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RVNC Quote, Financials, Valuation and Earnings

Last price:
$3.07
Seasonality move :
-2.77%
Day range:
$3.07 - $3.08
52-week range:
$2.30 - $9.75
Dividend yield:
0%
P/E ratio:
--
P/S ratio:
1.16x
P/B ratio:
--
Volume:
698.9K
Avg. volume:
2.8M
1-year change:
-65.12%
Market cap:
$323.1M
Revenue:
$234M
EPS (TTM):
-$1.94
Period Ending 2019-12-31 2020-12-31 2021-12-31 2022-12-31 2023-12-31
Revenue $413K $15.3M $77.8M $132.6M $234M
Revenue Growth (YoY) -88.93% 3610.65% 407.65% 70.4% 76.55%
 
Cost of Revenues -- $4.8M $23.4M $51.7M $74.4M
Gross Profit $413K $10.6M $54.4M $80.9M $159.7M
Gross Profit Margin -- 68.88% 69.91% 61.03% 68.23%
 
R&D Expenses $102.9M $125.8M $116.3M $101.3M $79.4M
Selling, General & Admin $62M $151.8M $198.8M $219.7M $292.2M
Other Inc / (Exp) -$502K -$721K -$698K -$72M -$95.3M
Operating Expenses $164.9M $283.7M $329.1M $353.1M $382M
Operating Income -$164.5M -$273.2M -$274.7M -$272.2M -$222.3M
 
Net Interest Expenses -- $10.8M $5.9M $11.6M $6.1M
EBT. Incl. Unusual Items -$159.4M -$284.7M -$281.3M -$355.7M -$323.7M
Earnings of Discontinued Ops. -- -- -- -- --
Income Tax Expense -- -$2.6M -- $700K $300K
Net Income to Company -$159.4M -$282.1M -$281.3M -$356.4M -$324M
 
Minority Interest in Earnings -- -- -- -- --
Net Income to Common Excl Extra Items -$159.4M -$282.1M -$281.3M -$356.4M -$324M
 
Basic EPS (Cont. Ops) -$3.67 -$4.86 -$4.17 -$4.90 -$3.83
Diluted EPS (Cont. Ops) -$3.67 -$4.86 -$4.17 -$4.90 -$3.83
Weighted Average Basic Share $43.5M $58M $67.5M $72.7M $84.6M
Weighted Average Diluted Share $43.5M $58M $67.5M $72.7M $84.6M
 
EBITDA -$156.5M -$259.3M -$255.2M -$300.1M -$290.6M
EBIT -$159.4M -$269.6M -$275M -$339.2M -$304.3M
 
Revenue (Reported) $413K $15.3M $77.8M $132.6M $234M
Operating Income (Reported) -$164.5M -$273.2M -$274.7M -$272.2M -$222.3M
Operating Income (Adjusted) -$159.4M -$269.6M -$275M -$339.2M -$304.3M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Revenue $3.8M $19.7M $29M $54.1M $59.9M
Revenue Growth (YoY) 8236.96% 414.86% 46.95% 86.5% 10.66%
 
Cost of Revenues $1.1M $5.9M $10.7M $16.8M $17.6M
Gross Profit $2.8M $13.9M $18.3M $37.3M $42.2M
Gross Profit Margin 71.71% 70.19% 63% 68.92% 70.55%
 
R&D Expenses $29.1M $30.1M $26.1M $8.7M $11.4M
Selling, General & Admin $47.5M $51.8M $64.7M $65.2M $62.2M
Other Inc / (Exp) -$208K -$166K -$757K -$223K -$258K
Operating Expenses $79.9M $86.6M $95.8M $74.9M $74.5M
Operating Income -$77.1M -$72.7M -$77.5M -$37.6M -$32.3M
 
Net Interest Expenses $3.9M $1.5M $5.8M $1.4M $4.1M
EBT. Incl. Unusual Items -$81.3M -$74.4M -$84M -$39.1M -$36.6M
Earnings of Discontinued Ops. -- -- -- -$101.7M --
Income Tax Expense -- -- $700K $300K $1.5M
Net Income to Company -$81.3M -$74.4M -$84.7M -$141.2M -$38.1M
 
Minority Interest in Earnings -- -- -- -- --
Net Income to Common Excl Extra Items -$81.3M -$74.4M -$84.7M -$141.2M -$38.1M
 
Basic EPS (Cont. Ops) -$1.34 -$1.10 -$1.17 -$1.63 -$0.37
Diluted EPS (Cont. Ops) -$1.34 -$1.10 -$1.17 -$1.63 -$0.37
Weighted Average Basic Share $60.5M $67.8M $72.2M $86.6M $104.2M
Weighted Average Diluted Share $60.5M $67.8M $72.2M $86.6M $104.2M
 
EBITDA -$73.1M -$67.7M -$68.3M -$31.9M -$28.6M
EBIT -$76.9M -$72.8M -$77.1M -$34.1M -$29.9M
 
Revenue (Reported) $3.8M $19.7M $29M $54.1M $59.9M
Operating Income (Reported) -$77.1M -$72.7M -$77.5M -$37.6M -$32.3M
Operating Income (Adjusted) -$76.9M -$72.8M -$77.1M -$34.1M -$29.9M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Revenue $4.3M $63M $108.6M $204.2M $256.9M
Revenue Growth (YoY) -- -- -- -- --
 
Cost of Revenues -- $19.2M $36M $70.4M $77.6M
Gross Profit $3.2M $43.8M $72.6M $133.8M $179.3M
Gross Profit Margin -- -- -- -- --
 
R&D Expenses $123.5M $116.6M $111.2M $63.4M $77.2M
Selling, General & Admin $117.3M $203.5M $204.8M $265M $290M
Other Inc / (Exp) -$810K -$810K -$1.4M -$71.7M -$95.4M
Operating Expenses $244.5M $334.8M $331.7M $349M $374.6M
Operating Income -$241.4M -$291M -$259.2M -$215.2M -$195.3M
 
Net Interest Expenses $6.8M $7.4M $12.4M $4.8M $10.8M
EBT. Incl. Unusual Items -$249M -$299.2M -$272.9M -$291.7M -$301.5M
Earnings of Discontinued Ops. -- -- -- -$122.2M -$3.6M
Income Tax Expense $100K -- -- -- --
Net Income to Company -$249.1M -$296.5M -$273.6M -$414.2M -$184.4M
 
Minority Interest in Earnings -- -- -- -- --
Net Income to Common Excl Extra Items -$249.1M -$296.5M -$273.9M -$414.2M -$184.4M
 
Basic EPS (Cont. Ops) -$4.60 -$4.49 -$3.92 -$4.99 -$1.94
Diluted EPS (Cont. Ops) -$4.60 -$4.49 -$3.92 -$4.99 -$1.94
Weighted Average Basic Share -- -- -- -- --
Weighted Average Diluted Share -- -- -- -- --
 
EBITDA -$231.6M -$271.4M -$232.4M -$243.4M -$268.9M
EBIT -$238.3M -$290.1M -$258.6M -$274M -$278.4M
 
Revenue (Reported) $4.3M $63M $108.6M $204.2M $256.9M
Operating Income (Reported) -$241.4M -$291M -$259.2M -$215.2M -$195.3M
Operating Income (Adjusted) -$238.3M -$290.1M -$258.6M -$274M -$278.4M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Revenue $4.2M $51.8M $82.6M $154.3M $177.2M
Revenue Growth (YoY) -- -- -- -- --
 
Cost of Revenues $1.1M $15.5M $28.2M $46.9M $50.2M
Gross Profit $3.1M $36.3M $54.5M $107.4M $127M
Gross Profit Margin -- -- -- -- --
 
R&D Expenses $96M $86.8M $81.7M $43.8M $41.7M
Selling, General & Admin $97.9M $149.5M $155.5M $200.9M $196.5M
Other Inc / (Exp) -$617K -$706K -$1.4M -$1.1M -$1.1M
Operating Expenses $198.3M $249.4M $252M $248M $240.6M
Operating Income -$195.2M -$213.1M -$197.5M -$140.6M -$113.6M
 
Net Interest Expenses $7.9M $4.4M $10.9M $4.1M $8.9M
EBT. Incl. Unusual Items -$203.7M -$218.2M -$209.8M -$145.8M -$123.6M
Earnings of Discontinued Ops. -- -- -- -$122.2M -$3.6M
Income Tax Expense $100K -- $1M $236K $1.5M
Net Income to Company -$203.8M -$218.2M -$210.5M -$268.3M -$128.7M
 
Minority Interest in Earnings -- -- -- -- --
Net Income to Common Excl Extra Items -$203.8M -$218.2M -$210.8M -$268.2M -$128.7M
 
Basic EPS (Cont. Ops) -$3.61 -$3.25 -$2.99 -$3.17 -$1.31
Diluted EPS (Cont. Ops) -$3.61 -$3.25 -$2.99 -$3.17 -$1.31
Weighted Average Basic Share $168.7M $201.9M $210.6M $251.4M $300M
Weighted Average Diluted Share $168.7M $201.9M $210.6M $251.4M $300M
 
EBITDA -$187M -$199.1M -$176.3M -$119.6M -$101.3M
EBIT -$192.9M -$213.5M -$197M -$131.8M -$105.9M
 
Revenue (Reported) $4.2M $51.8M $82.6M $154.3M $177.2M
Operating Income (Reported) -$195.2M -$213.1M -$197.5M -$140.6M -$113.6M
Operating Income (Adjusted) -$192.9M -$213.5M -$197M -$131.8M -$105.9M
Period Ending 2019-12-31 2020-12-31 2021-12-31 2022-12-31 2023-12-31
Cash and Equivalents $171.2M $333.6M $110.6M $109M $137.3M
Short Term Investments $119M $102.9M $114.4M $231.7M $116.6M
Accounts Receivable, Net -- $1.8M $3.3M $11.3M $27.7M
Inventory -- $5.9M $10.2M $18.3M $45.6M
Prepaid Expenses -- -- -- -- --
Other Current Assets $6.5M $5.8M $7.5M $4.4M $11.1M
Total Current Assets $296.6M $450M $246.1M $374.7M $338.9M
 
Property Plant And Equipment $41.3M $47.1M $69M $59.4M $90.2M
Long-Term Investments -- -- -- -- --
Goodwill -- $147M $147M $77.2M --
Other Intangibles -- $71.3M $55.3M $35.3M $9.8M
Other Long-Term Assets $2.4M $4.8M $6M $7.7M $7.2M
Total Assets $340.3M $720.2M $531.2M $581.9M $478.5M
 
Accounts Payable $8M $12.7M $10.6M $4.5M $13.8M
Accrued Expenses $10.5M $14.1M $15.4M $28M $19.5M
Current Portion Of Long-Term Debt -- -- -- -- $2.5M
Current Portion Of Capital Lease Obligations $3.5M $4.4M $4.7M $4.9M $8.4M
Other Current Liabilities $3.2M $4.6M $4.5M $3.3M $3.2M
Total Current Liabilities $41M $61M $67.3M $75.7M $89.2M
 
Long-Term Debt -- $180.5M $280.6M $379.4M $426.6M
Capital Leases -- -- -- -- --
Total Liabilities $114.8M $345.9M $462.7M $569.3M $630.1M
 
Common Stock $52K $69K $72K $82K $88K
Other Common Equity Adj $3K -- -$18K -$374K $14K
Common Equity $225.5M $374.3M $68.5M $12.6M -$151.6M
Total Preferred Equity -- -- -- -- --
Minority Interest, Total -- -- -- -- --
Total Equity $225.5M $374.3M $68.5M $12.6M -$151.6M
 
Total Liabilities and Equity $340.3M $720.2M $531.2M $581.9M $478.5M
Cash and Short Terms $290.1M $436.5M $225.1M $340.7M $253.9M
Total Debt -- $180.5M $280.6M $379.4M $429.1M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Cash and Equivalents $339.4M $127.2M $104.5M $179.3M $58.6M
Short Term Investments $96.4M $146.5M $274.1M $120.9M $125.5M
Accounts Receivable, Net $2.6M $1.7M $11.7M $25.4M $48.3M
Inventory $4M $10.2M $17.2M $46.2M $85.2M
Prepaid Expenses -- -- -- -- --
Other Current Assets $7.7M $8.4M $8.1M $16.4M $9.9M
Total Current Assets $450.1M $293.9M $415.6M $388.5M $329.7M
 
Property Plant And Equipment $40.3M $67.6M $73.2M $95.2M $77M
Long-Term Investments -- -- -- -- --
Goodwill $144.5M $147M $147M -- --
Other Intangibles $74.8M $59.5M $42.9M $10.5M $7.6M
Other Long-Term Assets $2.4M $13.9M $32.9M $7.4M $5.7M
Total Assets $712.1M $581.8M $711.6M $532.5M $461.6M
 
Accounts Payable $7.9M $8M $744K $4.8M $12.3M
Accrued Expenses $16.2M $13.2M $23M $22.6M $22.4M
Current Portion Of Long-Term Debt -- -- -- $1.3M $10.2M
Current Portion Of Capital Lease Obligations $4M $4.8M $13.5M $17.3M $17.2M
Other Current Liabilities $6.2M $5.4M $1.7M $4.8M $1.2M
Total Current Liabilities $63.7M $65.9M $74.7M $82.2M $80M
 
Long-Term Debt $177.4M $280.3M $378.9M $427.1M $421M
Capital Leases -- -- -- -- --
Total Liabilities $339.3M $461.7M $565.9M $638.7M $624.6M
 
Common Stock $67K $72K $82K $88K $105K
Other Common Equity Adj -- -$3K -$460K -$13K $72K
Common Equity -- -- -- -- --
Total Preferred Equity -- -- -- -- --
Minority Interest, Total -- -- -- -- --
Total Equity $372.9M $120.2M $145.7M -$106.2M -$163M
 
Total Liabilities and Equity $712.1M $581.8M $711.6M $532.5M $461.6M
Cash and Short Terms $435.8M $273.7M $378.6M $300.2M $184.1M
Total Debt $177.4M $280.3M $378.9M $428.4M $431.2M
Period Ending 2019-12-31 2020-12-31 2021-12-31 2022-12-31 2023-12-31
Net Income to Stockholders -$159.4M -$282.1M -$281.3M -$356.4M -$324M
Depreciation & Amoritzation $2.9M $10.3M $19.9M $39.1M $13.7M
Stock-Based Compensation $17.9M $36.5M $43.4M $52.3M $47.8M
Change in Accounts Receivable $27M -$1.7M -$1.5M -$8M -$16.3M
Change in Inventories -- -$5.9M -$4.3M -$6M -$14.9M
Cash From Operations -$106.2M -$178.5M -$221.5M -$193.5M -$216.6M
 
Capital Expenditures $3.2M $4.2M $10.4M $3.2M $6.9M
Cash Acquisitions -- -$818K -- -- --
Cash From Investing -$17.6M $12.1M -$29.7M -$138.8M $109.7M
 
Dividends Paid (Ex Special Dividend) -- -- -- -- --
Special Dividend Paid
Long-Term Debt Issued -- $287.5M -- $98.2M $48.4M
Long-Term Debt Repaid -- -- -- -$11.1M -$18.3M
Repurchase of Common Stock -- -- -- -- --
Other Financing Activities -$2.1M -$46.9M -$8.5M -$8.2M -$9.1M
Cash From Financing $221.7M $331.5M $29.9M $331.7M $136.6M
 
Beginning Cash (CF) $74M $171.9M $337M $115.7M $115M
Foreign Exchange Rate Adjustment -- -- -- -- --
Additions / Reductions $97.9M $165.1M -$221.3M -$652K $29.7M
Ending Cash (CF) $171.9M $337M $115.7M $115M $144.7M
 
Levered Free Cash Flow -$109.4M -$182.7M -$231.9M -$196.8M -$223.5M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Net Income to Stockholders -$81.3M -$74.4M -$84.7M -$141.2M -$38.1M
Depreciation & Amoritzation $3.8M $5.2M $8.8M $2.1M $1.3M
Stock-Based Compensation $10.7M $10.5M $18M $10.3M $4.6M
Change in Accounts Receivable -$2.4M -$1M -$6.1M -$8.4M -$12.2M
Change in Inventories -$3.2M -$5.1M -$3.2M -$6.4M -$3.5M
Cash From Operations -$55.7M -$53.2M -$57.9M -$51M -$41.1M
 
Capital Expenditures $777K -$2.5M $1M $4.5M $61K
Cash Acquisitions -$818K -- -- -- --
Cash From Investing $32.5M $16.8M -$118.4M $51.6M $23.3M
 
Dividends Paid (Ex Special Dividend) -- -- -- -- --
Special Dividend Paid -- -- -- -- --
Long-Term Debt Issued -- -- -- $48.4M --
Long-Term Debt Repaid -- -- -$3.2M -$6.6M -$5.7M
Repurchase of Common Stock -- -- -- -- --
Other Financing Activities -$4.5M -$2.8M -$2.1M -$4.4M -$374K
Cash From Financing -$687K -$2.5M $211.4M $37.5M -$6.1M
 
Beginning Cash (CF) $364.6M $171.1M $75.3M $148.7M $88.5M
Foreign Exchange Rate Adjustment -- -- -- -- --
Additions / Reductions -$23.9M -$38.9M $35.1M $38.1M -$23.9M
Ending Cash (CF) $340.7M $132.2M $110.4M $186.7M $64.6M
 
Levered Free Cash Flow -$56.5M -$50.7M -$58.9M -$55.5M -$41.2M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Net Income to Stockholders -$249.1M -$296.5M -$273.6M -$414.2M -$184.4M
Depreciation & Amoritzation $6.7M $18.8M $26.2M $30.7M $6.1M
Stock-Based Compensation $29.6M $44.4M $52.5M $49.7M $28.2M
Change in Accounts Receivable $2.5M $927K -$10.1M -$13.7M -$22.8M
Change in Inventories -$4M -$6.2M -$6.6M -$17.5M -$7.1M
Cash From Operations -$149.7M -$239.2M -$208M -$204M -$190.9M
 
Capital Expenditures $2.3M $8.2M $6.3M $6.4M $4M
Cash Acquisitions -$818K -- -- -- --
Cash From Investing $51.7M -$66M -$152.1M $148.3M -$12.9M
 
Dividends Paid (Ex Special Dividend) -- -- -- -- --
Special Dividend Paid
Long-Term Debt Issued $287.5M -- $98.2M -- --
Long-Term Debt Repaid -- -- -$5M -$21.6M -$16.6M
Repurchase of Common Stock -- -- -- -- --
Other Financing Activities -$44.8M -$9.7M -$7.2M -$11.2M -$1.2M
Cash From Financing $379M $96.8M $338.3M $132M $81.7M
 
Beginning Cash (CF) -- -- -- -- --
Foreign Exchange Rate Adjustment -- -- -- -- --
Additions / Reductions $281M -$208.5M -$21.8M $76.3M -$122.1M
Ending Cash (CF) -- -- -- -- --
 
Levered Free Cash Flow -$152M -$247.5M -$214.3M -$210.4M -$194.9M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Net Income to Stockholders -$203.8M -$218.2M -$210.5M -$268.3M -$128.7M
Depreciation & Amoritzation $5.9M $14.4M $20.8M $12.3M $4.7M
Stock-Based Compensation $24.6M $32.5M $41.6M $39M $19.4M
Change in Accounts Receivable -$2.5M $171K -$8.4M -$14.1M -$20.6M
Change in Inventories -$4M -$4.3M -$6.6M -$18.1M -$10.3M
Cash From Operations -$116.2M -$176.9M -$163.4M -$173.8M -$148.2M
 
Capital Expenditures $2M $6M $1.9M $5.1M $2.2M
Cash Acquisitions -$818K -- -- -- --
Cash From Investing $20.8M -$57.3M -$179.8M $107.4M -$15.3M
 
Dividends Paid (Ex Special Dividend) -- -- -- -- --
Special Dividend Paid -- -- -- -- --
Long-Term Debt Issued $287.5M -- $98.2M $48.4M --
Long-Term Debt Repaid -- -- -$5M -$15.5M -$13.8M
Repurchase of Common Stock -- -- -- -- --
Other Financing Activities -$44.4M -$7.3M -$5.9M -$8.9M -$1M
Cash From Financing $264.2M $29.5M $337.9M $138.2M $83.3M
 
Beginning Cash (CF) $823.8M $761M $395.3M $407.8M $373.2M
Foreign Exchange Rate Adjustment -- -- -- -- --
Additions / Reductions $168.8M -$204.8M -$5.3M $71.7M -$80.1M
Ending Cash (CF) $992.6M $556.2M $390M $479.5M $293M
 
Levered Free Cash Flow -$118.2M -$182.9M -$165.3M -$179M -$150.4M

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