Lazydays Holdings, Inc. (GORV)
NASDAQ: GORV · IEX Real-Time Price · USD
3.440
-0.040 (-1.15%)
At close: Apr 24, 2024, 4:00 PM
3.420
-0.020 (-0.58%)
After-hours: Apr 24, 2024, 4:06 PM EDT

Lazydays Holdings Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Year 2023202220212020201920172016
Cash & Equivalents
58.0961.6998.1263.5131.4613.294.16
Cash & Cash Equivalents
58.0961.6998.1263.5131.4613.294.16
Cash Growth
-5.84%-37.13%54.49%101.89%136.67%219.67%-
Receivables
22.6925.0530.619.4616.0319.9113.69
Inventory
456.09378.88242.91116.27160.86114.17124.07
Other Current Assets
10.0311.234.014.643.332.064.57
Total Current Assets
546.9476.85375.64203.88211.67149.44146.48
Property, Plant & Equipment
292.1185.98152.75121.7986.8845.6748.45
Goodwill and Intangibles
80.55165.13168.12117.85107.8351.0851.82
Other Long-Term Assets
18.192.771.620.470.260.360.4
Total Long-Term Assets
390.84353.87322.49240.12194.9697.11100.67
Total Assets
937.74830.72698.13444406.64246.55247.14
Accounts Payable
15.1410.845938.7823.8625.1823.04
Current Debt
455.67359.7206.14134.19150.88107.44101.02
Other Current Liabilities
29.1629.091.211.2102.21.33
Total Current Liabilities
499.98399.63266.35174.18174.73134.83125.39
Long-Term Debt
224.57122.66141.7199.1479.1360.8963.17
Other Long-Term Liabilities
016.4428.9630.1917.201.55
Total Long-Term Liabilities
224.57139.1170.67129.3296.3360.8964.72
Total Liabilities
724.55538.72437.02303.5271.06195.71190.11
Total Debt
680.25482.35347.85233.32230.01168.33164.19
Debt Growth
41.03%38.67%49.09%1.44%36.64%2.52%-
Retained Earnings
48.14163.296.8114.794.81.097.78
Shareholders' Equity
157237.01206.1385.5274.6850.8357.03
Net Cash / Debt
-622.16-420.67-249.73-169.81-198.55-155.04-160.03
Net Cash Per Share
-45.45-32.87-19.43-9.39-20.30--
Working Capital
46.9277.22109.2929.736.9414.6121.09
Book Value Per Share
11.4720.2518.088.727.636.00-
Source: Financials are provided by Nasdaq Data Link and sourced from the audited annual (10-K) and quarterly (10-Q) reports submitted to the Securities and Exchange Commission (SEC).