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DXLG Destination XL Group

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  • 1.170
  • +0.160+15.84%
Close May 2 16:00 ET
  • 1.170
  • 0.0000.00%
Post 16:05 ET
62.62MMarket Cap23.40P/E (TTM)

Destination XL Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Feb 1, 2025
(Q4)Feb 1, 2025
(Q3)Nov 2, 2024
(Q2)Aug 3, 2024
(Q1)May 4, 2024
(FY)Feb 3, 2024
(Q4)Feb 3, 2024
(Q3)Oct 28, 2023
(Q2)Jul 29, 2023
(Q1)Apr 29, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-40.35%29.58M
3.85%17.13M
-151.25%-3.52M
-43.89%17.1M
73.43%-1.13M
-17.27%49.59M
-44.61%16.49M
8.58%6.86M
20.01%30.47M
-174.40%-4.23M
Net income from continuing operations
-89.03%3.06M
-125.14%-1.32M
-144.90%-1.81M
-79.52%2.38M
-45.56%3.79M
-68.75%27.85M
-37.09%5.23M
-61.62%4.02M
-79.57%11.63M
-47.96%6.97M
Operating gains losses
88.79%-12K
99.98%-1K
-100.05%-2K
84.85%-5K
95.83%-4K
-262.12%-107K
---4.2M
--4.22M
---33K
---96K
Depreciation and amortization
0.33%13.88M
4.32%3.65M
5.19%3.57M
-2.39%3.39M
-5.72%3.28M
-10.06%13.83M
-3.80%3.5M
-9.98%3.39M
-13.13%3.47M
-12.79%3.48M
Deferred tax
-76.52%2.19M
174.23%266K
-111.82%-206K
-84.76%778K
-43.26%1.35M
129.50%9.33M
-94.77%97K
-15.31%1.74M
114.37%5.11M
--2.38M
Other non cash items
-98.66%77K
-99.65%20K
100.46%19K
-99.55%19K
0.00%19K
7,488.16%5.77M
29,952.63%5.71M
-21,968.42%-4.16M
21,968.42%4.19M
0.00%19K
Change In working capital
159.49%6.03M
152.86%12.77M
-74.38%-5.71M
70.52%9.52M
39.70%-10.55M
31.53%-10.14M
-66.74%5.05M
68.58%-3.28M
1,244.06%5.58M
8.29%-17.5M
-Change in receivables
166.83%1.86M
-21.59%-963K
97.81%-62K
-38.74%185K
405.99%2.7M
-814.36%-2.79M
-12.50%-792K
-752.07%-2.83M
208.63%302K
-43.07%534K
-Change in inventory
-54.45%5.48M
-27.72%13.65M
14.60%-10.53M
-0.79%12.63M
-41.58%-10.27M
207.08%12.04M
36.77%18.89M
-22.18%-12.33M
8,990.00%12.73M
51.97%-7.25M
-Change in prepaid assets
278.52%1.95M
198.77%964K
386.85%1.66M
-39.27%580K
-152.32%-1.25M
-82.64%-1.09M
-175.48%-976K
-19,166.67%-578K
323.65%955K
66.14%-495K
-Change in payables and accrued expense
98.31%-249K
86.43%-1.08M
-61.37%3.34M
49.47%-3.61M
113.18%1.1M
-448.50%-14.76M
-391.37%-7.93M
450.00%8.64M
-576.55%-7.13M
-435.43%-8.33M
-Change in other current assets
-544.83%-129K
0.00%-26K
-140.00%-38K
48.57%-18K
-840.00%-47K
136.25%29K
-36.84%-26K
733.33%95K
-34.62%-35K
75.00%-5K
-Change in other working capital
18.94%-2.89M
105.38%221K
-102.09%-78K
79.85%-248K
-42.72%-2.78M
52.56%-3.56M
-114.11%-4.11M
260.59%3.73M
11.69%-1.23M
-4.06%-1.95M
Cash from discontinued investing activities
Operating cash flow
-40.35%29.58M
3.85%17.13M
-151.25%-3.52M
-43.89%17.1M
73.43%-1.13M
-17.27%49.59M
-44.61%16.49M
8.58%6.86M
20.01%30.47M
-174.40%-4.23M
Investing cash flow
Cash flow from continuing investing activities
36.23%-31.34M
-188.12%-8.81M
94.37%-623K
60.67%-11.95M
43.69%-9.95M
-409.71%-49.15M
658.69%10M
-191.52%-11.07M
-958.32%-30.4M
-1,392.99%-17.68M
Net PPE purchase and sale
-60.43%-27.71M
-18.73%-8.32M
-15.56%-6.62M
-136.44%-6.91M
-263.24%-5.86M
-79.14%-17.27M
-291.56%-7.01M
-50.96%-5.73M
-1.78%-2.92M
-36.23%-1.61M
Net investment purchase and sale
88.62%-3.63M
-102.89%-491K
212.44%6M
81.64%-5.04M
74.51%-4.1M
---31.87M
--17M
---5.34M
---27.47M
---16.06M
Cash from discontinued investing activities
Investing cash flow
36.23%-31.34M
-188.12%-8.81M
94.37%-623K
60.67%-11.95M
43.69%-9.95M
-409.71%-49.15M
658.69%10M
-191.52%-11.07M
-958.32%-30.4M
-1,392.99%-17.68M
Financing cash flow
Cash flow from continuing financing activities
44.12%-13.93M
63.34%-3.53M
-136.96%-10.23M
100.04%4K
20.43%-183K
-81.53%-24.93M
-1,695.52%-9.62M
-255.52%-4.32M
-36.54%-10.77M
95.61%-230K
Net issuance payments of debt
---205K
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----
----
----
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Net common stock issuance
44.05%-13.73M
65.85%-3.31M
-152.97%-10.21M
--0
---211K
-92.81%-24.54M
---9.69M
---4.04M
-37.22%-10.81M
--0
Proceeds from stock option exercised by employees
-78.26%80K
--0
--0
-91.84%4K
-64.81%76K
-56.14%368K
-88.23%71K
-84.76%32K
1,533.33%49K
839.13%216K
Net other financing activities
89.72%-78K
-1,200.00%-13K
94.55%-17K
--0
89.24%-48K
58.86%-759K
---1K
78.09%-312K
--0
-7.47%-446K
Cash from discontinued financing activities
Financing cash flow
44.12%-13.93M
63.34%-3.53M
-136.96%-10.23M
100.04%4K
20.43%-183K
-81.53%-24.93M
-1,695.52%-9.62M
-255.52%-4.32M
-36.54%-10.77M
95.61%-230K
Net cash flow
Beginning cash position
-47.02%27.59M
-33.71%7.11M
11.58%21.48M
-45.45%16.33M
-47.02%27.59M
235.83%52.07M
-54.34%10.72M
-13.21%19.25M
296.99%29.93M
235.83%52.07M
Current changes in cash
35.92%-15.69M
-71.58%4.79M
-68.57%-14.37M
148.16%5.15M
49.14%-11.26M
-166.95%-24.48M
-41.00%16.87M
-751.11%-8.52M
-173.02%-10.69M
-177.94%-22.14M
End cash Position
-56.86%11.9M
-56.86%11.9M
-33.71%7.11M
11.58%21.48M
-45.45%16.33M
-47.02%27.59M
-47.02%27.59M
-54.34%10.72M
-13.21%19.25M
296.99%29.93M
Free cash flow
-94.22%1.86M
-7.06%8.81M
-1,003.21%-10.14M
-63.00%10.18M
-17.58%-6.99M
-36.03%32.18M
-66.13%9.48M
-55.49%1.12M
22.19%27.52M
-117.93%-5.94M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
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(FY)Feb 1, 2025(Q4)Feb 1, 2025(Q3)Nov 2, 2024(Q2)Aug 3, 2024(Q1)May 4, 2024(FY)Feb 3, 2024(Q4)Feb 3, 2024(Q3)Oct 28, 2023(Q2)Jul 29, 2023(Q1)Apr 29, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -40.35%29.58M3.85%17.13M-151.25%-3.52M-43.89%17.1M73.43%-1.13M-17.27%49.59M-44.61%16.49M8.58%6.86M20.01%30.47M-174.40%-4.23M
Net income from continuing operations -89.03%3.06M-125.14%-1.32M-144.90%-1.81M-79.52%2.38M-45.56%3.79M-68.75%27.85M-37.09%5.23M-61.62%4.02M-79.57%11.63M-47.96%6.97M
Operating gains losses 88.79%-12K99.98%-1K-100.05%-2K84.85%-5K95.83%-4K-262.12%-107K---4.2M--4.22M---33K---96K
Depreciation and amortization 0.33%13.88M4.32%3.65M5.19%3.57M-2.39%3.39M-5.72%3.28M-10.06%13.83M-3.80%3.5M-9.98%3.39M-13.13%3.47M-12.79%3.48M
Deferred tax -76.52%2.19M174.23%266K-111.82%-206K-84.76%778K-43.26%1.35M129.50%9.33M-94.77%97K-15.31%1.74M114.37%5.11M--2.38M
Other non cash items -98.66%77K-99.65%20K100.46%19K-99.55%19K0.00%19K7,488.16%5.77M29,952.63%5.71M-21,968.42%-4.16M21,968.42%4.19M0.00%19K
Change In working capital 159.49%6.03M152.86%12.77M-74.38%-5.71M70.52%9.52M39.70%-10.55M31.53%-10.14M-66.74%5.05M68.58%-3.28M1,244.06%5.58M8.29%-17.5M
-Change in receivables 166.83%1.86M-21.59%-963K97.81%-62K-38.74%185K405.99%2.7M-814.36%-2.79M-12.50%-792K-752.07%-2.83M208.63%302K-43.07%534K
-Change in inventory -54.45%5.48M-27.72%13.65M14.60%-10.53M-0.79%12.63M-41.58%-10.27M207.08%12.04M36.77%18.89M-22.18%-12.33M8,990.00%12.73M51.97%-7.25M
-Change in prepaid assets 278.52%1.95M198.77%964K386.85%1.66M-39.27%580K-152.32%-1.25M-82.64%-1.09M-175.48%-976K-19,166.67%-578K323.65%955K66.14%-495K
-Change in payables and accrued expense 98.31%-249K86.43%-1.08M-61.37%3.34M49.47%-3.61M113.18%1.1M-448.50%-14.76M-391.37%-7.93M450.00%8.64M-576.55%-7.13M-435.43%-8.33M
-Change in other current assets -544.83%-129K0.00%-26K-140.00%-38K48.57%-18K-840.00%-47K136.25%29K-36.84%-26K733.33%95K-34.62%-35K75.00%-5K
-Change in other working capital 18.94%-2.89M105.38%221K-102.09%-78K79.85%-248K-42.72%-2.78M52.56%-3.56M-114.11%-4.11M260.59%3.73M11.69%-1.23M-4.06%-1.95M
Cash from discontinued investing activities
Operating cash flow -40.35%29.58M3.85%17.13M-151.25%-3.52M-43.89%17.1M73.43%-1.13M-17.27%49.59M-44.61%16.49M8.58%6.86M20.01%30.47M-174.40%-4.23M
Investing cash flow
Cash flow from continuing investing activities 36.23%-31.34M-188.12%-8.81M94.37%-623K60.67%-11.95M43.69%-9.95M-409.71%-49.15M658.69%10M-191.52%-11.07M-958.32%-30.4M-1,392.99%-17.68M
Net PPE purchase and sale -60.43%-27.71M-18.73%-8.32M-15.56%-6.62M-136.44%-6.91M-263.24%-5.86M-79.14%-17.27M-291.56%-7.01M-50.96%-5.73M-1.78%-2.92M-36.23%-1.61M
Net investment purchase and sale 88.62%-3.63M-102.89%-491K212.44%6M81.64%-5.04M74.51%-4.1M---31.87M--17M---5.34M---27.47M---16.06M
Cash from discontinued investing activities
Investing cash flow 36.23%-31.34M-188.12%-8.81M94.37%-623K60.67%-11.95M43.69%-9.95M-409.71%-49.15M658.69%10M-191.52%-11.07M-958.32%-30.4M-1,392.99%-17.68M
Financing cash flow
Cash flow from continuing financing activities 44.12%-13.93M63.34%-3.53M-136.96%-10.23M100.04%4K20.43%-183K-81.53%-24.93M-1,695.52%-9.62M-255.52%-4.32M-36.54%-10.77M95.61%-230K
Net issuance payments of debt ---205K------------------------------------
Net common stock issuance 44.05%-13.73M65.85%-3.31M-152.97%-10.21M--0---211K-92.81%-24.54M---9.69M---4.04M-37.22%-10.81M--0
Proceeds from stock option exercised by employees -78.26%80K--0--0-91.84%4K-64.81%76K-56.14%368K-88.23%71K-84.76%32K1,533.33%49K839.13%216K
Net other financing activities 89.72%-78K-1,200.00%-13K94.55%-17K--089.24%-48K58.86%-759K---1K78.09%-312K--0-7.47%-446K
Cash from discontinued financing activities
Financing cash flow 44.12%-13.93M63.34%-3.53M-136.96%-10.23M100.04%4K20.43%-183K-81.53%-24.93M-1,695.52%-9.62M-255.52%-4.32M-36.54%-10.77M95.61%-230K
Net cash flow
Beginning cash position -47.02%27.59M-33.71%7.11M11.58%21.48M-45.45%16.33M-47.02%27.59M235.83%52.07M-54.34%10.72M-13.21%19.25M296.99%29.93M235.83%52.07M
Current changes in cash 35.92%-15.69M-71.58%4.79M-68.57%-14.37M148.16%5.15M49.14%-11.26M-166.95%-24.48M-41.00%16.87M-751.11%-8.52M-173.02%-10.69M-177.94%-22.14M
End cash Position -56.86%11.9M-56.86%11.9M-33.71%7.11M11.58%21.48M-45.45%16.33M-47.02%27.59M-47.02%27.59M-54.34%10.72M-13.21%19.25M296.99%29.93M
Free cash flow -94.22%1.86M-7.06%8.81M-1,003.21%-10.14M-63.00%10.18M-17.58%-6.99M-36.03%32.18M-66.13%9.48M-55.49%1.12M22.19%27.52M-117.93%-5.94M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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