4.4
30.80 (07.00%)
As of Mar 06, 2024
PELOTON INTERACTIVE, INC. [PTON]
As of Feb 01, 2024 | Source: Quarterly Report to the SEC
Company Overview
Peloton Interactive, Inc. is a leading global fitness company with a highly engaged community of over 6.5 million Members across the United States, United Kingdom, Canada, Germany and Australia.
Country | United States |
Headquarters | New York, New York |
Phone Number | 866-679-9129 |
Industry | Miscellaneous Manufacturing Industries |
Employees | 2,765 |
CEO | Barry McCarthy |
Website | www.onepeloton.com |
Key fundamental financials loss of $159.30 million Revenue of $595.50 million Current Reporting Revenue Net Income Profit/Loss Sep 2023 $595.50 million $159.30 million loss Mar 2023 $748.90 million $2...
Key fundamental financials loss of $1,261.70 million Revenue of $2,800.20 million Current Reporting Revenue Net Income Profit/Loss Jun 2023 $2,800.20 million $1,261.70 million loss Jun 2022 $3,582.10 ...
Key fundamental financials loss of $275.90 million Revenue of $748.90 million Current Reporting Revenue Net Income Profit/Loss Mar 2023 $748.90 million $275.90 million loss Dec 2022 $792.70 million $3...
Key fundamental financials loss of $275.90 million Revenue of $748.90 million Peloton Interactive, Inc. [PTON] has reported $275.90 million loss for the fiscal quarter ending Mar 31, 2023. Revenue for...
Net Sales: $792.70M PELOTON INTERACTIVE, INC. [PTON] posted a loss of $335.40M, marking a rise of 17.89% for this quarter. Revenue rose to $792.70M this quarter compared to $616.50M in the previous qu...
Financial Overview
Revenue | 744 M |
Operating Revenue | -187 M |
Profits | -195 M |
Net Cash | -087 M |
Management Effectiveness
Return on Equity | 0.34% |
Return on Assets | -0.07% |
Turnover Ratio | 0.28 M |
EBIT | -187 M |
Profit Ratios
Gross Margin | 299 M |
Operating Margin | -25.16% |
Profit as % of Revenues | -153.62% |
Profit as % of Assets | -7.3% |
Profit as % of Stockholder Equity | 39.03% |
Balance Sheet and Cash Flow Measures
Total Assets | 2,569 M |
Total Liabilities | 3,069 M |
Operating Cash Flow | -110 M |
Investing Cash Flow | 005 M |
Financing Cash Flow | 017 M |