SDC RSI Chart
Last 7 days
-1.2%
Last 30 days
-11.2%
Last 90 days
-21.7%
Trailing 12 Months
-60.8%
Historical Charts for Stock Metrics
Year | Q1 | Q2 | Q3 | Q4 |
---|---|---|---|---|
2023 | 438.9M | 414.9M | 0 | 0 |
2022 | 589.8M | 541.4M | 510.5M | 470.7M |
2021 | 659.6M | 726.7M | 695.9M | 637.6M |
2020 | 769.3M | 680.6M | 668.9M | 656.8M |
2019 | 532.6M | 621.7M | 682.2M | 750.4M |
2018 | 215.3M | 284.6M | 353.9M | 423.2M |
2017 | 0 | 0 | 0 | 146.0M |
Datesorted ascending | Name | Buy/Sell | $ Value | Avg. Price | # Shares | Title |
---|---|---|---|---|---|---|
Jun 21, 2023 | wallman richard f | sold | -58,878 | 0.4357 | -135,135 | - |
Jun 01, 2023 | williams linda marie | acquired | - | - | 206,896 | - |
Jun 01, 2023 | wallman richard f | acquired | - | - | 206,896 | - |
Jun 01, 2023 | ward edward w iii | acquired | - | - | 206,896 | - |
Jun 01, 2023 | dimitrief alexander | acquired | - | - | 206,896 | - |
Mar 29, 2023 | rammelt susan greenspon | sold | -133,175 | 0.3805 | -350,000 | evp, clo, secretary |
Mar 29, 2023 | rammelt susan greenspon | acquired | - | - | 200,000 | evp, clo, secretary |
Mar 07, 2023 | katzman steven b. | acquired | - | - | 2,068,960 | chief operating officer |
Mar 07, 2023 | crawford troy w. | acquired | - | - | 1,379,310 | cfo |
Mar 07, 2023 | rammelt susan greenspon | acquired | - | - | 1,724,140 | evp, clo, secretary |
Which funds bought or sold SDC recently?
View All DetailsDatesorted ascending | Fund Name | Type | % Chg | $ Change | $ Held | % Portfolio |
---|---|---|---|---|---|---|
Mar 11, 2024 | VANGUARD GROUP INC | sold off | -100 | -2,310,100 | - | -% |
Mar 01, 2024 | GOLDMAN SACHS GROUP INC | sold off | -100 | -29,860 | - | -% |
Feb 20, 2024 | Able Wealth Management LLC | new | - | 30.00 | 30.00 | -% |
Feb 16, 2024 | GSA CAPITAL PARTNERS LLP | sold off | -100 | -488,000 | - | -% |
Feb 15, 2024 | JANE STREET GROUP, LLC | sold off | -100 | -8,806 | - | -% |
Feb 15, 2024 | BARCLAYS PLC | sold off | -100 | -97,000 | - | -% |
Feb 14, 2024 | Truvestments Capital LLC | sold off | -100 | -3,343 | - | -% |
Feb 14, 2024 | LPL Financial LLC | sold off | -100 | -15,657 | - | -% |
Feb 14, 2024 | MGO ONE SEVEN LLC | sold off | -100 | -4,294 | - | -% |
Feb 14, 2024 | Engineers Gate Manager LP | sold off | -100 | -5,621 | - | -% |
Unveiling SmileDirectClub, Inc.'s Major ShareHolders
Date Filed | Name of Filer | Percent of Class | No. of Shares | Form Type | |
---|---|---|---|---|---|
SmileDirectClub, Inc. News
Income Statement (Quarterly) | ||||||||||||||||||||||
Description | (%) Q/Q | 2023Q2 | 2023Q1 | 2022Q4 | 2022Q3 | 2022Q2 | 2022Q1 | 2021Q4 | 2021Q3 | 2021Q2 | 2021Q1 | 2020Q4 | 2020Q3 | 2020Q2 | 2020Q1 | 2019Q4 | 2019Q3 | 2019Q2 | 2019Q1 | 2018Q4 | 2018Q3 | 2018Q2 |
Revenue | -15.0% | 101,798,000 | 119,777,000 | 86,531,000 | 106,770,000 | 125,796,000 | 151,646,000 | 126,286,000 | 137,683,000 | 174,181,000 | 199,461,000 | 184,556,000 | 168,501,000 | 107,073,000 | 196,650,000 | 196,713,000 | 180,185,000 | 195,794,000 | 177,736,000 | 128,504,000 | 119,666,000 | 106,649,000 |
Cost Of Revenue | -12.2% | 28,884,000 | 32,892,000 | 33,754,000 | 31,995,000 | 34,075,000 | 43,066,000 | 44,364,000 | 39,412,000 | 45,860,000 | 47,961,000 | 48,539,000 | 49,760,000 | 48,776,000 | 59,777,000 | 53,375,000 | 41,435,000 | 34,665,000 | 48,915,000 | - | 35,935,000 | - |
Gross Profit | -16.1% | 72,914,000 | 86,885,000 | 52,777,000 | 74,775,000 | 91,721,000 | 108,580,000 | 81,922,000 | 98,271,000 | 128,321,000 | 151,500,000 | 136,017,000 | 118,741,000 | 58,297,000 | 136,873,000 | 143,338,000 | 138,750,000 | 161,129,000 | 128,821,000 | 90,848,000 | 83,731,000 | 73,846,000 |
S&GA Expenses | -31.2% | 49,646,000 | 72,201,000 | 64,117,000 | 58,212,000 | 71,191,000 | 96,711,000 | 99,209,000 | 96,175,000 | 95,943,000 | 97,123,000 | 79,355,000 | 66,722,000 | 34,518,000 | 142,324,000 | 141,059,000 | 131,263,000 | 113,413,000 | 95,733,000 | - | 57,210,000 | - |
Income Taxes | 53.3% | 492,000 | 321,000 | -174,000 | 739,000 | 256,000 | -1,463,000 | -308,000 | -119,000 | -12,000 | 1,707,000 | 1,377,000 | 1,190,000 | -1,419,000 | 1,974,000 | 1,672,000 | 479,000 | 97,000 | 20,000 | - | 85,000 | - |
Net Income | 17.0% | -17,774,000 | -21,419,000 | -21,844,000 | -21,674,000 | -20,305,000 | -22,581,000 | -29,261,000 | -27,392,000 | -16,880,000 | -28,909,000 | -200,133,000 | -12,590,000 | -26,799,000 | -29,250,000 | -433,560,000 | -88,296,000 | -32,435,000 | -20,480,000 | -26,014,000 | -14,951,000 | -13,975,000 |
Net Income Margin | -2.6% | -0.20 | -0.19 | -0.18 | -0.18 | -0.18 | -0.16 | -0.16 | -0.39 | -0.36 | -0.41 | -0.41 | -0.75 | -0.85 | -0.76 | -0.77 | -0.25 | -0.15 | -0.14 | -0.18 | -0.09 | -0.12 |
Free Cashflow | 30.9% | -28,085,000 | -40,618,000 | -63,298,000 | -34,896,000 | -35,594,000 | -76,382,000 | -79,735,000 | -63,697,000 | -53,335,000 | -51,319,000 | -43,285,000 | -3,724,000 | -35,182,000 | -98,518,000 | -181,183,000 | -122,330,000 | -76,655,000 | -59,385,000 | -43,081,000 | - | - |
Balance Sheet | ||||||||||||||||||
Description | (%) Q/Q | 2023Q2 | 2023Q1 | 2022Q4 | 2022Q3 | 2022Q2 | 2022Q1 | 2021Q4 | 2021Q3 | 2021Q2 | 2021Q1 | 2020Q4 | 2020Q3 | 2020Q2 | 2020Q1 | 2019Q4 | 2019Q3 | 2018Q4 |
Assets | -8.6% | 499 | 546 | 597 | 632 | 701 | 710 | 795 | 886 | 960 | 1,012 | 885 | 942 | 966 | 848 | 886 | 1,011 | 555 |
Current Assets | -15.5% | 212 | 252 | 297 | 338 | 392 | 390 | 468 | 562 | 642 | 699 | 581 | 645 | 667 | 510 | 590 | 799 | 442 |
Cash Equivalents | -32.8% | 58.00 | 86.00 | 118 | 120 | 158 | 145 | 225 | 308 | 377 | 435 | 317 | 373 | 389 | 224 | 318 | 548 | 314 |
Inventory | -11.2% | 36.00 | 40.00 | 44.00 | 44.00 | 43.00 | 39.00 | 41.00 | 39.00 | 33.00 | 29.00 | 29.00 | 26.00 | 29.00 | 28.00 | 18.00 | 15.00 | 9.00 |
Net PPE | - | - | - | - | - | - | - | - | - | - | - | - | - | 175 | 185 | 178 | 119 | 53.00 |
Liabilities | 0.1% | 989 | 987 | 982 | 954 | 959 | 914 | 929 | 932 | 926 | 932 | 651 | 679 | 668 | 483 | 427 | 461 | 257 |
Current Liabilities | -0.5% | 112 | 112 | 117 | 148 | 154 | 163 | 178 | 175 | 163 | 171 | 187 | 212 | 200 | 218 | 207 | 226 | 117 |
Long Term Debt | 0.4% | 863 | 860 | 849 | 788 | 786 | 731 | 730 | 733 | 733 | 735 | 393 | 391 | 390 | 184 | 173 | 190 | 137 |
LT Debt, Non Current | 0.4% | 863 | 860 | 849 | 788 | 786 | - | 730 | - | - | - | - | - | - | - | - | - | - |
Shareholder's Equity | - | - | - | - | - | - | - | - | - | 34.00 | 80.00 | 234 | 263 | 298 | 365 | 458 | 551 | 298 |
Retained Earnings | -4.4% | -420 | -403 | -381 | -359 | -338 | -317 | -295 | -266 | -238 | -221 | -192 | -183 | -170 | -143 | -114 | -88.30 | -148 |
Additional Paid-In Capital | 1.2% | 489 | 484 | 475 | 468 | 461 | 452 | 449 | 443 | 434 | 425 | 483 | 479 | 471 | 461 | 448 | 442 | - |
Shares Outstanding | 2.0% | 132 | 130 | 121 | 121 | 121 | 120 | 118 | 119 | 24.00 | 23.00 | 110 | 22.00 | 22.00 | 21.00 | 20.00 | 20.00 | - |
Minority Interest | -6.7% | -576 | -540 | -496 | -448 | -399 | -355 | -305 | -240 | -178 | -140 | -73.93 | -50.67 | -20.05 | 48.00 | 125 | 197 | - |
Float | - | - | - | - | - | 122 | - | - | - | 1,005 | - | - | - | 462 | - | - | - | - |
Cashflow (Quarterly) | ||||||||||||||||||||||
Description | (%) Q/Q | 2023Q2 | 2023Q1 | 2022Q4 | 2022Q3 | 2022Q2 | 2022Q1 | 2021Q4 | 2021Q3 | 2021Q2 | 2021Q1 | 2020Q4 | 2020Q3 | 2020Q2 | 2020Q1 | 2019Q4 | 2019Q3 | 2019Q2 | 2019Q1 | 2018Q4 | 2018Q3 | 2017Q4 |
Cashflow From Operations | 45.2% | -17,841 | -32,577 | -51,470 | -27,600 | -17,840 | -61,264 | -43,452 | -38,716 | -31,013 | -28,338 | -14,912 | 17,183 | -15,444 | -70,395 | -141,177 | -94,123 | -59,108 | -38,784 | - | - | - |
Share Based Compensation | -19.4% | 5,345 | 6,630 | 5,049 | 7,693 | 8,560 | 5,306 | 6,969 | 10,492 | 12,008 | 15,159 | 6,714 | 10,972 | 10,821 | 16,396 | 17,363 | 324,497 | 435 | 7,827 | - | - | - |
Cashflow From Investing | -27.4% | -10,244 | -8,041 | -11,828 | -7,296 | -17,754 | -15,118 | -36,283 | -24,981 | -22,322 | -22,981 | -28,373 | -20,907 | -19,738 | -28,123 | -40,006 | -28,207 | -17,547 | -20,601 | - | - | - |
Cashflow From Financing | -100.6% | -47.00 | 8,438 | 61,442 | -3,322 | 49,017 | -3,689 | -3,094 | -4,892 | -5,062 | 168,765 | -13,036 | -12,202 | 199,719 | 4,494 | -47,922 | 520,805 | -15,441 | -13,360 | - | - | - |
Buy Backs | -87.9% | 77.00 | 638 | -354 | 613 | 493 | 1,847 | 973 | 2,795 | 2,217 | 4,043 | 2,925 | 2,447 | 1,462 | 3,067 | 696,489 | 81,603 | - | - | - | - | - |
Condensed Consolidated Statements of Operations (Unaudited) - USD ($) $ in Thousands | 3 Months Ended | 6 Months Ended | ||
---|---|---|---|---|
Jun. 30, 2023 | Jun. 30, 2022 | Jun. 30, 2023 | Jun. 30, 2022 | |
Total revenues | $ 101,798 | $ 125,796 | $ 221,575 | $ 277,442 |
Cost of revenues | 28,884 | 34,075 | 61,776 | 77,141 |
Gross profit | 72,914 | 91,721 | 159,799 | 200,301 |
Marketing and selling expenses | 49,646 | 71,191 | 121,847 | 167,902 |
General and administrative expenses | 59,748 | 72,320 | 124,912 | 143,113 |
Lease abandonment and impairment of long-lived assets | 4,811 | 0 | 5,758 | 1,232 |
Restructuring and other related costs | 3,709 | 3,168 | 11,463 | 14,700 |
Loss from operations | (45,000) | (54,958) | (104,181) | (126,646) |
Interest expense | 8,527 | 4,454 | 16,236 | 6,010 |
Other expense (income) | (223) | 5,818 | (1,707) | 7,241 |
Net loss before provision for income tax expense (benefit) | (53,304) | (65,230) | (118,710) | (139,897) |
Provision for income tax expense (benefit) | 492 | 256 | 813 | (1,207) |
Net loss | (53,796) | (65,486) | (119,523) | (138,690) |
Net loss attributable to noncontrolling interest | (36,022) | (45,181) | (80,330) | (95,804) |
Net loss attributable to SmileDirectClub, Inc. | $ (17,774) | $ (20,305) | $ (39,193) | $ (42,886) |
Earnings (loss) per share of Class A common stock: | ||||
Basic (USD per share) | $ (0.13) | $ (0.17) | $ (0.30) | $ (0.36) |
Diluted (USD per share) | $ (0.13) | $ (0.17) | $ (0.30) | $ (0.36) |
Weighted average shares outstanding: | ||||
Basic (in shares) | 132,422,182 | 120,818,400 | 131,103,171 | 120,507,211 |
Diluted (in shares) | 401,045,683 | 389,665,923 | 399,823,910 | 389,483,239 |
Common Class A | ||||
Earnings (loss) per share of Class A common stock: | ||||
Basic (USD per share) | $ (0.13) | $ (0.17) | $ (0.30) | $ (0.36) |
Diluted (USD per share) | $ (0.13) | $ (0.17) | $ (0.30) | $ (0.36) |
Excluding Financing Revenue | ||||
Total revenues | $ 94,702 | $ 116,802 | $ 207,537 | $ 259,314 |
Financing Revenue | ||||
Total revenues | $ 7,096 | $ 8,994 | $ 14,038 | $ 18,128 |
Condensed Consolidated Balance Sheets (Unaudited) - USD ($) $ in Thousands | Jun. 30, 2023 | Dec. 31, 2022 |
---|---|---|
ASSETS | ||
Cash | $ 28,934 | $ 93,120 |
Accounts receivable, net | 130,131 | 143,082 |
Inventories | 35,557 | 44,387 |
Prepaid and other current assets | 17,871 | 16,830 |
Total current assets | 212,493 | 297,419 |
Restricted cash | 29,058 | 25,278 |
Accounts receivable, net, non-current | 48,646 | 45,168 |
Property, plant and equipment, net | 175,078 | 190,087 |
Operating lease right-of-use assets | 13,309 | 21,141 |
Other assets | 20,128 | 17,970 |
Total assets | 498,712 | 597,063 |
LIABILITIES AND EQUITY (DEFICIT) | ||
Accounts payable | 35,686 | 30,513 |
Accrued liabilities | 54,524 | 65,937 |
Deferred revenue | 14,909 | 13,646 |
Other current liabilities | 6,608 | 6,704 |
Total current liabilities | 111,727 | 116,800 |
Long-term debt, net of current portion | 863,412 | 849,379 |
Operating lease liabilities, net of current portion | 13,265 | 16,082 |
Other long-term liabilities | 419 | 0 |
Total liabilities | 988,823 | 982,261 |
Equity (Deficit) | ||
Additional paid-in-capital | 489,344 | 475,034 |
Accumulated other comprehensive income | 439 | 430 |
Accumulated deficit | (420,918) | (381,725) |
Noncontrolling interest | (576,636) | (496,596) |
Warrants | 17,620 | 17,620 |
Total equity (deficit) | (490,111) | (385,198) |
Total liabilities and equity (deficit) | 498,712 | 597,063 |
Common Class A | ||
Equity (Deficit) | ||
Common stock | 13 | 12 |
Common Class B | ||
Equity (Deficit) | ||
Common stock | $ 27 | $ 27 |