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Profile

Snap One Holdings Corp (SNPO)

Snap One Holdings Corp. provides smart-living solutions in the United States and internationally. The company offers end-to-end product and software ecosystem and technology-enabled workflow solutions. It also provides connected products, including networking, control and lighting, surveillance, and power products; entertainment products for indoor and outdoor solutions, such as media distribution products, as well as audio and video products; and infrastructure products, which include structured wiring and cable products, racks, and mounts. In addition, the company offers software solutions consisting of OvrC system that provides integrators with a cloud-based remote management and monitoring solution; Control4 OS3 for command and control of smart-living systems; and a subscription-based for end consumers including Parasol, 4Sight, Control4 Connect, and Control4 Assist. It sells its through integrators and distributors, as well as through e-commerce portal. The company was formerly known as Crackle Intermediate Corp. and changed its name to Snap One Holdings Corp. in March 2021. The company was founded in 2005 and is headquartered in Charlotte, North Carolina. As of June 14, 2024, Snap One Holdings Corp. operates as a subsidiary of ADI Global Distribution.

Exchange: NASDAQ

IPO Date: 7/28/2021

Sector: Technology

Industry: Electronics & Computer Distribution

Employees: 1610

Address: 1800 Continental Boulevard, Charlotte, NC, United States, 28273

https://snapone.com

&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;03/31/202412/31/202309/30/202306/30/202303/31/202312/31/202209/30/202206/30/202203/31/202212/31/2021Totals
Assets
1.55M1.60M1.61M1.63M1.66M1.65M1.66M1.63M1.61M1.54M22.16M
Current Assets
361.55K399.44K392.41K406.30K425.24K412.72K420.22K396.80K358.25K339.27K5.09M
Cash And Short Term Investments
41.25K61.02K40.03K33.85K34.45K21.12K35.54K31.32K25.05K40.58K509.60K
Net Receivables
45.34K45.88K53.85K54.70K50.41K48.17K54.17K59.17K57.15K52.62K737.92K
Inventory
249.24K268.79K275.47K292.53K313.56K314.59K296.62K274.70K241.47K210.96K3.41M
Other Current Assets
25.71K23.75K2.71K2.96K3.77K5.93K33.88K31.61K34.58K35.11K259.41K
Non Current Assets
1.19M1.20M1.22M1.23M1.23M1.24M1.24M1.23M1.25M1.20M17.07M
Property Plant Equipment
---45.07K41.43K34.96K80.29K24.24K22.60K22.60K332.95K
Long Term Investments
-----------
Non Currrent Assets Other
9.04K8.61K8.16K6.09K-32.74K4.20K-44.00K-42.06K9.85K10.55K-30.76K
Liabilities
811.25K843.07K851.48K878.15K907.97K895.35K908.89K876.58K860.87K792.11K12.03M
Current Liabilities
146.05K166.39K170.25K166.39K169.32K167.88K190.77K183.93K168.80K151.79K2.30M
Accounts Payable
59.20K67.30K66.60K62.75K66.70K77.44K82.12K84.97K72.94K72.78K977.32K
Short Long Term Debt
3.90K3.90K5.20K5.20K5.20K5.06K4.65K4.65K3.49K3.49K82.46K
Other Current Liabilities
48.15K60.48K64.57K64.97K64.77K52.19K70.40K58.92K57.58K52.80K769.12K
Non Current Liabilities
665.19K676.68K681.23K711.77K738.65K727.47K718.12K692.66K692.08K640.32K9.73M
Long Term Debt
---522.41K544.93K507.60K502.65K493.35K449.26K449.26K3.91M
Other Liabilities
------169.74K168.57K174.66K191.06K1.06M
Stockholder Equity
738.57K759.86K757.75K756.26K749.38K757.17K753.96K753.67K751.38K748.01K10.13M
Preferred Stock Equity
-----------
Liabilities And Stockholders Equity
1.55M1.60M1.61M1.63M1.66M1.65M1.66M1.63M1.61M1.54M20.67M
Common Equity
---7567527507477467447446.63K
Retained Earnings
----102.72K-102.59K-88.05K-83.99K-82.98K-79.42K-79.42K-740.86K
Totals7.49M7.79M7.81M8.40M8.53M8.49M8.76M8.51M8.38M8.02M7.94M7.39M7.29M5.68M---110.47M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202312/31/202212/31/202112/31/202012/31/2019Totals
Assets
1.60M1.65M1.54M1.50M1.51M7.80M
Current Assets
399.44K412.72K339.27K293.57K254.40K1.70M
Cash And Short Term Investments
61.02K21.12K40.58K77.46K33.18K233.35K
Net Receivables
45.88K48.17K52.62K49.36K46.23K242.26K
Inventory
268.79K314.59K210.96K157.10K165.34K1.12M
Other Current Assets
23.75K5.93K35.11K9.65K9.65K84.09K
Non Current Assets
1.20M1.24M1.20M1.20M1.25M6.10M
Property Plant Equipment
-34.96K22.60K20.21K20.11K97.88K
Non Currrent Assets Other
8.61K-39.38K10.55K6.41K7.22K-6.59K
Liabilities
843.07K895.35K792.11K879.80K869.66K4.28M
Current Liabilities
166.39K167.88K151.79K170.75K134.72K791.52K
Accounts Payable
67.30K77.44K72.78K68.94K58.32K344.78K
Short Long Term Debt
3.90K5.06K3.49K21.15K6.82K40.42K
Other Current Liabilities
60.48K52.19K54.57K62.00K54.93K284.17K
Non Current Liabilities
676.68K727.47K640.32K709.05K734.94K3.49M
Long Term Debt
-507.60K449.26K--956.85K
Other Liabilities
-168.98K191.06K78.19K84.61K522.84K
Stockholder Equity
759.86K757.17K748.01K617.42K636.83K3.52M
Liabilities And Stockholders Equity
1.60M1.65M1.54M1.50M1.51M7.80M
Common Equity
-75074459581.61K
Retained Earnings
--88.05K-79.42K---167.47K
Totals7.79M8.61M8.02M7.42M7.38M39.23M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;06/30/202203/31/202212/31/202109/30/202106/30/202103/31/202112/31/202009/30/202006/30/202003/31/2020Totals
Revenue
296.90K277.43K273.49K260.75K253.31K220.47K226.11K226.28K189.12K172.61K2.40M
Cost Of Revenue
180.40K172.33K167.63K151.28K152.14K128.88K132.01K133.13K109.24K100.39K1.43M
Gross Profit
116.51K105.10K105.87K109.47K101.17K91.59K94.09K93.14K79.88K72.22K969.04K
Operating Expenses
110.36K101.42K105.62K119.29K92.86K89.07K219.43K81.33K74.59K81.87K1.08M
Selling General Administrative
95.39K86.53K91.23K105.00K78.66K75.36K72.80K66.96K60.09K-732.03K
Research Development
-----------
Other Operating Expenses
290.75K273.75K273.24K270.57K245.00K217.94K-214.46K183.84K182.26K2.15M
Operating Income
6.15K3.69K251-9.83K8.31K2.52K6.67K11.81K5.28K-9.65K25.22K
Net Interest Income
-7.72K-6.72K-6.57K-7.51K-9.54K-9.54K-9.65K-11.33K-11.74K--80.33K
Interest Income
-----------
Interest Expense
7.72K6.72K1.52K7.51K9.54K9.54K3.55K11.33K11.74K12.80K81.98K
Other Income Expense Net
-7.66K-6.30K-11.35K-14.44K-9.25K-9.32K269-11.11K9.53K13.69K-45.94K
Income Before Tax
-1.51K-2.62K-11.09K-24.27K-937-6.80K-2.71K709-4.24K-23.33K-76.80K
Tax Provision
-163-361-3.27K-2.73K119-7631.67K-694-1.01K--7.20K
NetIncome
-1.33K-2.24K-7.82K-21.53K-1.04K-6.01K-4.09K1.42K-3.21K-18.99K-64.85K
NetIncome Applicable To Common Shares
-1.33K-2.24K-7.82K-21.53K-1.04K-6.01K-1.42K-3.21K-18.99K-60.76K
Ebit
6.23K4.13K-9.56K-16.75K8.62K2.76K-12.05K7.51K-10.51K4.48K
Basic EPS
-0.140.190.240.23--0.1---0.7000000000000001
Totals1.09M1.01M961.38K905.29K927.89K799.68K740.16K830.92K707.40K554.36K8.53M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202112/31/202012/31/2019Totals
Revenue
1.01M814.11K590.84K2.41M
Cost Of Revenue
599.92K474.78K354.82K1.43M
Gross Profit
408.09K339.33K236.02K983.45K
Operating Expenses
406.83K325.21K249.64K981.69K
Selling General Administrative
350.25K267.24K209.99K827.48K
Research Development
----
Other Operating Expenses
1.01M799.99K604.46K2.41M
Operating Income
1.26K14.12K-13.62K1.76K
Net Interest Income
-33.16K-45.53K-35.24K-113.94K
Interest Income
----
Interest Expense
28.11K39.43K31.35K98.89K
Other Income Expense Net
-44.36K-43.70K-34.20K-122.25K
Income Before Tax
-43.10K-29.58K-47.82K-120.50K
Tax Provision
-6.64K-4.35K-13.36K-24.35K
NetIncome
-36.40K-24.88K-34.36K-95.65K
NetIncome Applicable To Common Shares
-36.40K-24.88K-34.36K-95.65K
Ebit
-14.94K10.19K-16.37K-21.11K
Basic EPS
0.66-0.1-0.330.23000000000000004
Totals3.59M2.91M2.05M8.55M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;03/31/202412/31/202309/30/202306/30/202303/31/202312/31/202209/30/202206/30/202203/31/202212/31/2021Totals
Cash From Operating Activities
5.97K23.59K40.29K28.05K-2.63K-7.71K4.19K3.47K-23.02K-19.18K106.00K
Net Income
-22.93K-5.80K-900-124-14.55K-4.06K-1.02K-1.34K-2.26K-7.82K-114.30K
Depreciation
15.37K15.16K15.37K15.39K15.20K14.91K14.81K14.97K14.89K14.38K250.63K
Extraordinary Items
-----------
Change Receivables
----4.37K-2.61K4.00K6.97K-2.05K-2.80K--874
Change To Inventory
18.43K8.55K15.72K21.49K1.21K-15.74K-26.87K-33.23K-25.03K-36.59K-79.46K
Change To Liabilities
----8.98K--2.00K12.37K-13.44K2.39K925
Change To Net Income
---1.77K3.75K11.12K9.81K5.97K-9216.57K61.65K
ChangeToOperatingActivities
----373---1.99K3.00K2.27K-3.45K-22.80K
Cash flows From Investing Activities
----6.51K-9.13K-11.47K-8.48K-3.09K-29.52K-4.06K-112.03K
Capital Expenditures
-2.08K-2.82K-4.30K-6.52K-9.16K-11.47K-3.61K-3.10K-3.31K-3.19K-66.63K
Other Cashflows From Investing Activities
---1239-3015-25.61K-925-28.67K
Cash From Financing Activities
-24.36K-108-29.12K-22.07K24.94K5.25K7.35K7.92K37.00K3.67K27.77K
Net Borrowings
----23.30K36.70K4.60K8.84K8.84K37.00K13.38K-128.63K
Sale Purchase Of Stock
-2.44K-198-3561.23K-293-422-1.49K-918---4.89K
Dividends Paid
-----------
Other Cashflows From Financing Activities
-23.06K329539-22.07K26.54K63.83K10.00K10.00K37.00K455.29K860.04K
Cash And Cash Equivalents Changes
----53413.19K-13.93K3.06K8.30K-15.54K--5.46K
Totals-35.09K38.70K37.24K-26.91K83.19K38.91K23.60K31.13K-12.47K430.49K39.72K-3.57K-51.48K10.19K-79.60K112.95K106.30K743.29K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202312/31/202212/31/202112/31/202012/31/2019Totals
Cash From Operating Activities
89.30K-23.07K-30.41K64.23K-4.10K95.94K
Net Income
-21.37K-8.68K-36.46K-25.23K-34.46K-126.19K
Depreciation
71.68K59.58K56.58K57.97K39.66K285.47K
Extraordinary Items
------
Change Receivables
-6.11K-2.96K--3.16K
Change To Inventory
46.96K-100.87K-51.84K7.86K-9.33K-107.22K
Change To Liabilities
---4.87K20.01K5.53K20.67K
Change To Net Income
-23.17K31.75K-534-8.23K46.17K
ChangeToOperatingActivities
---27.41K1.93K1.93K-23.54K
Cash flows From Investing Activities
--52.56K-37.38K-9.57K-588.60K-688.11K
Capital Expenditures
-22.80K-21.49K-10.00K-10.24K-4.50K-69.04K
Other Cashflows From Investing Activities
--30.46K-26.45K7986-56.75K
Cash From Financing Activities
-26.36K57.51K31.84K-10.86K617.90K670.03K
Net Borrowings
-59.27K-217.32K-11.82K383.08K213.21K
Sale Purchase Of Stock
-293-2.83K249.15K--18246.01K
Other Cashflows From Financing Activities
-10.95K120.83K455.29K52.00K658.85K1.28M
Cash And Cash Equivalents Changes
--18.11K-35.96K---54.08K
Totals126.16K68.41K343.56K135.82K1.06M1.73M