CIMPRESS plc (CMPR)

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CIK 0001262976 · Nasdaq · Commercial Printing

  • Sector Manufacturing
  • Incorporated L2
  • Fiscal year ends Jun 30

In fiscal 2025, CIMPRESS plc reported revenue of $3.40B, up 3.4% from the prior year. The company was profitable, with a net margin of 0.4%. It held $1.97B in total assets against $2.53B in total liabilities.

Key ratios (FY2025)

6.6%
Operating margin
0.4%
Net margin
+3.4%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$3.40B$3.29B$3.08B$2.89B$2.58B$2.48B$2.75B$2.59B$2.14B
Cost of Revenue$1.79B$1.70B$1.64B$1.49B$1.30B$1.25B$1.40B$1.28B$1.04B
Operating Income$226.27M$247.35M$57.31M$47.30M$123.51M$55.97M$163.61M$157.80M-$45.70M
Net Income$14.95M$173.68M-$185.98M-$54.33M-$85.23M$83.36M$95.05M$43.73M-$71.71M
EPS (Diluted)$0.58$6.43$-7.08$-2.08$-3.28$3.00$3.00$1.36$-2.29
Total Assets$1.97B$1.89B$1.85B$2.17B$2.18B$1.82B$1.87B$1.65B
Total Liabilities$2.53B$2.42B$2.47B$2.53B$2.56B$2.15B$1.67B$1.47B
Shareholders' Equity-$583.49M-$550.15M-$623.14M-$494.92M-$449.37M-$407.48M-$131.81M$93.66M$75.00M$165.72M
Cash & Equivalents$233.98M$203.78M$130.31M$277.05M$183.02M$45.02M$35.28M$44.23M$25.70M$77.43M
Operating Cash Flow$298.07M$350.72M$130.29M$219.54M$265.22M$338.44M$331.10M$192.33M$156.74M
Capital Expenditures$89.02M$54.93M$53.77M$54.04M$38.52M$50.47M$70.56M$60.93M$74.16M
Shares Outstanding25.64M27.00M26.25M26.09M26.00M27.77M31.66M32.22M31.29M