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Stitch Fix Inc (SFIX)

Stitch Fix Inc (SFIX)
N/A x N/A N/A x N/A
Post-market by (Cboe BZX)
3.83 +0.11 (+2.96%) 03/14/25 [NASDAQ]
N/A x N/A N/A x N/A
Post-market 3.82 -0.01 (-0.26%) 18:54 ET
Financial Summary for Fri, Mar 14th, 2025
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Stitch Fix is one of the leading online personal styling retailers. Its products include apparel, shoes and accessories for women, men and kids. The company provides merchandises from other brands along with its own private label which is referred to as Exclusive Brands. Stitch Fix utilizes data science and human judgment to deliver personalized product shipment. Each of the shipments is called a Fix and is curated by Stitch Fix stylists in exchange of a styling fee. Moreover, clients can buy an annual Style Pass. The company's website and mobile app include style profile that the client is required to fill up.'Post that, every client has the option to leave a note for his or her stylist, while placing the order. This enables Stitch Fix to personalize a Fix more efficiently. In addition to this, customers can choose order frequency per their preference and select the exact date of delivery. Stitch Fix launched direct-buy functionality to allow clients the flexibility of purchasing items outside of a Fix.

Fiscal Year End Date: 07/31

(Values in U.S. Thousands) Jul, 2024 Jul, 2023 Jul, 2022 Jul, 2021 Jul, 2020
Sales 1,337,470 1,638,420 2,072,810 2,101,260 1,711,730
Sales Growth -18.37% -20.96% -1.35% +22.76% +8.50%
Net Income -128,840 -171,970 -207,120 -8,880 -67,120
Net Income Growth +25.08% +16.97% -2,232.43% +86.77% -282.00%
(Values in U.S. Thousands) Jul, 2024 Jul, 2023 Jul, 2022 Jul, 2021 Jul, 2020
Total Assets 486,860 614,480 764,540 819,150 769,430
Total Assets Growth -20.77% -19.63% -6.67% +6.46% +24.89%
Total Liabilities 299,840 367,170 441,880 358,300 368,390
Total Liabilities Growth -18.34% -16.91% +23.33% -2.74% +67.40%
(Values in U.S. Thousands) Jul, 2024 Jul, 2023 Jul, 2022 Jul, 2021 Jul, 2020
Operating Cash Flow 28,210 57,830 55,400 -15,680 42,880
Operating Cash Flow Growth -51.22% +4.39% +453.32% -136.57% -45.44%
Net Cash Flow -76,580 108,500 1,150 -13,670 -27,480
Change in Net Cash Flow -170.58% +9,334.78% +108.41% +50.25% +80.29%
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