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Not Investment Advice

SDC NASDAQ

SmileDirectClub, Inc.
1W: +10.2% 1M: -71.6% 3M: -94.7% 1Y: -93.6% 3Y: -99.5%
$0.07
Last traded 2023-10-31 — delisted
NASDAQ · Healthcare · Medical - Instruments & Supplies · $29.1M mcap · 124M float · 3.64% daily turnover

Balance Sheet Trends

Total Assets
$597M -24.9% ▼
5Y CAGR: +55.2%
Total Liabilities
$982M +5.7% ▲
5Y CAGR: +57.8%
Shareholders Equity
$111M -35.0% ▼
Cash & Investments
$93M -58.6% ▼
5Y CAGR: +87.0%
Total Debt
$865M +13.7% ▲
5Y CAGR: +76.4%
Net Debt
$772M +44.0% ▲

Assets vs Liabilities & Equity

Year-over-Year Growth

View Full Balance Sheet
Line ItemFY2018FY2019FY2020FY2021FY2022
— Assets —
Cash$314M$318M$317M$225M$93M
Short-Term Investments$0$0$0$0$0
Cash & ST Investments$314M$318M$317M$225M$93M
Net Receivables$114M$239M$222M$185M$143M
Inventory$9M$18M$29M$41M$44M
Other Current Assets$318K$14M$13M$18M$17M
Total Current Assets$442M$590M$581M$468M$297M
Property, Plant & Equip.$53M$178M$221M$252M$211M
Goodwill & Intangibles$0$7M$7M$10M$10M
Long-Term Investments$0$0$1M$3M$6M
Other Non-Current Assets$60M$111M$11M$15M$72M
Total Non-Current Assets$113M$295M$304M$327M$300M
Total Assets$555M$886M$885M$795M$597M
— Liabilities —
Accounts Payable$25M$53M$37M$20M$31M
Short-Term Debt$18M$35M$16M$11M$0
Deferred Revenue$19M$25M$27M$20M$14M
Other Current Liabilities$55M$90M$107M$127M$73M
Total Current Liabilities$117M$203M$187M$178M$117M
Long-Term Debt$139M$173M$421M$750M$865M
Other Non-Current Liab.$389M$47M$43M$347K$0
Total Non-Current Liabilities$528M$220M$464M$751M$865M
Total Liabilities$646M$423M$651M$929M$982M
— Equity —
Common Stock$0$38K$38K$39K$39K
Retained Earnings-$91M-$115M-$193M-$295M-$382M
Accumulated OCI-$12M-$272K-$102K$293K$430K
Total Stockholders Equity-$90M$337M$308M$171M$111M
Total Liabilities & Equity$555M$886M$885M$795M$597M
— Key Metrics —
Total Debt$157M$209M$436M$761M$865M
Net Debt-$157M-$110M$120M$536M$772M
Total Investments$0$0$1M$3M$6M

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms