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Bed Bath & Beyond Inc (BBBY)

Bed Bath & Beyond Inc (BBBY)

24.97 -0.06 -0.24%
20/01 - Closed. Currency in USD
After Hours 25.21 +0.24 +0.96% 20/01
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For the 39 weeks ended 28 November 2020, Bed Bath &Beyond Inc. revenues decreased 18% to $6.61B. Net lossbefore extraordinary items decreased 63% to $203.5M.Revenues reflect a decrease in demand for the Company'sproducts and services due to unfavorable market conditions.Lower net loss reflects Merchandise Margins, Total -%increase of 6% to 33.3%, Goodwill and other impairmentsdecrease of 61% to $172.4M (expense), Selling.

Income Statement

Total Revenue Net Income
Nov 28, 2020 Aug 29, 2020 May 30, 2020 Feb 29, 2020
2618.47 2687.97 1307.45 3106.82
956.57 987.54 348.49 1013.66
-122.85 347.58 -460.93 -81.21
-75.44 217.9 -302.29 -65.41
Period Ending:
Total Revenue
Gross Profit
Operating Income
Net Income
Gross marginTTM 34.01%
Operating marginTTM -3.27%
Net Profit marginTTM -2.77%
Return on InvestmentTTM -5.6%

Balance Sheet

Total Assets Total Liabilities
Nov 28, 2020 Aug 29, 2020 May 30, 2020 Feb 29, 2020
6991.61 7439.1 7694.35 7790.52
5591.65 5742.09 6233.26 6025.58
1399.96 1697.01 1461.09 1764.93
Period Ending:
Total Assets
Total Liabilities
Total Equity
Quick RatioMRQ 0.81
Current RatioMRQ 1.46
LT Debt to EquityMRQ 85.11%
Total Debt to EquityMRQ 85.14%

Cash Flow

Cash Net Change in Cash
Nov 28, 2020 9 Months Aug 29, 2020 6 Months May 30, 2020 3 Months Feb 29, 2020 12 Months
197.22 153.67 -392.35 586.13
751.89 551.96 314.65 91.38
-481.88 -255.12 212.67 -182.85
470.56 452.44 131.5 493.68
Period Ending:
Cash From Operating Activities
Cash From Investing Activities
Cash From Financing Activities
Net Change in Cash
Cash Flow/ShareTTM 0.66
Revenue/ShareTTM 78.69
Operating Cash Flow 7.28%

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