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XASE
SRXH
Market cap1mUSD
Jun 10, Last price  
0.60USD
Name

Better Choice Company Inc

Chart & Performance

D1W1MN
No data to show
P/E
P/S
0.04
EPS
Div Yield, %
Shrs. gr., 5y
164.03%
Rev. gr., 5y
17.56%
Revenues
35m
-9.37%
00-1,61600004821447515,577,00042,590,00046,006,00054,660,00038,592,00034,975,000
Net income
-150k
L-99.34%
0-38,421-40,847-15,909-94,170-51,237-49,669-933,761-403,212-4,412,858-185,132,000-66,834,0003,387,000-39,316,000-22,770,000-150,000
CFO
-4m
L
5,000-19,561-18,381-17,737-17,188-22,621-22,875-180,603-129,550-224,398-20,969,000-7,505,000-11,858,000-20,553,00097,000-4,357,000
Earnings
Aug 11, 2025

Profile

Better Choice Company Inc. operates as an animal health and wellness company. Its products portfolio includes naturally formulated kibble and canned dog and cat foods, freeze-dried raw dog foods and treats, vegan dog foods and treats, oral care products and supplements, as well as toppers, dental products, chews, and grooming products. The company provides its products for dogs, cats, and pet parents under the Halo and TruDog brand names. Better Choice Company Inc. primarily sells its products through its online portals, as well as through online retailers and pet specialty stores. It has operations in the United States, Canada, China, and Asia. The company was formerly known as Sports Endurance, Inc. and changed its name to Better Choice Company Inc. in March 11, 2019. Better Choice Company Inc. was founded in 1986 and is based in Tampa, Florida.
IPO date
Jun 16, 2010
Employees
46
Domiciled in
US
Incorporated in
US

Valuation

Title
USD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFYFYFY
2024‑122023‑122022‑122021‑122020‑122019‑122018‑122017‑122017‑082016‑082015‑08
Income
Revenues
34,975
-9.37%
38,592
-29.40%
54,660
18.81%
Cost of revenue
40,942
51,339
87,529
Unusual Expense (Income)
NOPBT
(5,967)
(12,747)
(32,869)
NOPBT Margin
Operating Taxes
(9)
2
(18)
Tax Rate
NOPAT
(5,958)
(12,749)
(32,851)
Net income
(150)
-99.34%
(22,770)
-42.08%
(39,316)
-1,260.79%
Dividends
Dividend yield
Proceeds from repurchase of equity
4,752
BB yield
-12.52%
Debt
Debt current
2,476
4,679
52
Long-term debt
72
191
11,744
Deferred revenue
Other long-term liabilities
Net debt
(518)
415
8,623
Cash flow
Cash from operating activities
(4,357)
97
(20,553)
CAPEX
(41)
(18)
(198)
Cash from investing activities
(2,252)
(18)
(198)
Cash from financing activities
5,220
(5,097)
1,282
FCF
(10,332)
(2,896)
(29,740)
Balance
Cash
3,066
4,455
3,173
Long term investments
Excess cash
1,317
2,525
440
Stockholders' equity
(321,508)
(321,310)
(298,543)
Invested Capital
332,637
329,034
331,581
ROIC
ROCE
EV
Common stock shares outstanding
16,155
706
667
Price
2.35
749.60%
0.28
-48.68%
0.54
-83.31%
Market cap
37,964
19,339.93%
195
-45.69%
360
-77.64%
EV
37,446
610
8,983
EBITDA
(5,837)
(11,069)
(31,179)
EV/EBITDA
Interest
467
1,353
551
Interest/NOPBT