High Tide Inc. (HITI) Annual Margin Report - Discounting Cash Flows
HITI
High Tide Inc.
HITI (NASDAQ)

Annual Margin Analysis Report

Margins refer to the ratio between a financial report item and the revenue (Example: Net Income Margin = Net Income / Revenue).

This analysis provides a report of the company's key margins, which could be further used in a valuation model.

Interactive Assumptions

Historical Years

Historical Years

Number of historical years used to render the Chart and Tables.

Margin Analysis (% of Revenue)

Monetary values are in USD

amounts of USD except for #

Average LTM 2024 2023 2022 2021 2020
Revenue 337.6 394.5 522.3 487.7 356.9 181.1 83.27
Revenue Growth Rate 66.65% -24.46% 7.1% 36.66% 97.02% 117.5% 166.1%
Cost of Revenue 244.9 307.5 379.8 356.4 255.9 117.1 52.45
Gross Profit 92.78 87.09 142.5 131.3 101 63.98 30.81
Gross Margin 29.48% 22.07% 27.28% 26.93% 28.29% 35.33% 37%
Operating Income -12.24 2.5 5 -41.42 -20.11 -18.74 -0.677
Operating Margin -3.95% 0.633% 0.958% -8.49% -5.64% -10.35% -0.813%
Net Income -26.81 -5 -4.34 -39.31 -70.85 -35.04 -6.35
Net Margin -9.5% -1.27% -0.83% -8.06% -19.85% -19.34% -7.63%

amounts of USD except for #

Average LTM 2024 2023 2022 2021 2020
Revenue 337.6 394.5 522.3 487.7 356.9 181.1 83.27
Cash From Operating Activities Margin 3.51% 5.47% 4.88% 3.05% 0.924% -1.26% 7.97%
Cash From Operating Activities 11.6 21.58 25.5 14.89 3.3 -2.28 6.64
Free Cash Flow Margin 1.29% 3.53% 3.54% 2.15% -0.938% -6.03% 5.48%
Free Cash Flow 5.54 13.92 18.51 10.51 -3.35 -10.93 4.56
Depreciation and Amortization Margin 5.95% 4.54% 3.49% 4.84% 6.2% 10.5% 6.12%
Depreciation and Amortization 17.67 17.93 18.22 23.6 22.14 19.02 5.1
Capital Expenditure Margin -2.22% -1.94% -1.34% -0.898% -1.86% -4.77% -2.49%
Capital Expenditure -6.07 -7.66 -6.99 -4.38 -6.64 -8.65 -2.08
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Discounting Cash Flows

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