SequelSEC

CIMPRESS plc CMPR

Commercial Printing · CIK 0001262976 · Fiscal year ends 0630

AnnualQuarterlyTTM
Revenue
$944.96M
Fiscal year ended 2026-06-30
Operating income
$64.79M
Fiscal year ended 2026-06-30
Free cash flow
$84.80M
Fiscal year ended 2026-06-30

CIMPRESS plc (CMPR) reported revenue of $944.96M and net income of $25.05M for the fiscal year ended 2026-06-30. This page shows 10 annual periods of income statement, balance sheet and cash flow figures normalized from CIMPRESS plc’s SEC filings, each linked to the filing it came from. It is classified by the SEC under Commercial Printing.

Income

CIMPRESS plc income by fiscal year, in US dollars, normalized from SEC filings.
Metric2026-06-302026-03-312025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-31
Revenue$944.96M$886.21M$1.04B$863.28M$869.48M$789.47M$939.16M$804.97M$832.61M$780.59M
Cost of revenue$514.97M$477.01M$554.48M$460.48M$456.68M$416.96M$489.26M$422.74M$428.19M$404.67M
Gross profit$429.99M$409.20M$487.72M$402.80M$412.80M$372.51M$449.90M$382.23M$404.42M$375.92M
Operating income$64.79M$49.17M$88.10M$48.97M$65.44M$40.54M$80.95M$39.34M$66.33M$39.24M
Net income$25.05M$13.84M$49.34M$7.64M-$25.32M-$8.24M$61.06M-$12.55M$115.00M-$3.98M
Research & developmentUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailable
Weighted-average diluted sharesUnavailableshares 25.19Mshares 25.30Mshares 25.05MUnavailableshares 24.83Mshares 25.91Mshares 25.17MUnavailableshares 26.22M
Pretax income$39.36M$26.35M$62.83M$24.36M$13.46M$4.12M$82.77M-$3.39M$33.28M$5.43M
Income tax expense$12.89M$11.71M$13.34M$17.84M$41.82M$12.14M$21.15M$9.00M-$84.89M$10.61M
Diluted EPSUnavailable$0.55$1.95$0.30Unavailable$-0.33$2.36$-0.50Unavailable$-0.15
Selling, general & administrative$267.90M$267.44M$306.36M$264.39M$252.11M$243.86M$280.80M$255.78M$248.60M$245.84M
General & administrative$62.20M$58.92M$60.20M$54.00M$59.11M$50.55M$56.94M$51.93M$54.35M$54.25M
Selling & marketing$205.70M$208.52M$246.16M$210.40M$192.99M$193.32M$223.86M$203.85M$194.25M$191.59M

Balance

CIMPRESS plc balance by fiscal year, in US dollars, normalized from SEC filings.
Metric2026-06-302026-03-312025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-31
Cash & equivalents$248.85M$189.00M$258.04M$200.50M$233.98M$183.00M$224.43M$152.95M$203.78M$154.34M
Total assets$2.20B$2.05B$2.09B$1.97B$1.97B$1.88B$1.92B$1.88B$1.89B$1.78B
Current assets$564.45M$495.81M$561.15M$489.27M$502.61M$443.71M$495.64M$427.86M$457.98M$442.18M
Total liabilities$2.60B$2.51B$2.62B$2.52B$2.53B$2.42B$2.45B$2.43B$2.42B$2.41B
Current liabilities$775.59M$730.00M$826.07M$754.64M$758.66M$679.70M$727.77M$670.06M$663.96M$635.92M
Total equity incl. NCI-$473.84M-$524.10M-$530.73M-$571.26M-$582.50M-$557.52M-$554.47M-$570.99M-$550.15M-$636.02M
Temporary (mezzanine) equity$75.57M$70.20M$6.06M$18.37M$19.06M$19.87M$18.71M$23.96M$23.00M$12.14M
Inventory$136.98M$123.81M$122.75M$119.47M$112.87M$101.90M$103.31M$110.45M$97.02M$96.32M
Accounts receivable$73.62M$72.66M$70.60M$78.73M$68.29M$66.15M$58.86M$73.76M$64.58M$71.07M
Goodwill$850.78M$817.93M$826.66M$826.36M$826.16M$792.75M$777.61M$804.81M$787.14M$779.26M
Long-term debt$1.60B$1.58B$1.58B$1.57B$1.58B$1.58B$1.58B$1.59B$1.59B$1.59B
Accounts payable$333.25M$308.44M$353.59M$317.82M$332.11M$298.88M$340.92M$297.86M$326.66M$269.11M

Cash flow

CIMPRESS plc cash flow by fiscal year, in US dollars, normalized from SEC filings.
Metric2026-06-302026-03-312025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-31
Operating cash flow$110.51M-$16.52M$164.66M$25.06M$107.47M$9.70M$176.52M$4.38M$125.10M$8.43M
Capital expenditures$25.71M$23.00M$25.18M$26.35M$20.81M$24.79M$26.42M$17.00M$10.50M$10.47M
Investing cash flow-$62.71M-$39.30M-$50.73M-$42.82M-$36.59M-$41.10M-$37.56M-$25.50M-$9.90M-$14.31M
Financing cash flow$12.52M-$8.92M-$56.96M-$14.66M-$28.51M-$13.34M-$58.66M-$35.42M-$65.05M-$110.35M
Net change in cash$59.85M-$69.04M$57.53M-$33.48M$50.98M-$41.43M$71.48M-$50.82M$49.44M-$119.87M
Stock-based compensation$15.12M$14.63M$16.83M$14.79M$16.19M$12.68M$14.37M$15.63M$17.08M$18.40M
Common dividends paidUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailable
Common share repurchases$0$21.89M$25.46M$2.73M$20.84M$3.95M$42.37M$10.62M$56.25M$100.73M
Depreciation & amortization$41.20M$37.41M$36.62M$36.62M$36.07M$34.30M$35.21M$35.55M$35.66M$37.07M

Derived

CIMPRESS plc derived by fiscal year, in US dollars, normalized from SEC filings.
Metric2026-06-302026-03-312025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-31
Free cash flow$84.80M-$39.52M$139.48M-$1.29M$86.66M-$15.10M$150.10M-$12.62M$114.59M-$2.04M
Gross margin45.5%46.2%46.8%46.7%47.5%47.2%47.9%47.5%48.6%48.2%
Operating margin6.9%5.5%8.5%5.7%7.5%5.1%8.6%4.9%8.0%5.0%
FCF margin9.0%-4.5%13.4%-0.1%10.0%-1.9%16.0%-1.6%13.8%-0.3%
SBC / revenue1.6%1.7%1.6%1.7%1.9%1.6%1.5%1.9%2.1%Unavailable
Current ratio0.73x0.68x0.68x0.65x0.66x0.65x0.68x0.64x0.69x0.70x
Revenue YoY growth8.7%12.3%11.0%7.2%4.4%1.1%1.9%6.3%5.5%5.2%
Net margin2.7%1.6%UnavailableUnavailable-2.9%-1.0%UnavailableUnavailable13.8%-0.5%
R&D / revenueUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailable
CapEx / revenue2.7%2.6%2.4%3.1%2.4%3.1%2.8%2.1%1.3%1.3%
Long-term debt / equityUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailable
Effective tax rate32.8%44.4%21.2%73.2%310.7%294.5%25.6%Unavailable-255.1%195.4%

Amounts are abbreviated; the exact reported value is carried in each cell. — means unavailable, not zero. Open CMPR in the interactive workspace to inspect any figure back to its filing.

Source filings

10-K · Filed 2026-08-07View SEC filing
10-Q · Filed 2026-05-01View SEC filing
10-Q · Filed 2026-01-29View SEC filing
10-Q · Filed 2025-10-30View SEC filing
10-K · Filed 2025-08-08View SEC filing
10-Q · Filed 2025-05-02View SEC filing

Companies in the same industry

Reconciliation checks needing review

2 periods on this page do not reconcile under this site’s normalization. Read that as a limitation here before an observation about the company: the figures are the filer’s own, the filings linked above are authoritative, and a difference usually means the concepts this site selected do not match how this filer presents its statements. Nothing is adjusted to make a check pass.

cash flow reconciliationreview2023-03-31

Operating, investing and financing flows differ from the reported change in cash by 4130000, beyond tolerance 1000000.

cash flow reconciliationreview2022-12-31

Operating, investing and financing flows differ from the reported change in cash by 4130000, beyond tolerance 1009350.00.