Acerca de Cardlytics, Inc. - Common Stock
Descripción general de la empresa de Wikipedia
CDLX Instantánea de la Acción
Precio, capitalización bursátil, P/E, BPA, ROE, deuda/capital, rango de 52 semanas
Capitalización Bursátil
📌
$25M
CDLX Gráfico del Precio de la Acción
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Valoración
Ratios P/E, P/S, P/B, EV/EBITDA: ¿está la acción cara o barata?
Métrica
Tendencia a 5 años
CDLX
Mediana de Pares
P/S (TTM) (P/V (TTM))
ⓘ
0.1
0.3
📌
Price / FCF (Precio / FCF)
ⓘ
2.8
—
📌
Rentabilidad
Márgenes brutos, operativos y netos; ROE, ROA, ROIC
Métrica
Tendencia a 5 años
CDLX
Mediana de Pares
Operating Margin (Margen Operativo)
ⓘ
-43.6%
—
📌
Net Profit Margin (Margen de Beneficio Neto)
ⓘ
-44.4%
-3.4%
📌
Salud financiera
Deuda, liquidez, solvencia — solidez del balance general
Métrica
Tendencia a 5 años
CDLX
Mediana de Pares
Debt / Equity (Deuda / Patrimonio)
ⓘ
0.0
3.4
📌
Current Ratio (Ratio corriente)
ⓘ
1.8
1.2
📌
Quick Ratio (Ratio Rápido)
ⓘ
1.7
—
📌
Crecimiento
Crecimiento de ingresos, BPA y beneficio neto: interanual, CAGR a 3 años, CAGR a 5 años
Métrica
Tendencia a 5 años
CDLX
Mediana de Pares
Revenue YoY (Ingresos interanuales)
ⓘ
-16.2%
—
📌
Revenue CAGR 3Y (Ingresos CAGR 3A)
ⓘ
-7.9%
—
📌
Revenue CAGR 5Y (Ingresos CAGR 5A)
ⓘ
4.5%
—
📌
Métricas por acción
BPA, valor contable por acción, flujo de caja por acción, dividendo por acción
Métrica
Tendencia a 5 años
CDLX
Mediana de Pares
EPS (Diluted) (BPA (Diluido))
ⓘ
$-1.95
—
📌
Eficiencia de capital
Rotación de activos, rotación de inventario, rotación de cuentas por cobrar
Métrica
Tendencia a 5 años
CDLX
Mediana de Pares
CDLX Consenso de analistas
Opiniones de analistas alcistas y bajistas, precio objetivo a 12 meses, potencial alcista
VENTA
9 analistas
Compra fuerte
0
0,0%
Compra
0
0,0%
Mantener
5
55,6%
Venta
2
22,2%
Venta fuerte
2
22,2%
Precio objetivo a 12 meses
4 analistas
· 2026-08-16
Mediana
$5.00
Media
$6.00
Ahora
$4.50
Objetivo mediano
$5.00
+11,0%
Objetivo medio
$6.00
+33,2%
Historial de Ganancias
EPS real vs estimado, sorpresa %, tasa de aciertos, próxima fecha de resultados
Período
EPS Actual
EPS est.
Sorpresa
30 de junio de 2026
$-0.81
$-1.38
0.57%
31 de marzo de 2026
$-1.10
$-2.18
1.1%
31 de diciembre de 2025
$0.30
$-0.71
1.0%
30 de septiembre de 2025
$-0.70
$-1.53
0.83%
30 de junio de 2025
$-1.30
$-1.66
0.36%
31 de marzo de 2025
$-0.21
$-0.24
0.03%
Comparación de pares (subindustria GICS)
Métricas clave frente a competidores del sector
Ticker
Capitalización Bursátil
P/E
Ingresos interanuales
Margen Neto
ROE
Margen Bruto
CDLX
$63M
-0.6
-16.2%
-44.4%
-396.5%
—
MCHX
—
-13.8
-5.6%
—
—
—
GOAI
—
—
82.6%
47.7%
102.4%
—
CREX
$27M
-4.4
12.5%
-14.5%
-32.5%
44.9%
SWAG
—
—
—
—
—
—
HHS
$22M
-27.4
-13.9%
-0.51%
-3.8%
—
SGRP
$19M
-0.8
-16.8%
-18.1%
-197.6%
15.9%
TULP
$9M
-1.5
—
-15.2%
-45.3%
17.2%
Fundamentales Completos
Todas las métricas por año — estado de resultados, balance general, flujo de caja
Anual
10
Trimestral
16
Estado de resultados
15
Datos anuales de Estado de resultados para CDLX
Métrica
Tendencia
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
+
Revenue ⓘ
10-point trend, +106.8%
$233M
$278M
$309M
$299M
$267M
$187M
$210M
$151M
$130M
$113M
+
R&D Expense ⓘ
10-point trend, +186.0%
$40M
$50M
$51M
$54M
$38M
$18M
$12M
$16M
$12M
$14M
+
SG&A Expense ⓘ
10-point trend, +121.3%
$47M
$56M
$59M
$81M
$66M
$47M
$37M
$34M
$20M
$21M
+
Operating Expenses ⓘ
10-point trend, +98.2%
$335M
$474M
$445M
$756M
$390M
$241M
$228M
$192M
$147M
$169M
+
Operating Income ⓘ
10-point trend, -81.1%
$-102M
$-195M
$-136M
$-458M
$-123M
$-54M
$-17M
$-41M
$-17M
$-56M
+
Interest Income ⓘ
4-point trend, +92.9%
$3M
$3M
$4M
$1M
·
·
·
·
·
·
+
Other Non-op ⓘ
10-point trend, +361.9%
$6M
$-1M
$3M
$-6M
$-1M
$2M
$729.0K
$-2M
$1M
$-2M
+
Pretax Income ⓘ
10-point trend, -36.7%
$-103M
$-189M
$-135M
$-467M
$-136M
$-55M
$-17M
$-53M
$-20M
$-76M
+
Income Tax ⓘ
10-point trend, +0.00
$0
$0
$0
$-1M
$-8M
$0
$0
$0
$0
$0
+
Net Income ⓘ
10-point trend, -36.7%
$-103M
$-189M
$-135M
$-465M
$-129M
$-55M
$-17M
$-53M
$-20M
$-76M
+
EPS (Basic) ⓘ
6-point trend, +4.4%
$-1.95
$-3.91
$-3.69
$-13.92
$-3.99
$-2.04
·
·
·
·
+
EPS (Diluted) ⓘ
4-point trend, +86.0%
$-1.95
$-3.91
$-3.69
$-13.92
·
·
·
·
·
·
+
Shares (Basic) ⓘ
6-point trend, +95.2%
53,114,000
48,361,000
36,488,000
33,419,000
32,202,000
27,213,000
·
·
·
·
+
Shares (Diluted) ⓘ
4-point trend, +58.9%
53,114,000
48,361,000
36,488,000
33,419,000
·
·
·
·
·
·
+
EBITDA ⓘ
8-point trend, -103.5%
$-77M
$-170M
$-109M
$-420M
$-93M
$-46M
$-13M
$-38M
·
·
Balance general
27
Datos anuales de Balance general para CDLX
Métrica
Tendencia
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
+
Cash & Equivalents ⓘ
10-point trend, +113.3%
$49M
$66M
$92M
$122M
$233M
$293M
$104M
$40M
$21M
$23M
+
Short-term Investments ⓘ
$0
·
·
·
·
·
·
·
·
·
+
Receivables ⓘ
9-point trend, +70.6%
$82M
$103M
$121M
$116M
$111M
$81M
$81M
$58M
$48M
·
+
Prepaid Expense ⓘ
9-point trend, +51.5%
$3M
$5M
$6M
$8M
$8M
$6M
$6M
$4M
$2M
·
+
Current Assets ⓘ
9-point trend, +83.9%
$137M
$178M
$224M
$250M
$359M
$386M
$196M
$124M
$75M
·
+
PP&E (Net) ⓘ
9-point trend, -73.6%
$2M
$3M
$3M
$6M
$11M
$14M
$14M
$10M
$7M
·
+
PP&E (Gross) ⓘ
9-point trend, -60.3%
$7M
$12M
$36M
$35M
$38M
$35M
$31M
$23M
$17M
·
+
Accum. Depreciation ⓘ
9-point trend, -51.3%
$5M
$10M
$33M
$30M
$27M
$21M
$17M
$13M
$10M
·
+
Goodwill ⓘ
6-point trend, +110305000.00
$110M
$159M
$277M
$353M
$743M
$0
·
·
·
·
+
Intangibles ⓘ
9-point trend, +3499.4%
$19M
$11M
$35M
$53M
$126M
$447.0K
$389.0K
$370.0K
$528.0K
·
+
Other Non-current Assets ⓘ
9-point trend, -70.8%
$1M
$2M
$3M
$3M
$2M
$2M
$2M
$1M
$4M
·
+
Total Assets ⓘ
9-point trend, +183.5%
$286M
$393M
$574M
$691M
$1.26B
$423M
$224M
$154M
$101M
·
+
Accounts Payable ⓘ
9-point trend, +70.8%
$3M
$4M
$4M
$4M
$5M
$1M
$1M
$2M
$2M
·
+
Accrued Liabilities ⓘ
9-point trend, +54.4%
$7M
$7M
$10M
$21M
$20M
$6M
$6M
$4M
$5M
·
+
Short-term Debt ⓘ
4-point trend, +0.00
$0
$46M
$0
$0
·
·
·
·
·
·
+
Current Liabilities ⓘ
9-point trend, +86.0%
$78M
$149M
$171M
$249M
$327M
$81M
$78M
$52M
$42M
·
+
Capital Leases ⓘ
8-point trend, +8229.8%
$5M
$6M
$6M
$4M
$7M
$9M
$0
·
$57.0K
·
+
Other Non-current Liabilities ⓘ
6-point trend, +0.00
·
$0
$73.0K
$0
$5M
$679.0K
$0
·
·
·
+
Total Liabilities ⓘ
7-point trend, +260.5%
$292M
$323M
$439M
$480M
$573M
$265M
$81M
·
·
·
+
Long-term Debt ⓘ
9-point trend, +266.4%
$209M
$214M
$258M
$226M
$184M
$174M
$37.0K
$47M
$57M
·
+
Total Debt ⓘ
5-point trend, -100.0%
$0
$46M
·
·
·
$174M
$37.0K
$47M
·
·
+
Common Stock ⓘ
9-point trend, +10000.00
$10.0K
$10.0K
$9.0K
$9.0K
$9.0K
$8.0K
$8.0K
$1.0K
$0
·
+
Retained Earnings ⓘ
9-point trend, -423.0%
$-1.40B
$-1.30B
$-1.11B
$-977M
$-523M
$-394M
$-339M
$-321M
$-268M
·
+
AOCI ⓘ
9-point trend, -287.2%
$-2M
$4M
$2M
$6M
$486.0K
$-192.0K
$1M
$2M
$1M
·
+
Stockholders' Equity ⓘ
10-point trend, +97.0%
$-7M
$70M
$135M
$212M
$691M
$157M
$143M
$52M
$-209M
$-217M
+
Liabilities + Equity ⓘ
9-point trend, +183.5%
$286M
$393M
$574M
$691M
$1.26B
$423M
$224M
$154M
$101M
·
+
Shares Outstanding ⓘ
8-point trend, +58.5%
5,451,000
51,257,000
39,728,000
·
33,534,000
27,861,000
22,466,000
22,466,000
3,439,000
·
Flujo de Efectivo
16
Datos anuales de Flujo de Efectivo para CDLX
Métrica
Tendencia
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
+
D&A ⓘ
10-point trend, +498.3%
$25M
$26M
$26M
$38M
$30M
$8M
$5M
$3M
$3M
$4M
+
Stock-based Comp ⓘ
10-point trend, +716.0%
$28M
$40M
$41M
$45M
$50M
$32M
$16M
$27M
$5M
$3M
+
Deferred Tax ⓘ
10-point trend, +0.00
$0
$0
$0
$1M
$8M
$0
$0
$0
$0
$0
+
Amort. of Intangibles ⓘ
5-point trend, -70.6%
$6M
$10M
$14M
$25M
$20M
·
·
·
·
·
+
Other Non-cash ⓘ
8-point trend, +1394.5%
$59M
$114M
$67M
$328M
$18M
$8M
$8M
$4M
·
·
+
Operating Cash Flow ⓘ
10-point trend, +128.6%
$9M
$-9M
$-185.0K
$-54M
$-39M
$-8M
$11M
$-19M
$-22M
$-32M
+
CapEx ⓘ
10-point trend, -73.7%
$480.0K
$2M
$667.0K
$1M
$3M
$5M
$8M
$6M
$1M
$2M
+
Investing Cash Flow ⓘ
10-point trend, -501.3%
$-15M
$-19M
$-10M
$-16M
$-507M
$-10M
$-11M
$-7M
$-2M
$-3M
+
Debt Issued ⓘ
4-point trend, -100.0%
·
·
·
·
·
·
$0
$47M
$12M
$47M
+
Net Debt Issued ⓘ
8-point trend, -1104.8%
$-62M
$-199M
$-31.0K
$-35.0K
$0
$-23.0K
$-47M
$-5M
·
·
+
Stock Issued ⓘ
10-point trend, -100.0%
$0
$49M
$55.0K
$379.0K
$486M
$10M
$91M
$72M
$230.0K
$279.0K
+
Stock Repurchased ⓘ
5-point trend, +0.00
·
$0
$0
$40M
$0
$0
·
·
·
·
+
Net Stock Activity ⓘ
8-point trend, -100.0%
$0
$49M
$55.0K
$-40M
$486M
$10M
$91M
$72M
·
·
+
Financing Cash Flow ⓘ
10-point trend, -136.1%
$-11M
$1M
$-20M
$-40M
$486M
$206M
$44M
$65M
$22M
$31M
+
Net Change in Cash ⓘ
10-point trend, -263.6%
$-17M
$-26M
$-30M
$-112M
$-60M
$189M
$45M
$39M
$-2M
$-5M
+
Free Cash Flow ⓘ
8-point trend, +135.4%
$9M
$-10M
$-852.0K
$-55M
$-42M
$-13M
$3M
$-25M
·
·
Rentabilidad
7
Datos anuales de Rentabilidad para CDLX
Métrica
Tendencia
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
+
Operating Margin ⓘ
8-point trend, -60.8%
-43.6%
-70.2%
-43.9%
-153.3%
-45.9%
-28.8%
-8.2%
-27.2%
·
·
+
Net Margin ⓘ
8-point trend, -26.0%
-44.4%
-68.0%
-43.6%
-155.8%
-48.1%
-29.6%
-8.2%
-35.2%
·
·
+
Pretax Margin ⓘ
8-point trend, -26.0%
-44.4%
-68.0%
-43.6%
-156.3%
-51.1%
-29.6%
-8.2%
-35.2%
·
·
+
EBITDA Margin ⓘ
8-point trend, -31.4%
-32.8%
-61.0%
-35.3%
-140.8%
-34.7%
-24.7%
-6.1%
-25.0%
·
·
+
ROA ⓘ
7-point trend, +26.8%
-30.5%
-39.2%
-21.3%
-47.6%
·
-17.1%
-9.1%
-41.7%
·
·
+
ROE ⓘ
7-point trend, -285.8%
-396.5%
-271.0%
-74.8%
-117.5%
·
-36.0%
-12.7%
-102.8%
·
·
+
ROIC ⓘ
7-point trend, +3873.4%
1564.5%
-168.7%
-100.6%
-215.7%
·
-16.3%
-12.1%
-41.5%
·
·
Liquidez y Solvencia
4
Datos anuales de Liquidez y Solvencia para CDLX
Métrica
Tendencia
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
+
Current Ratio ⓘ
7-point trend, -26.9%
1.8
1.2
1.3
1.0
·
4.7
2.5
2.4
·
·
+
Quick Ratio ⓘ
7-point trend, -11.0%
1.7
1.1
1.2
1.0
·
4.6
2.4
1.9
·
·
+
Debt / Equity ⓘ
5-point trend, -100.0%
0.0
0.7
·
·
·
1.1
0.0
0.9
·
·
+
LT Debt / Equity ⓘ
3-point trend, +23.2%
·
·
·
·
·
1.1
0.0
0.9
·
·
Eficiencia
2
Datos anuales de Eficiencia para CDLX
Métrica
Tendencia
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
+
Asset Turnover ⓘ
7-point trend, -41.9%
0.7
0.6
0.5
0.3
·
0.6
1.1
1.2
·
·
+
Receivables Turnover ⓘ
7-point trend, -11.3%
2.5
2.5
2.6
2.6
·
2.3
3.0
2.8
·
·
Por Acción
5
Datos anuales de Por Acción para CDLX
Métrica
Tendencia
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
+
Book Value / Share ⓘ
3-point trend, -105.2%
$-0.12
$1.37
·
·
·
·
·
$2.31
·
·
+
Revenue / Share ⓘ
2-point trend, -23.7%
$4.39
$5.75
·
·
·
·
·
·
·
·
+
Cash Flow / Share ⓘ
2-point trend, +195.8%
$0.17
$-0.18
·
·
·
·
·
·
·
·
+
Cash / Share ⓘ
3-point trend, -49.3%
$0.89
$1.28
·
·
·
·
·
$1.76
·
·
+
EPS (TTM) ⓘ
5-point trend, +60.8%
$-1.95
$-3.91
$-3.69
$-13.92
$-4.98
·
·
·
·
·
Tasas de Crecimiento
3
Datos anuales de Tasas de Crecimiento para CDLX
Métrica
Tendencia
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
+
Revenue YoY ⓘ
5-point trend, -137.7%
-16.2%
-10.0%
3.6%
11.8%
42.9%
·
·
·
·
·
+
Revenue CAGR 3Y ⓘ
3-point trend, -143.2%
-7.9%
1.4%
18.3%
·
·
·
·
·
·
·
+
Revenue CAGR 5Y ⓘ
4.5%
·
·
·
·
·
·
·
·
·
Valoración (TTM)
13
Datos anuales de Valoración (TTM) para CDLX
Métrica
Tendencia
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
+
Revenue TTM ⓘ
9-point trend, +78.9%
$233M
$278M
$309M
$299M
$267M
$187M
$210M
$151M
$130M
·
+
Net Income TTM ⓘ
9-point trend, -426.9%
$-103M
$-189M
$-135M
$-465M
$-129M
$-55M
$-17M
$-53M
$-20M
·
+
Market Cap ⓘ
3-point trend, -74.2%
$63M
$190M
·
·
·
·
·
$243M
·
·
+
Enterprise Value ⓘ
3-point trend, -94.4%
$14M
$170M
·
·
·
·
·
$250M
·
·
+
P/E ⓘ
5-point trend, +95.6%
-0.6
-0.9
-2.5
-0.4
-13.3
·
·
·
·
·
+
P/S ⓘ
3-point trend, -83.4%
0.3
0.7
·
·
·
·
·
1.6
·
·
+
P/B ⓘ
3-point trend, -305.8%
-9.6
2.7
·
·
·
·
·
4.7
·
·
+
P / Cash Flow ⓘ
3-point trend, +152.7%
6.7
-21.6
·
·
·
·
·
-12.8
·
·
+
P / FCF ⓘ
3-point trend, +172.9%
7.1
-18.3
·
·
·
·
·
-9.8
·
·
+
EV / EBITDA ⓘ
3-point trend, +97.3%
-0.2
-1.0
·
·
·
·
·
-6.7
·
·
+
EV / FCF ⓘ
3-point trend, +115.8%
1.6
-16.4
·
·
·
·
·
-10.1
·
·
+
EV / Revenue ⓘ
3-point trend, -96.4%
0.1
0.6
·
·
·
·
·
1.7
·
·
+
Earnings Yield ⓘ
5-point trend, -2148.9%
-169.6%
-105.4%
-40.1%
-240.8%
-7.5%
·
·
·
·
·
Estado de resultados
15
Datos trimestrales de Estado de resultados para CDLX
Métrica
Tendencia
Q2 2026 Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022
+
Revenue ⓘ
16-point trend, -49.3%
$37M
$34M
$56M
$52M
$58M
$56M
$74M
$67M
$70M
$68M
$89M
$79M
$77M
$64M
$83M
$73M
+
R&D Expense ⓘ
16-point trend, -59.7%
$6M
$6M
$8M
$9M
$10M
$10M
$10M
$13M
$13M
$13M
$13M
$12M
$15M
$12M
$15M
$14M
+
SG&A Expense ⓘ
16-point trend, -60.7%
$8M
$8M
$10M
$11M
$12M
$13M
$14M
$12M
$16M
$14M
$14M
$16M
$16M
$13M
$20M
$20M
+
Operating Expenses ⓘ
16-point trend, -30.8%
$42M
$43M
$62M
$121M
$68M
$68M
$82M
$216M
$85M
$90M
$192M
$100M
$101M
$52M
$465M
$61M
+
Operating Income ⓘ
16-point trend, -147.2%
$-5M
$-8M
$-6M
$-69M
$-10M
$-11M
$-8M
$-149M
$-16M
$-23M
$-103M
$-21M
$-24M
$12M
$-383M
$12M
+
Interest Income ⓘ
10-point trend, -77.8%
$200.0K
$300.0K
$900.0K
$900.0K
$400.0K
$500.0K
$700.0K
$900.0K
$900.0K
$900.0K
·
·
·
·
·
·
+
Other Non-op ⓘ
16-point trend, +103.5%
$165.0K
$-2M
$-17.0K
$-2M
$5M
$3M
$-6M
$5M
$99.0K
$-630.0K
$3M
$-2M
$1M
$1M
$5M
$-5M
+
Pretax Income ⓘ
16-point trend, -238.2%
$-9M
$-14M
$-8M
$-73M
$-6M
$-10M
$-16M
$-145M
$-4M
$-24M
$-101M
$-24M
$-24M
$14M
$-378M
$6M
+
Income Tax ⓘ
Flat — no change across 10 periods
$0
$0
·
·
$0
$0
·
·
·
·
$0
$0
$0
$0
$0
$0
+
Net Income ⓘ
16-point trend, -337.4%
$-15M
$-4M
$-8M
$-73M
$-9M
$-13M
$-16M
$-145M
$-4M
$-24M
$-101M
$-24M
$-24M
$14M
$-378M
$6M
+
EPS (Basic) ⓘ
14-point trend, -178.9%
·
·
$-0.15
$-1.36
$-0.18
$-0.26
$-0.36
$-2.90
$-0.09
$-0.56
$-2.80
$-0.63
$-0.67
$0.41
$-11.34
$0.19
+
EPS (Diluted) ⓘ
14-point trend, -178.9%
·
·
$-0.15
$-1.36
$-0.18
$-0.26
$-0.36
$-2.90
$-0.09
$-0.56
$-2.79
$-0.63
$-0.67
$0.40
$-11.27
$0.19
+
Shares (Basic) ⓘ
16-point trend, -82.5%
5,759,000
54,896,000
-104,992,000
53,493,000
5,275,000
51,863,000
-93,971,000
50,028,000
49,056,000
43,248,000
-69,969,000
37,982,000
34,880,000
33,595,000
-66,907,000
32,950,000
+
Shares (Diluted) ⓘ
16-point trend, -82.7%
5,759,000
54,896,000
-104,992,000
53,493,000
5,275,000
51,863,000
-93,971,000
50,028,000
49,056,000
43,248,000
-73,101,000
37,982,000
34,880,000
36,727,000
-70,670,000
33,269,000
+
EBITDA ⓘ
12-point trend, -147.2%
$-5M
$-4M
·
$-69M
$-13M
$-8M
·
$-149M
$-16M
$-17M
·
$-21M
$-24M
$19M
·
$12M
Balance general
27
Datos trimestrales de Balance general para CDLX
Métrica
Tendencia
Q2 2026 Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022
+
Cash & Equivalents ⓘ
16-point trend, -79.8%
$28M
$36M
$49M
$44M
$47M
$52M
$66M
$67M
$71M
$98M
$92M
$90M
$92M
$139M
$122M
$139M
+
Short-term Investments ⓘ
·
$24M
·
·
·
·
·
·
·
·
·
·
·
·
·
·
+
Receivables ⓘ
14-point trend, -30.4%
$68M
$63M
$83M
$85M
$93M
$96M
$103M
$106M
$103M
$105M
·
$103M
$97M
$94M
·
$97M
+
Prepaid Expense ⓘ
14-point trend, -70.9%
$3M
$3M
$3M
$5M
$7M
$5M
$5M
$7M
$7M
$9M
·
$7M
$8M
$8M
·
$9M
+
Current Assets ⓘ
14-point trend, -59.4%
$101M
$129M
$137M
$141M
$150M
$157M
$178M
$183M
$185M
$218M
·
$206M
$202M
$246M
·
$249M
+
PP&E (Net) ⓘ
14-point trend, -77.2%
$2M
$2M
$2M
$2M
$2M
$2M
$3M
$3M
$3M
$3M
·
$3M
$3M
$5M
·
$7M
+
PP&E (Gross) ⓘ
2-point trend, -44.8%
·
·
$7M
·
·
·
$12M
·
·
·
·
·
·
·
·
·
+
Accum. Depreciation ⓘ
2-point trend, -50.9%
·
·
$5M
·
·
·
$10M
·
·
·
·
·
·
·
·
·
+
Goodwill ⓘ
16-point trend, -83.4%
$110M
$110M
$110M
$110M
$159M
$159M
$159M
$159M
$277M
$277M
$277M
$353M
$353M
$353M
$353M
$666M
+
Intangibles ⓘ
13-point trend, -85.4%
$17M
·
$6M
$7M
$8M
$10M
$11M
$13M
$29M
$32M
·
$43M
$47M
$50M
·
$114M
+
Other Non-current Assets ⓘ
14-point trend, -59.1%
$1M
$1M
$1M
$2M
$1M
$2M
$2M
$2M
$2M
$3M
·
$2M
$2M
$3M
·
$3M
+
Total Assets ⓘ
14-point trend, -78.0%
$235M
$264M
$286M
$293M
$361M
$369M
$393M
$399M
$534M
$569M
·
$635M
$633M
$685M
·
$1.07B
+
Accounts Payable ⓘ
14-point trend, -73.9%
$1M
$3M
$3M
$4M
$2M
$4M
$4M
$4M
$5M
$4M
·
$3M
$2M
$2M
·
$5M
+
Accrued Liabilities ⓘ
14-point trend, -40.1%
$12M
$10M
$8M
$7M
$6M
$8M
$7M
$8M
$7M
$4M
·
$10M
$10M
$22M
·
$21M
+
Short-term Debt ⓘ
8-point trend, -100.0%
·
·
$0
$46M
$46M
$46M
$46M
$46M
·
·
·
$30M
$30M
·
·
·
+
Current Liabilities ⓘ
14-point trend, -75.5%
$62M
$59M
$78M
$124M
$129M
$132M
$149M
$156M
$105M
$103M
·
$179M
$168M
$191M
·
$255M
+
Capital Leases ⓘ
14-point trend, -21.6%
$4M
$4M
$5M
$5M
$5M
$5M
$6M
$6M
$7M
$8M
·
$3M
$2M
$5M
·
$5M
+
Other Non-current Liabilities ⓘ
3-point trend, -19.0%
·
·
·
·
·
·
·
$17.0K
$17.0K
·
·
·
·
·
·
$21.0K
+
Total Liabilities ⓘ
14-point trend, -48.4%
$251M
$268M
$292M
$298M
$302M
$305M
$323M
$330M
$324M
$370M
·
$410M
$397M
$452M
·
$486M
+
Long-term Debt ⓘ
12-point trend, -28.1%
$184M
$204M
$213M
$215M
$214M
$214M
·
$213M
$213M
$258M
·
$257M
$257M
$256M
·
·
+
Total Debt ⓘ
6-point trend, +53.6%
·
·
·
$46M
$46M
$46M
·
$46M
·
·
·
$30M
$30M
·
·
·
+
Common Stock ⓘ
14-point trend, +11.1%
$10.0K
$10.0K
$10.0K
$10.0K
$10.0K
$10.0K
$10.0K
$9.0K
$9.0K
$9.0K
·
$9.0K
$9.0K
$9.0K
·
$9.0K
+
Retained Earnings ⓘ
14-point trend, -137.9%
$-1.42B
$-1.41B
$-1.40B
$-1.40B
$-1.32B
$-1.31B
$-1.30B
$-1.28B
$-1.14B
$-1.14B
·
$-1.01B
$-986M
$-963M
·
$-598M
+
AOCI ⓘ
14-point trend, -107.1%
$-676.0K
$-532.0K
$-2M
$-2M
$-4M
$1M
$4M
$-1M
$3M
$3M
·
$5M
$3M
$4M
·
$10M
+
Stockholders' Equity ⓘ
16-point trend, -102.8%
$-16M
$-4M
$-7M
$-5M
$59M
$64M
$70M
$70M
$210M
$199M
$135M
$225M
$236M
$232M
$212M
$581M
+
Liabilities + Equity ⓘ
14-point trend, -78.0%
$235M
$264M
$286M
$293M
$361M
$369M
$393M
$399M
$534M
$569M
·
$635M
$633M
$685M
·
$1.07B
+
Shares Outstanding ⓘ
10-point trend, -86.3%
5,451,000
54,514,000
54,514,000
51,257,000
51,257,000
51,257,000
51,257,000
39,728,000
39,728,000
39,728,000
·
·
·
·
·
·
Flujo de Efectivo
14
Datos trimestrales de Flujo de Efectivo para CDLX
Métrica
Tendencia
Q2 2026 Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022
+
D&A ⓘ
16-point trend, -61.2%
$4M
$4M
$6M
$6M
$6M
$6M
$6M
$7M
$7M
$6M
$7M
$6M
$7M
$7M
$7M
$10M
+
Stock-based Comp ⓘ
16-point trend, -59.2%
$2M
$5M
$6M
$6M
$8M
$9M
$9M
$8M
$13M
$11M
$11M
$10M
$12M
$8M
$12M
$6M
+
Amort. of Intangibles ⓘ
16-point trend, -100.0%
$0
$300.0K
$1M
$2M
$2M
$2M
$1M
$3M
$3M
$3M
$3M
$3M
$3M
$4M
$4M
$7M
+
Other Non-cash ⓘ
4-point trend, +72.8%
·
$-10M
·
·
·
$-8M
·
·
·
$-11M
·
·
·
$-38M
·
·
+
Operating Cash Flow ⓘ
16-point trend, +40.4%
$-9M
$-6M
$13M
$2M
$1M
$-7M
$3M
$1M
$4M
$-18M
$3M
$1M
$6M
$-10M
$-13M
$-14M
+
CapEx ⓘ
16-point trend, -99.0%
$2.0K
$28.0K
$25.0K
$14.0K
$322.0K
$119.0K
$123.0K
$507.0K
$281.0K
$651.0K
$274.0K
$51.0K
$-18.0K
$360.0K
$81.0K
$201.0K
+
Investing Cash Flow ⓘ
16-point trend, +733.3%
$21M
$-2M
$-2M
$-4M
$-5M
$-4M
$-4M
$-5M
$-5M
$-5M
$-1M
$-3M
$-3M
$-3M
$-3M
$-3M
+
Net Debt Issued ⓘ
2-point trend, +100.0%
·
·
·
·
·
·
·
·
·
$0
·
·
·
$-4.0K
·
·
+
Stock Issued ⓘ
14-point trend, -100.0%
·
·
$0
$0
$0
$0
$11.0K
$0
$0
$49M
$0
$44.0K
$11.0K
$0
$-18.0K
$4.0K
+
Stock Repurchased ⓘ
5-point trend, +0.00
·
·
·
$0
·
·
·
$119.0K
·
·
·
$58.0K
·
·
$0
$0
+
Net Stock Activity ⓘ
3-point trend, +0.00
·
·
·
·
·
$0
·
·
·
$49M
·
·
·
$0
·
·
+
Financing Cash Flow ⓘ
16-point trend, -334533.3%
$-20M
$-5M
$-6M
$-12.0K
$-2M
$-3M
$-202.0K
$-388.0K
$-26M
$28M
$48.0K
$21.0K
$-50M
$30M
$-179.0K
$-6.0K
+
Net Change in Cash ⓘ
16-point trend, +58.8%
$-8M
$-13M
$5M
$-3M
$-5M
$-14M
$-1M
$-4M
$-27M
$6M
$2M
$-2M
$-47M
$17M
$-17M
$-19M
+
Free Cash Flow ⓘ
4-point trend, +45.6%
·
$-6M
·
·
·
$-7M
·
·
·
$-18M
·
·
·
$-10M
·
·
Rentabilidad
7
Datos trimestrales de Rentabilidad para CDLX
Métrica
Tendencia
Q2 2026 Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022
+
Operating Margin ⓘ
12-point trend, -193.1%
-14.8%
-24.1%
·
-132.3%
-20.2%
-22.8%
·
-221.5%
-22.7%
-33.8%
·
-26.1%
-31.7%
19.0%
·
15.8%
+
Net Margin ⓘ
12-point trend, -567.9%
-40.3%
-13.1%
·
-139.7%
-14.7%
-21.5%
·
-216.5%
-6.1%
-35.9%
·
-30.3%
-30.6%
21.1%
·
8.6%
+
Pretax Margin ⓘ
12-point trend, -372.4%
-23.5%
-40.2%
·
-139.7%
-14.7%
-21.5%
·
-216.5%
-6.1%
-35.9%
·
-30.3%
-30.6%
21.1%
·
8.6%
+
EBITDA Margin ⓘ
12-point trend, -193.1%
-14.8%
-11.2%
·
-132.3%
-20.2%
-12.6%
·
-221.5%
-22.7%
-24.5%
·
-26.1%
-31.7%
29.2%
·
15.8%
+
ROA ⓘ
12-point trend, -1007.3%
-5.0%
-1.4%
·
-21.0%
-2.1%
-2.8%
·
-28.1%
-0.73%
-3.9%
·
-2.8%
-2.7%
1.4%
·
0.55%
+
ROE ⓘ
12-point trend, -7137.4%
-69.7%
-14.9%
·
-223.6%
-6.9%
-10.1%
·
-98.4%
-1.9%
-11.2%
·
-5.9%
-5.9%
2.9%
·
0.99%
+
ROIC ⓘ
6-point trend, +1617.2%
34.0%
206.7%
·
·
·
·
·
·
·
·
·
-8.1%
-9.1%
5.3%
·
2.0%
Liquidez y Solvencia
3
Datos trimestrales de Liquidez y Solvencia para CDLX
Métrica
Tendencia
Q2 2026 Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022
+
Current Ratio ⓘ
12-point trend, +65.9%
1.6
2.2
·
1.1
1.2
1.2
·
1.2
1.8
2.1
·
1.1
1.2
1.3
·
1.0
+
Quick Ratio ⓘ
12-point trend, +66.0%
1.5
2.1
·
1.0
1.1
1.1
·
1.1
1.7
2.0
·
1.1
1.1
1.2
·
0.9
+
Debt / Equity ⓘ
6-point trend, -7805.6%
·
·
·
-9.8
0.8
0.7
·
0.7
·
·
·
0.1
0.1
·
·
·
Eficiencia
2
Datos trimestrales de Eficiencia para CDLX
Métrica
Tendencia
Q2 2026 Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022
+
Asset Turnover ⓘ
12-point trend, +95.0%
0.1
0.1
·
0.2
0.1
0.1
·
0.1
0.1
0.1
·
0.1
0.1
0.1
·
0.1
+
Receivables Turnover ⓘ
12-point trend, -42.9%
0.5
0.4
·
0.5
0.6
0.6
·
0.6
0.7
0.7
·
0.8
0.8
0.7
·
0.8
Por Acción
5
Datos trimestrales de Por Acción para CDLX
Métrica
Tendencia
Q2 2026 Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022
+
Book Value / Share ⓘ
8-point trend, -158.6%
$-2.94
$-0.07
·
$-0.09
$1.15
$1.25
·
$1.75
$5.29
$5.01
·
·
·
·
·
·
+
Revenue / Share ⓘ
11-point trend, +193.0%
$6.40
$0.63
·
$0.97
$1.20
$1.19
·
$1.34
$1.42
$1.56
·
$2.08
·
$1.75
·
$2.19
+
Cash Flow / Share ⓘ
4-point trend, +62.5%
·
$-0.10
·
·
·
$-0.13
·
·
·
$-0.41
·
·
·
$-0.27
·
·
+
Cash / Share ⓘ
8-point trend, +109.0%
$5.14
$0.65
·
$0.86
$0.91
$1.02
·
$1.69
$1.79
$2.46
·
·
·
·
·
·
+
EPS (TTM) ⓘ
12-point trend, -17.5%
$-4.70
$-4.70
·
$-4.70
$-3.43
$-3.81
·
$-4.18
$-1.95
$-1.46
·
$-0.71
$-3.83
$-2.25
·
$-4.00
Valoración (TTM)
13
Datos trimestrales de Valoración (TTM) para CDLX
Métrica
Tendencia
Q2 2026 Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022
+
Revenue TTM ⓘ
12-point trend, -35.5%
$181M
$206M
·
$244M
$262M
$266M
·
$283M
$293M
$288M
·
$293M
$289M
$280M
·
$281M
+
Net Income TTM ⓘ
12-point trend, +23.0%
$-101M
$-100M
·
$-240M
$-172M
$-187M
·
$-198M
$-76M
$-58M
·
$-28M
$-130M
$-73M
·
$-132M
+
Market Cap ⓘ
8-point trend, -95.7%
$24M
$57M
·
$125M
$84M
$93M
·
$127M
$326M
$576M
·
·
·
·
·
·
+
Enterprise Value ⓘ
4-point trend, +19.6%
·
·
·
$127M
$84M
$87M
·
$106M
·
·
·
·
·
·
·
·
+
P/E ⓘ
12-point trend, +59.3%
-1.0
-0.2
·
-0.5
-0.5
-0.5
·
-0.8
-4.2
-9.9
·
-23.2
-1.7
-1.5
·
-2.4
+
P/S ⓘ
8-point trend, -93.3%
0.1
0.3
·
0.5
0.3
0.4
·
0.4
1.1
2.0
·
·
·
·
·
·
+
P/B ⓘ
8-point trend, -152.9%
-1.5
-14.3
·
-26.5
1.4
1.5
·
1.8
1.6
2.9
·
·
·
·
·
·
+
P / Cash Flow ⓘ
3-point trend, +69.0%
·
-10.1
·
·
·
-13.9
·
·
·
-32.7
·
·
·
·
·
·
+
P / FCF ⓘ
3-point trend, +68.0%
·
-10.1
·
·
·
-13.7
·
·
·
-31.5
·
·
·
·
·
·
+
EV / EBITDA ⓘ
4-point trend, -158.0%
·
·
·
-1.8
-6.5
-11.2
·
-0.7
·
·
·
·
·
·
·
·
+
EV / FCF ⓘ
·
·
·
·
·
-12.8
·
·
·
·
·
·
·
·
·
·
+
EV / Revenue ⓘ
4-point trend, +38.7%
·
·
·
0.5
0.3
0.3
·
0.4
·
·
·
·
·
·
·
·
+
Earnings Yield ⓘ
12-point trend, -146.0%
-104.7%
-447.6%
·
-193.4%
-208.5%
-209.3%
·
-130.6%
-23.8%
-10.1%
·
-4.3%
-60.6%
-66.3%
·
-42.5%
Estados Financieros
Estado de resultados, balance general, flujo de caja — anual, últimos 5 años
Estado de resultados
2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Ingresos
$233M $278M $309M $299M $267M
Margen Operativo %
-43.6% -70.2% -43.9% -153.3% -45.9%
Beneficio neto
$-103M $-189M $-135M $-465M $-129M
EPS Diluido
$-1.95 $-3.91 $-3.69 $-13.92 —
Balance general
2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Deuda / Patrimonio
0.0 0.7 — — —
Ratio corriente
1.8 1.2 1.3 1.0 —
Ratio Rápido
1.7 1.1 1.2 1.0 —
Flujo de Efectivo
2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Flujo de caja libre
$9M $-10M $-852.0K $-55M $-42M
Últimas noticias
Noticias recientes que mencionan a esta empresa
Mis Métricas
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Propietarios institucionales (13F)
10 declarantes · $2.5M total · A fecha de 30 de junio de 2026
Instituciones que informan tener esta acción en su Formulario 13F trimestral de la SEC. Solo posiciones largas; un solo presentador puede aparecer dos veces para tramos de opciones separados. Las patas de put/call de compensación grandes suelen reflejar la creación de mercado o el inventario cubierto, no la convicción direccional.
Actividad institucional — Q2 2026 vs trimestre anterior
Nuevas posiciones
Posiciones cerradas
Aumentado
Disminuido
Cambio neto de acciones
0
60
0
1
—
Comparado con Q1 2026. Las presentaciones del Formulario 13F de la SEC vencen dentro de los 45 días posteriores al final del trimestre, más un pequeño margen para los presentadores tardíos; los trimestres que aún se encuentran dentro de esa ventana se omiten en favor del par más reciente completamente reportado. Cambio vs trimestre anterior no mostrado: la cobertura de los presentadores difiere demasiado entre estos dos trimestres para una comparación fiable.
Institución
Valor
Acciones
% de 13F rastreadas
Tipo
CAS Investment Partners, LLC
$2 114 727
470 986
83,55%
Acciones
WOLVERINE TRADING, LLC
$180 312
68 300
7,12%
Opción de compra
WOLVERINE TRADING, LLC
$71 528
27 094
2,83%
Acciones
WOLVERINE TRADING, LLC
$62 040
23 500
2,45%
Opción de venta
Tallon Kerry Patrick
$37 300
10 000
1,47%
Acciones
Point72 Asia (Singapore) Pte. Ltd.
$35 955
14 797
1,42%
Acciones
VANGUARD GROUP INC
$17 623
15 324
0,70%
Acciones
Nuveen Asset Management, LLC
$10 611
2 860
0,42%
Acciones
Point72 (DIFC) Ltd
$558
229
0,02%
Acciones
GPS Wealth Strategies Group, LLC
$345
300
0,01%
Acciones
Informantes de la empresa
18 insiders · 8 directivos · 12 consejeros
Informantes de las presentaciones SEC Form 3/4/5; neto = solo P/S de mercado abierto
Activistas y propietarios del %+ 5
1 tenencia
Inversores que presentaron el Anexo 13D de la SEC — propiedad beneficiosa superior al % 5 con la intención de influir en el emisor (participaciones activistas, campañas de la junta directiva, M&A). Cada fila muestra el estado conocido más reciente de la posición de ese declarante.
Purpose is an automated classification of the filer's own stated purpose (SEC Item 4) — not investment advice. "—" means no clear purpose was stated or the text could not be classified.
Propiedad de ETFs
Mantenido por 3 ETFs
El peso refleja solo las tenencias directas de acciones (N-PORT); los fondos apalancados o basados en derivados pueden tener exposición adicional a swaps no mostrada.
Fondo
Ponderación
Unidades
A fecha de
Fuente
VXF
· VANGUARD INDEX FUNDS
—
—
15 de julio de 2026
Diario
VTI
· VANGUARD INDEX FUNDS
—
—
15 de julio de 2026
Diario
PRFZ
· Invesco Exchange-Traded Fund Trust
—
—
13 de julio de 2026
Diario