-50.03%2.16M
9.37%14.04M
-75.18%2.08M
556.82%3.39M
95.45%4.25M
Deferred tax
-100.40%-6K
-501.34%-3.89M
-319.16%-6.59M
-110.34%-73K
58.18%1.27M
45.93%1.51M
105.37%968K
83.51%-1.57M
-46.96%706K
112.37%801K
Other non cash items
-0.39%-1.56M
-121.74%-2.15M
-347.98%-1.78M
-128.65%-663K
-52.43%1.84M
-152.24%-1.55M
872.61%9.87M
-67.41%717K
5.13%2.31M
144.53%3.88M
Change In working capital
-256.47%-6.01M
79.98%3.57M
-63.59%2.97M
393.52%6.98M
-324.70%-4.69M
71.34%-1.69M
113.09%1.98M
212.36%8.16M
58.87%-2.38M
3,313.85%2.09M
-Change in receivables
-89.65%349K
12.14%2.11M
11.69%-544K
-136.30%-212K
-214.20%-509K
62.69%3.37M
-64.84%1.88M
73.29%-616K
-97.72%584K
99.20%-162K
-Change in inventory
14.07%1.14M
-164.86%-2.98M
-357.76%-5.07M
-133.76%-477K
762.84%1.58M
-75.73%995K
1,078.04%4.59M
24.98%-1.11M
135.85%1.41M
-94.63%183K
-Change in prepaid assets
----
-180.60%-1.71M
62.14%1.41M
----
----
----
-71.75%2.12M
-88.50%869K
135.75%854K
136.88%569K
-Change in payables and accrued expense
-205.13%-1.37M
112.42%441K
121.37%1.01M
-71.26%475K
-115.81%-596K
89.45%-448K
44.27%-3.55M
-365.62%-4.73M
141.16%1.65M
385.70%3.77M
-Change in other current liabilities
-1,196.30%-1.4M
46.27%-3.15M
-49.03%4.33M
5.59%-4.09M
1.71%-3.29M
98.38%-108K
-37.96%-5.87M
239.66%8.49M
-219.66%-4.33M
-1,060.76%-3.34M
-Change in other working capital
13.99%-4.73M
214.85%8.86M
-64.93%1.84M
587.14%14.4M
-214.62%-1.88M
-390.28%-5.5M
116.65%2.82M
233.32%5.25M
88.04%-2.96M
-90.83%1.64M
Cash from discontinued investing activities
0
-105.94%-430K
105.53%430K
0
Operating cash flow
-5.73%-8.06M
100.09%18K
767.08%1.4M
255.35%10.13M
-28.33%-3.89M
21.85%-7.62M
55.79%-19.14M
108.38%161K
55.78%-6.52M
41.45%-3.03M
Investing cash flow
Cash flow from continuing investing activities
42,367.65%14.37M
272.96%550K
252.11%289K
196.05%438K
-115.51%-143K
94.28%-34K
-102.43%-318K
-101.56%-190K
-174.15%-456K
-55.44%922K
Net PPE purchase and sale
-1,758.82%-632K
54.73%-1.02M
50.53%-278K
30.48%-317K
39.23%-395K
94.28%-34K
36.23%-2.26M
73.36%-562K
33.43%-456K
-160.80%-650K
Net business purchase and sale
--15M
----
----
----
----
--0
--0
--0
---1.57M
----
Net other investing changes
----
-19.03%1.57M
52.42%567K
--755K
----
----
50.70%1.94M
3,820.00%372K
--0
----
Cash from discontinued investing activities
Investing cash flow
42,367.65%14.37M
272.96%550K
252.11%289K
196.05%438K
-115.51%-143K
94.28%-34K
-102.46%-318K
-101.56%-190K
-177.82%-456K
-54.60%922K
Financing cash flow
Cash flow from continuing financing activities
-36,157.50%-14.5M
-60.23%8.59M
-60.79%8.69M
104.97%17K
46.76%-74K
47.37%-40K
-17.53%21.6M
2,162.57%22.15M
-350.00%-342K
-101.24%-139K
Net issuance payments of debt
---15M
-67.11%-381K
---381K
--0
--0
--0
99.33%-228K
--0
0.00%-76K
-100.65%-76K
Net common stock issuance
--2.54M
-53.84%10.27M
-54.98%10.02M
----
----
--0
-63.22%22.25M
2,329.36%22.25M
--0
--0
Net other financing activities
-5,002.50%-2.04M
-205.16%-1.3M
-878.35%-949K
10.90%-237K
---74K
---40K
16.14%-426K
---97K
---266K
----
Cash from discontinued financing activities
Financing cash flow
-36,157.50%-14.5M
-60.23%8.59M
-60.79%8.69M
104.97%17K
46.76%-74K
47.37%-40K
-17.53%21.6M
2,162.57%22.15M
-350.00%-342K
-101.24%-139K
Net cash flow
Beginning cash position
28.51%42.82M
5.20%33.32M
172.37%32.36M
15.30%21.74M
22.27%25.67M
5.20%33.32M
-11.08%31.68M
-45.92%11.88M
-48.13%18.86M
-26.10%21M
Current changes in cash
-6.43%-8.19M
328.30%9.16M
-53.12%10.37M
244.63%10.58M
-82.72%-4.1M
26.17%-7.69M
151.44%2.14M
140.76%22.12M
48.60%-7.32M
-127.72%-2.25M
Effect of exchange rate changes
34.88%58K
169.51%342K
113.66%93K
-91.47%29K
62.39%177K
116.54%43K
-336.54%-492K
-297.97%-681K
319.35%340K
419.05%109K
End cash Position
35.13%34.69M
28.51%42.82M
28.51%42.82M
172.37%32.36M
15.30%21.74M
22.27%25.67M
5.20%33.32M
5.20%33.32M
-45.92%11.88M
-48.13%18.86M
Free cash flow
-13.52%-8.69M
95.30%-1.01M
378.80%1.12M
240.65%9.81M
-16.39%-4.28M
26.01%-7.65M
54.31%-21.4M
90.05%-401K
54.79%-6.98M
10.36%-3.68M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -5.73%-8.06M100.09%18K767.08%1.4M255.35%10.13M-28.33%-3.89M21.85%-7.62M55.27%-19.14M101.76%161K6.44%-6.52M27.41%-3.03M
Net income from continuing operations 56.17%-3.96M84.04%-12.67M128.61%3.59M101.36%460K53.89%-7.68M45.03%-9.04M57.42%-79.4M85.75%-12.54M-148.10%-33.76M87.41%-16.65M
Depreciation and amortization 6.75%2.31M-40.54%8.35M-4.24%1.99M-40.00%2.03M-49.02%2.17M-50.03%2.16M9.37%14.04M-75.18%2.08M556.82%3.39M95.45%4.25M
Deferred tax -100.40%-6K-501.34%-3.89M-319.16%-6.59M-110.34%-73K58.18%1.27M45.93%1.51M105.37%968K83.51%-1.57M-46.96%706K112.37%801K
Other non cash items -0.39%-1.56M-121.74%-2.15M-347.98%-1.78M-128.65%-663K-52.43%1.84M-152.24%-1.55M872.61%9.87M-67.41%717K5.13%2.31M144.53%3.88M
Change In working capital -256.47%-6.01M79.98%3.57M-63.59%2.97M393.52%6.98M-324.70%-4.69M71.34%-1.69M113.09%1.98M212.36%8.16M58.87%-2.38M3,313.85%2.09M
-Change in receivables -89.65%349K12.14%2.11M11.69%-544K-136.30%-212K-214.20%-509K62.69%3.37M-64.84%1.88M73.29%-616K-97.72%584K99.20%-162K
-Change in inventory 14.07%1.14M-164.86%-2.98M-357.76%-5.07M-133.76%-477K762.84%1.58M-75.73%995K1,078.04%4.59M24.98%-1.11M135.85%1.41M-94.63%183K
-Change in prepaid assets -----180.60%-1.71M62.14%1.41M-------------71.75%2.12M-88.50%869K135.75%854K136.88%569K
-Change in payables and accrued expense -205.13%-1.37M112.42%441K121.37%1.01M-71.26%475K-115.81%-596K89.45%-448K44.27%-3.55M-365.62%-4.73M141.16%1.65M385.70%3.77M
-Change in other current liabilities -1,196.30%-1.4M46.27%-3.15M-49.03%4.33M5.59%-4.09M1.71%-3.29M98.38%-108K-37.96%-5.87M239.66%8.49M-219.66%-4.33M-1,060.76%-3.34M
-Change in other working capital 13.99%-4.73M214.85%8.86M-64.93%1.84M587.14%14.4M-214.62%-1.88M-390.28%-5.5M116.65%2.82M233.32%5.25M88.04%-2.96M-90.83%1.64M
Cash from discontinued investing activities 0-105.94%-430K105.53%430K0
Operating cash flow -5.73%-8.06M100.09%18K767.08%1.4M255.35%10.13M-28.33%-3.89M21.85%-7.62M55.79%-19.14M108.38%161K55.78%-6.52M41.45%-3.03M
Investing cash flow
Cash flow from continuing investing activities 42,367.65%14.37M272.96%550K252.11%289K196.05%438K-115.51%-143K94.28%-34K-102.43%-318K-101.56%-190K-174.15%-456K-55.44%922K
Net PPE purchase and sale -1,758.82%-632K54.73%-1.02M50.53%-278K30.48%-317K39.23%-395K94.28%-34K36.23%-2.26M73.36%-562K33.43%-456K-160.80%-650K
Net business purchase and sale --15M------------------0--0--0---1.57M----
Net other investing changes -----19.03%1.57M52.42%567K--755K--------50.70%1.94M3,820.00%372K--0----
Cash from discontinued investing activities
Investing cash flow 42,367.65%14.37M272.96%550K252.11%289K196.05%438K-115.51%-143K94.28%-34K-102.46%-318K-101.56%-190K-177.82%-456K-54.60%922K
Financing cash flow
Cash flow from continuing financing activities -36,157.50%-14.5M-60.23%8.59M-60.79%8.69M104.97%17K46.76%-74K47.37%-40K-17.53%21.6M2,162.57%22.15M-350.00%-342K-101.24%-139K
Net issuance payments of debt ---15M-67.11%-381K---381K--0--0--099.33%-228K--00.00%-76K-100.65%-76K
Net common stock issuance --2.54M-53.84%10.27M-54.98%10.02M----------0-63.22%22.25M2,329.36%22.25M--0--0
Net other financing activities -5,002.50%-2.04M-205.16%-1.3M-878.35%-949K10.90%-237K---74K---40K16.14%-426K---97K---266K----
Cash from discontinued financing activities
Financing cash flow -36,157.50%-14.5M-60.23%8.59M-60.79%8.69M104.97%17K46.76%-74K47.37%-40K-17.53%21.6M2,162.57%22.15M-350.00%-342K-101.24%-139K
Net cash flow
Beginning cash position 28.51%42.82M5.20%33.32M172.37%32.36M15.30%21.74M22.27%25.67M5.20%33.32M-11.08%31.68M-45.92%11.88M-48.13%18.86M-26.10%21M
Current changes in cash -6.43%-8.19M328.30%9.16M-53.12%10.37M244.63%10.58M-82.72%-4.1M26.17%-7.69M151.44%2.14M140.76%22.12M48.60%-7.32M-127.72%-2.25M
Effect of exchange rate changes 34.88%58K169.51%342K113.66%93K-91.47%29K62.39%177K116.54%43K-336.54%-492K-297.97%-681K319.35%340K419.05%109K
End cash Position 35.13%34.69M28.51%42.82M28.51%42.82M172.37%32.36M15.30%21.74M22.27%25.67M5.20%33.32M5.20%33.32M-45.92%11.88M-48.13%18.86M
Free cash flow -13.52%-8.69M95.30%-1.01M378.80%1.12M240.65%9.81M-16.39%-4.28M26.01%-7.65M54.31%-21.4M90.05%-401K54.79%-6.98M10.36%-3.68M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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