FTCH
| Market cap | $1.78B | 
|---|---|
| Enterprise value | N/A | 
| Revenue | N/A | 
|---|---|
| EBITDA | N/A | 
| Income | $1.673B | 
| Revenue Q/Q | 10.71% | 
| Revenue Y/Y | 17.93% | 
| P/E | 0.00 | 
|---|---|
| Forward P/E | N/A | 
| EV/Sales | 0.87 | 
| EV/EBITDA | N/A | 
| EV/EBIT | N/A | 
| PEG | 0.12 | 
| Price/Sales | 0.93 | 
| P/FCF | N/A | 
| Price/Book | 0.10 | 
| Book/Share | 0.21 | 
| Cash/Share | N/A | 
| FCF yield | -12.64% | 
| Volume | 36.468M / 1.960M | 
|---|---|
| Relative vol. | 18.61 × | 
| EPS | N/A | 
|---|---|
| EPS Q/Q | 407.14% | 
| Est. EPS Q/Q | 1,266.67% | 
| Profit margin | N/A | 
|---|---|
| Oper. margin | -22.26% | 
| Gross margin | N/A | 
| EBIT margin | -22.06% | 
| EBITDA margin | -18.53% | 
| Ret. on assets | -9.28% | 
|---|---|
| Ret. on equity | 1,232.56% | 
| ROIC | -13.04% | 
| ROCE | -18.46% | 
| Debt/Equity | N/A | 
|---|---|
| Net debt/EBITDA | N/A | 
| Current ratio | 1.57 | 
| Quick ratio | 1.24 | 
| Volatility | 118.66% | 
|---|---|
| Beta | 2.69 | 
| RSI | 29.73 | 
|---|
| Insider ownership | N/A | 
|---|---|
| Inst. ownership | N/A | 
| Shares outst. | 351.972M | 
|---|---|
| Shares float | 0.000 0.00% | 
| Short % of float | 9.11% | 
| Short ratio | 2.56 | 
| Dividend | N/A | 
|---|---|
| Dividend yield | N/A | 
| Payout ratio | N/A | 
| Payment date | N/A | 
| Ex-dividend date | N/A | 
| Earnings date | N/A | 
| 
Monday, 18 December 2023
 | |
| Farfetch Gets Backer With $500 Million Injection From Coupang | |
| 
Thursday, 14 December 2023
 | |
| Where did Farfetch go wrong? | |
| 
Wednesday, 13 December 2023
 | |
| Stocks to Watch Wednesday: Tesla, Pfizer, Take-Two, Adobe | |
| Analysis-European luxury labels' distaste for discounts frustrates Farfetch ambitions | |
| 
Monday, 11 December 2023
 | |
| Market Today: Farfetch Plummets Amid Financial Struggles and Credit Downgrades | |
| 
Friday, 8 December 2023
 | |
| 15 Best Falling Stocks To Buy Now | |
| 13 Best Clothing Stocks to Buy Now | |
| 
Tuesday, 5 December 2023
 | |
| Why Farfetch Fell More Than 8% on Tuesday | |
| 
Thursday, 30 November 2023
 | |
| Why Farfetch Stock Was on the Mend Today | |
| Snap upgraded, Okta downgraded: Wall Street's top analyst calls | |
| 
Wednesday, 29 November 2023
 | |
| UPDATE 1-Richemont monitoring situation at online luxury retailer Farfetch | |
| 
Tuesday, 31 October 2023
 | |
| Here’s Why Polen Capital U.S. SMID Company Growth Strategy Exited Farfetch Limited | |
| 
Wednesday, 25 October 2023
 | |
| Why Farfetch Stock Plummeted on Wednesday | |
| 
Monday, 23 October 2023
 | |
| Why Farfetch Stock Is Up Big Today | |
| 
Thursday, 19 October 2023
 | |
| Farfetch faces EU antitrust ruling on YNAP deal amid mounting woes | |
| 
Tuesday, 22 August 2023
 | |
| Is Farfetch a Deep Value Stock or a Falling Knife? | |
| 
Tuesday, 1 August 2023
 | |
| Farfetch to Announce Second Quarter 2023 Results | |
| 
Thursday, 25 May 2023
 | |
| The Smell of Burning Cash | |
Powered by
Robintrack.
| Insider | Age | Since | Compensation | 
|---|---|---|---|
| David Rosenblatt (52) Non-Executive Director since 2017 | 52 | 2017 | |
| Michael Risman (51) Non-Executive Director since 2014 | 51 | 2014 | |
| Danny Rimer (49) Non-Executive Director since 2015 | 49 | 2015 | |
| Jon Liao (52) Non-Executive Director since 2019 | 52 | 2019 | |
| Jonathan Kamaluddin (46) Non-Executive Director since 2015 | 46 | 2015 | |
| Dana Evan | 2015 | ||
| Stephanie Phair (41) Chief Customer Officer since 2019 | 41 | 2019 | |
| Elliot Jordan (44) Chief Financial Officer since 2015 | 44 | 2015 | |
| Dame Massenet (54) Co-Chairman of the Board since 2017 | 54 | 2017 | |
| Jose Neves (45) Co-Chairman of the Board, Chief Executive Officer, and Founder | 45 | ||
| Giorgio Belloli | |||
| Sian Keane | |||
| Gareth Jones | |||
| Susannah Clark | |||
| James L. Maynard | |||
| Alice Ryder | |||
| Cipriano Sousa | |||
| Luis Teixeira | |||
| Elliot Jordan (45) Chief Financial Officer | 45 | ||
| José Ferreira Neves (46) Founder, Chairman, and CEO | 46 | 
farfetch is an innovative e-commerce company that brings the world’s best independent fashion boutiques to an international audience. launched in october 2008, farfetch is rapidly growing into a truly global company. our family now includes more than 300 independent boutiques across europe and north america, offices in london, new york, la, tokyo, guimarães, porto and são paulo, and a team of over 500 talented people.
- Consumer Discretionary > Specialty Retail
- Farfetch Ltd, The Bower, London EC1V 9NR, United Kingdom
- 44 20 7549 5900
- Investor relations
Quarterly EPS estimates
Profit margin
Debt to assets
Cash flow
Balance sheet
| (in millions USD) | 29 Jun 2022 | 30 Mar 2022 | |||
|---|---|---|---|---|---|
| Current assets | |||||
| Cash | $575.573 | $937.969 | |||
| Short term investments | $99.588 | $99.642 | |||
| Net receivables | $466.097 | $437.404 | |||
| Inventory | $291.589 | $301.116 | |||
| Other current assets | $8.536 | $2.404 | |||
| Total current assets | $1,441.383 | $1,778.535 | |||
| Long term investments | $217.997 | $17.788 | |||
| Property, plant & equipment | $298.167 | $298.746 | |||
| Goodwill | |||||
| Intangible assets | $1,721.135 | $1,742.564 | |||
| Other assets | $37.226 | $33.289 | |||
| Total assets | $3,715.908 | $3,870.922 | |||
| Current liabilities | |||||
| Accounts payable | $707.721 | $648.639 | |||
| Short long term debt | |||||
| Other current liabilities | $170.287 | $179.217 | |||
| Total current liabilities | $917.701 | $865.644 | |||
| Long term debt | $537.222 | $530.116 | |||
| Other liabilities | $959.694 | $1,238.807 | |||
| Minority interest | $162.861 | $177.901 | |||
| Total liabilities | $2,599.467 | $2,822.328 | |||
| Stockholders' equity | |||||
| Common stock | $15.361 | $15.292 | |||
| Retained earnings | -$1,541.438 | -$1,625.951 | |||
| Treasury stock | $827.976 | $838.76 | |||
| Capital surplus | $1,651.681 | $1,642.592 | |||
| Total stockholder equity | $953.58 | $870.693 | |||
| Net tangible assets | -$767.555 | -$871.871 | |||
| (in millions USD) | 2021 | 2020 | ||
|---|---|---|---|---|
| Current assets | ||||
| Cash | $1,363.128 | $1,573.421 | ||
| Short term investments | $99.971 | |||
| Net receivables | $365.237 | $197.987 | ||
| Inventory | $255.664 | $145.309 | ||
| Other current assets | $8.01 | $30.242 | ||
| Total current assets | $2,111.68 | $1,961 | ||
| Long term investments | $18.006 | $10.597 | ||
| Property, plant & equipment | $292.612 | $268.309 | ||
| Goodwill | $382.285 | $356.521 | ||
| Intangible assets | $977.372 | $922.807 | ||
| Other assets | $44.559 | $71.637 | ||
| Total assets | $3,826.514 | $3,590.871 | ||
| Current liabilities | ||||
| Accounts payable | $342.938 | $277.827 | ||
| Short long term debt | ||||
| Other current liabilities | $133.975 | $83.683 | ||
| Total current liabilities | $907.257 | $778.747 | ||
| Long term debt | $515.804 | $617.789 | ||
| Other liabilities | $1,951.922 | $3,687.702 | ||
| Minority interest | $182.008 | $168.556 | ||
| Total liabilities | $3,555.898 | $5,249.513 | ||
| Stockholders' equity | ||||
| Common stock | $15.231 | $14.168 | ||
| Retained earnings | -$2,386.802 | -$4,013.12 | ||
| Treasury stock | $818.505 | $1,243.823 | ||
| Capital surplus | $1,641.674 | $927.931 | ||
| Total stockholder equity | $88.608 | -$1,827.198 | ||
| Net tangible assets | -$1,271.049 | -$3,106.526 | ||
Income statement
| (in millions USD) | 29 Jun 2022 | 30 Mar 2022 | |||
|---|---|---|---|---|---|
| Revenue | |||||
| Total revenue | $579.347 | $514.803 | |||
| Cost of revenue | $311.677 | $284.287 | |||
| Gross profit | $267.67 | $230.516 | |||
| Operating activities | |||||
| Research & development | $31.12 | $34.103 | |||
| Selling, general & administrative | $318.843 | $275.793 | |||
| Total operating expenses | $742.197 | $675.678 | |||
| Operating income | -$162.85 | -$160.875 | |||
| Income from continuing operations | |||||
| Net other income | $223.226 | $892.718 | |||
| EBIT | -$162.85 | -$160.875 | |||
| Income before tax | $60.376 | $731.843 | |||
| Income tax expense | -$7.294 | $3.091 | |||
| Minority interest | $162.861 | $177.901 | |||
| Net income | |||||
| Net income | $70.483 | $734.326 | |||
| Income (for common shares) | $70.483 | $734.326 | |||
| (in millions USD) | 2021 | 2020 | ||
|---|---|---|---|---|
| Revenue | ||||
| Total revenue | $2,256.608 | $1,673.922 | ||
| Cost of revenue | $1,240.097 | $902.994 | ||
| Gross profit | $1,016.511 | $770.928 | ||
| Operating activities | ||||
| Research & development | $131.408 | $115.227 | ||
| Selling, general & administrative | $1,095.562 | $1,018.333 | ||
| Total operating expenses | $2,718.265 | $2,253.777 | ||
| Operating income | -$461.657 | -$579.855 | ||
| Income from continuing operations | ||||
| Net other income | $1,935.27 | -$2,750.202 | ||
| EBIT | -$461.657 | -$579.855 | ||
| Income before tax | $1,473.613 | -$3,330.057 | ||
| Income tax expense | $3.002 | -$14.434 | ||
| Minority interest | $182.008 | $168.556 | ||
| Net income | ||||
| Net income | $1,466.487 | -$3,333.171 | ||
| Income (for common shares) | $1,466.487 | -$3,333.171 | ||
Cash flows
| (in millions USD) | 29 Jun 2022 | 30 Mar 2022 | |||
|---|---|---|---|---|---|
| Net income | $70.483 | $734.326 | |||
| Operating activities | |||||
| Depreciation | $80.557 | $81.495 | |||
| Change in accounts receivable | -$44.389 | -$45.536 | |||
| Changes in inventory | $1.211 | -$43.72 | |||
| Total cash flows from operations | -$60.183 | -$336.721 | |||
| Investing activities | |||||
| Capital expenditures | -$6.881 | -$4.892 | |||
| Investments | -$205.07 | -$205.07 | |||
| Other cash flows from investing | $2.01 | $1.14 | |||
| Total cash flows from investing | -$278.822 | -$74.872 | |||
| Financing activities | |||||
| Dividends paid | |||||
| Net borrowings | -$8.543 | -$8.096 | |||
| Other cash flows from financing | -$14.956 | -$7.327 | |||
| Total cash flows from financing | -$23.053 | -$14.474 | |||
| Effect of exchange rate | -$0.338 | $0.908 | |||
| Change in cash and equivalents | -$362.396 | -$425.159 | |||
| (in millions USD) | 2021 | 2020 | ||
|---|---|---|---|---|
| Net income | $1,466.487 | -$3,333.171 | ||
| Operating activities | ||||
| Depreciation | $182.607 | $164.725 | ||
| Change in accounts receivable | -$164.656 | -$15.833 | ||
| Changes in inventory | -$104.838 | -$16.471 | ||
| Total cash flows from operations | -$282.154 | $116.315 | ||
| Investing activities | ||||
| Capital expenditures | -$28.854 | -$26.839 | ||
| Investments | -$109.794 | -$2.872 | ||
| Other cash flows from investing | $2.994 | $3.191 | ||
| Total cash flows from investing | -$330.656 | -$132.641 | ||
| Financing activities | ||||
| Dividends paid | ||||
| Net borrowings | -$26.251 | $1,222.81 | ||
| Other cash flows from financing | $394.56 | -$74.669 | ||
| Total cash flows from financing | $405.142 | $1,261.04 | ||
| Effect of exchange rate | -$2.625 | $6.278 | ||
| Change in cash and equivalents | -$210.293 | $1,250.992 | ||
Recent institutional transactions
| Quarter | Shareholder | Change | Shares owned Shares | Value (in thousands USD) | 
|---|---|---|---|---|
| 2024 Q2 | Massmutual Trust Co Fsb/adv | Opened
 | 300 | $1 | 
| 2024 Q1 | Drw Securities | Opened
 | 130,000 | $1,105 | 
| 2023 Q4 | Lord, Abbett & Co | Sold out
 | 3,714,000 | $61 | 
| 2023 Q4 | Qvidtvm Management | +128.58%
 | 3,201,461 | $64,029 | 
| 2023 Q4 | Simplex Trading | Sold out
 | 1,157,978 | $25 | 
| 2023 Q4 | Barclays PLC | Sold out
 | 914,254 | $20 | 
| 2023 Q4 | River Global Investors LL.P. | Sold out
 | 337,359 | $7,153 | 
| 2023 Q4 | Cantor Fitzgerald, L. P | Sold out
 | 68,794 | $1,534 | 
| 2023 Q4 | Bellecapital International | Sold out
 | 43,331 | $966 | 
| 2023 Q4 | Banque Cantonale Vaudoise | Sold out
 | 12,047 | $0 | 
Institutional shareholders
| Shareholder | Stake | Shares owned Shares | Value (in thousands USD) | 
|---|---|---|---|
| Lone Pine Capital | 4.89% | 17,201,243 | |
| Point72 Asset Management, L.P. | 3.62% | 12,724,082 | |
| Contrarius Investment Management Ltd | 3.28% | 11,538,552 | |
| Viking Global Investors L.P. | 3.08% | 10,844,009 | |
| Atreides Management, L.P. | 2.77% | 9,733,545 | |
| Arrowmark Colorado | 2.07% | 7,282,248 | |
| Walleye Trading | 1.46% | 5,156,283 | |
| Oppenheimerfunds | 1.37% | 4,814,650 | |
| Fmr | 1.28% | 4,515,152 | |
| Kps Global Asset Management Uk Ltd | 1.19% | 4,200,000 |