OLAPLEX HOLDINGS, INC. (OLPX)

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CIK 0001868726 · Nasdaq · Perfumes, Cosmetics & Other Toilet Preparations

  • Sector Manufacturing
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, OLAPLEX HOLDINGS, INC. reported revenue of $422.96M, up 0.1% from the prior year. The company ran a net loss, with a net margin of -2.2% and a gross margin of 69.4%. It held $1.50B in total assets against $618.10M in total liabilities.

Key ratios (FY2025)

69.4%
Gross margin
1.6%
Operating margin
-2.2%
Net margin
-1.1%
Return on equity
+0.1%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019
Revenue$422.96M$422.67M$458.30M$704.27M$598.37M$282.25M
Cost of Revenue$129.31M$130.38M$139.67M$184.72M$124.54M$102.66M
Gross Profit$293.65M$292.29M$318.63M$519.55M$473.82M$179.59M
Operating Income$6.95M$66.94M$108.22M$364.39M$334.15M$86.09M
Net Income-$9.25M$19.52M$61.59M$244.07M$220.78M$39.28M
EPS (Diluted)$-0.01$0.03$0.09$0.35$0.32$0.06
Total Assets$1.50B$1.77B$1.74B$1.70B$1.56B$1.33B
Total Liabilities$618.10M$893.32M$895.37M$916.72M$1.04B$802.16M
Shareholders' Equity$879.39M$874.40M$844.97M$780.96M$524.30M$530.67M$0
Cash & Equivalents$318.73M$585.97M$466.40M$322.81M$186.39M$10.96M
Operating Cash Flow$58.66M$143.07M$177.53M$255.32M$200.03M$128.97M
Capital Expenditures$331.0K$1.12M$375.0K$650.0K$875.0K$27.0K
Shares Outstanding669.08M664.22M660.73M650.09M648.79M647.89M