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KRUS Kura Sushi USA

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  • 61.090
  • +0.190+0.31%
Close May 6 16:00 ET
  • 61.090
  • 0.0000.00%
Post 20:01 ET
738.30MMarket Cap-66.40P/E (TTM)

Kura Sushi USA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Feb 28, 2025
(Q1)Nov 30, 2024
(FY)Aug 31, 2024
(Q4)Aug 31, 2024
(Q3)May 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
12.43%4.26M
79.65%4.36M
-13.57%15.61M
-93.92%669K
61.99%8.73M
230.14%3.79M
358.98%2.43M
-23.76%18.06M
64.32%11M
-25.99%5.39M
Net income from continuing operations
-278.86%-3.78M
53.05%-961K
-686.15%-8.8M
-277.81%-5.2M
-133.21%-558K
1.67%-998K
1.96%-2.05M
296.60%1.5M
52.90%2.93M
252.20%1.68M
Operating gains losses
----
----
-77.08%22K
----
----
----
----
700.00%96K
--43K
--3K
Depreciation and amortization
22.11%3.4M
23.08%3.2M
50.50%11.79M
40.61%3.18M
56.31%3.23M
50.65%2.78M
56.53%2.6M
39.53%7.83M
46.34%2.26M
41.48%2.07M
Other non cash items
---1.12M
19.53%1.28M
22.49%4.59M
27.59%1.18M
----
----
26.78%1.07M
17.42%3.75M
3.34%928K
13.84%995K
Change In working capital
122.12%4.69M
-40.30%-282K
60.85%2.15M
-131.26%-1.21M
533.53%1.45M
227.25%2.11M
62.64%-201K
-89.90%1.34M
128.68%3.87M
-108.95%-334K
-Change in receivables
590.97%1.47M
-251.79%-296K
-517.94%-1.86M
-506.61%-1.38M
-78.77%-379K
-225.00%-299K
-15.22%195K
-816.67%-301K
-1,721.43%-227K
-221.21%-212K
-Change in inventory
-142.16%-247K
566.67%112K
24.72%-472K
75.83%-87K
-628.57%-259K
35.44%-102K
84.81%-24K
-62.02%-627K
-52.54%-360K
1,325.00%49K
-Change in prepaid assets
-13.75%533K
-118.55%-46K
241.59%1.42M
-146.19%-346K
149.56%903K
4.22%618K
147.24%248K
-109.00%-1.01M
-78.26%749K
-1,534.65%-1.82M
-Change in payables and accrued expense
925.45%564K
-22.89%-596K
-15.67%2.85M
-88.55%398K
64.80%2.88M
102.86%55K
-729.87%-485K
37.03%3.38M
352.32%3.48M
-47.95%1.75M
-Change in other current liabilities
----
502.96%544K
282.30%206K
-10.96%203K
----
----
16.67%-135K
-85.25%-113K
248.05%228K
-131.53%-99K
Cash from discontinued investing activities
Operating cash flow
12.43%4.26M
79.65%4.36M
-13.57%15.61M
-93.92%669K
61.99%8.73M
230.14%3.79M
358.98%2.43M
-23.76%18.06M
64.32%11M
-25.99%5.39M
Investing cash flow
Cash flow from continuing investing activities
-113.12%-26.9M
-55.86%-12.5M
26.94%-36.46M
27.38%-9.2M
69.68%-6.62M
-104.94%-12.62M
13.30%-8.02M
-77.14%-49.9M
-69.98%-12.67M
-189.24%-21.82M
Net PPE purchase and sale
14.10%-11.55M
-22.99%-11.56M
-13.27%-44.25M
13.32%-10.27M
13.79%-11.13M
-125.75%-13.45M
-12.60%-9.4M
-45.96%-39.07M
-62.17%-11.85M
-80.37%-12.91M
Net intangibles purchase and sale
-97.56%-81K
-925.32%-810K
84.22%-275K
92.96%-56K
14.66%-99K
-105.00%-41K
90.26%-79K
-94.53%-1.74M
-1,021.13%-796K
56.39%-116K
Net investment purchase and sale
-1,626.10%-15.26M
--0
199.48%8.5M
503.86%1.25M
154.28%4.75M
--1M
--1.5M
---8.54M
--207K
---8.75M
Net other investing changes
--0
-200.00%-135K
21.45%-432K
46.52%-123K
-200.00%-135K
28.33%-129K
52.63%-45K
-7.84%-550K
-206.67%-230K
62.50%-45K
Cash from discontinued investing activities
Investing cash flow
-113.12%-26.9M
-55.86%-12.5M
26.94%-36.46M
27.38%-9.2M
69.68%-6.62M
-104.94%-12.62M
13.30%-8.02M
-77.14%-49.9M
-69.98%-12.67M
-189.24%-21.82M
Financing cash flow
Cash flow from continuing financing activities
-91.02%129K
115,666.07%64.83M
-96.75%2.14M
-87.14%115K
-99.18%529K
288.38%1.44M
144.09%56K
38,778.82%65.75M
55.75%894K
56,781.58%64.62M
Net issuance payments of debt
-280.00%-18K
66.67%-18K
84.94%-75K
71.15%-15K
84.76%-16K
106.13%10K
69.66%-54K
48.92%-498K
75.12%-52K
56.61%-105K
Net common stock issuance
--0
--64.63M
--0
--0
--0
--0
--0
--64.9M
--0
----
Proceeds from stock option exercised by employees
-77.55%403K
348.18%493K
27.34%2.49M
-79.68%193K
-6.86%394K
236.77%1.8M
115.69%110K
104.07%1.96M
21.33%950K
230.47%423K
Net other financing activities
---256K
---272K
53.33%-280K
-1,475.00%-63K
--151K
----
----
-289.61%-600K
---4K
----
Cash from discontinued financing activities
Financing cash flow
-91.02%129K
115,666.07%64.83M
-96.75%2.14M
-87.14%115K
-99.18%529K
288.38%1.44M
144.09%56K
38,778.82%65.75M
55.75%894K
56,781.58%64.62M
Net cash flow
Beginning cash position
67.82%107.68M
-26.85%50.99M
94.78%69.7M
-15.71%59.41M
154.63%56.77M
138.22%64.16M
94.78%69.7M
-11.50%35.78M
95.94%70.47M
-38.67%22.29M
Current changes in cash
-204.42%-22.51M
1,124.04%56.69M
-155.17%-18.71M
-983.53%-8.42M
-94.53%2.64M
-59.33%-7.39M
37.43%-5.54M
829.67%33.92M
-317.74%-777K
12,712.57%48.18M
End cash Position
50.03%85.17M
67.82%107.68M
-26.85%50.99M
-26.85%50.99M
-15.71%59.41M
154.63%56.77M
138.22%64.16M
94.78%69.7M
94.78%69.7M
95.94%70.47M
Free cash flow
23.99%-7.37M
-13.58%-8M
-27.11%-28.91M
-486.23%-9.66M
67.21%-2.51M
-100.85%-9.7M
18.32%-7.05M
-473.26%-22.75M
-140.58%-1.65M
-5,064.19%-7.64M
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
--
--
(Q2)Feb 28, 2025(Q1)Nov 30, 2024(FY)Aug 31, 2024(Q4)Aug 31, 2024(Q3)May 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 12.43%4.26M79.65%4.36M-13.57%15.61M-93.92%669K61.99%8.73M230.14%3.79M358.98%2.43M-23.76%18.06M64.32%11M-25.99%5.39M
Net income from continuing operations -278.86%-3.78M53.05%-961K-686.15%-8.8M-277.81%-5.2M-133.21%-558K1.67%-998K1.96%-2.05M296.60%1.5M52.90%2.93M252.20%1.68M
Operating gains losses ---------77.08%22K----------------700.00%96K--43K--3K
Depreciation and amortization 22.11%3.4M23.08%3.2M50.50%11.79M40.61%3.18M56.31%3.23M50.65%2.78M56.53%2.6M39.53%7.83M46.34%2.26M41.48%2.07M
Other non cash items ---1.12M19.53%1.28M22.49%4.59M27.59%1.18M--------26.78%1.07M17.42%3.75M3.34%928K13.84%995K
Change In working capital 122.12%4.69M-40.30%-282K60.85%2.15M-131.26%-1.21M533.53%1.45M227.25%2.11M62.64%-201K-89.90%1.34M128.68%3.87M-108.95%-334K
-Change in receivables 590.97%1.47M-251.79%-296K-517.94%-1.86M-506.61%-1.38M-78.77%-379K-225.00%-299K-15.22%195K-816.67%-301K-1,721.43%-227K-221.21%-212K
-Change in inventory -142.16%-247K566.67%112K24.72%-472K75.83%-87K-628.57%-259K35.44%-102K84.81%-24K-62.02%-627K-52.54%-360K1,325.00%49K
-Change in prepaid assets -13.75%533K-118.55%-46K241.59%1.42M-146.19%-346K149.56%903K4.22%618K147.24%248K-109.00%-1.01M-78.26%749K-1,534.65%-1.82M
-Change in payables and accrued expense 925.45%564K-22.89%-596K-15.67%2.85M-88.55%398K64.80%2.88M102.86%55K-729.87%-485K37.03%3.38M352.32%3.48M-47.95%1.75M
-Change in other current liabilities ----502.96%544K282.30%206K-10.96%203K--------16.67%-135K-85.25%-113K248.05%228K-131.53%-99K
Cash from discontinued investing activities
Operating cash flow 12.43%4.26M79.65%4.36M-13.57%15.61M-93.92%669K61.99%8.73M230.14%3.79M358.98%2.43M-23.76%18.06M64.32%11M-25.99%5.39M
Investing cash flow
Cash flow from continuing investing activities -113.12%-26.9M-55.86%-12.5M26.94%-36.46M27.38%-9.2M69.68%-6.62M-104.94%-12.62M13.30%-8.02M-77.14%-49.9M-69.98%-12.67M-189.24%-21.82M
Net PPE purchase and sale 14.10%-11.55M-22.99%-11.56M-13.27%-44.25M13.32%-10.27M13.79%-11.13M-125.75%-13.45M-12.60%-9.4M-45.96%-39.07M-62.17%-11.85M-80.37%-12.91M
Net intangibles purchase and sale -97.56%-81K-925.32%-810K84.22%-275K92.96%-56K14.66%-99K-105.00%-41K90.26%-79K-94.53%-1.74M-1,021.13%-796K56.39%-116K
Net investment purchase and sale -1,626.10%-15.26M--0199.48%8.5M503.86%1.25M154.28%4.75M--1M--1.5M---8.54M--207K---8.75M
Net other investing changes --0-200.00%-135K21.45%-432K46.52%-123K-200.00%-135K28.33%-129K52.63%-45K-7.84%-550K-206.67%-230K62.50%-45K
Cash from discontinued investing activities
Investing cash flow -113.12%-26.9M-55.86%-12.5M26.94%-36.46M27.38%-9.2M69.68%-6.62M-104.94%-12.62M13.30%-8.02M-77.14%-49.9M-69.98%-12.67M-189.24%-21.82M
Financing cash flow
Cash flow from continuing financing activities -91.02%129K115,666.07%64.83M-96.75%2.14M-87.14%115K-99.18%529K288.38%1.44M144.09%56K38,778.82%65.75M55.75%894K56,781.58%64.62M
Net issuance payments of debt -280.00%-18K66.67%-18K84.94%-75K71.15%-15K84.76%-16K106.13%10K69.66%-54K48.92%-498K75.12%-52K56.61%-105K
Net common stock issuance --0--64.63M--0--0--0--0--0--64.9M--0----
Proceeds from stock option exercised by employees -77.55%403K348.18%493K27.34%2.49M-79.68%193K-6.86%394K236.77%1.8M115.69%110K104.07%1.96M21.33%950K230.47%423K
Net other financing activities ---256K---272K53.33%-280K-1,475.00%-63K--151K---------289.61%-600K---4K----
Cash from discontinued financing activities
Financing cash flow -91.02%129K115,666.07%64.83M-96.75%2.14M-87.14%115K-99.18%529K288.38%1.44M144.09%56K38,778.82%65.75M55.75%894K56,781.58%64.62M
Net cash flow
Beginning cash position 67.82%107.68M-26.85%50.99M94.78%69.7M-15.71%59.41M154.63%56.77M138.22%64.16M94.78%69.7M-11.50%35.78M95.94%70.47M-38.67%22.29M
Current changes in cash -204.42%-22.51M1,124.04%56.69M-155.17%-18.71M-983.53%-8.42M-94.53%2.64M-59.33%-7.39M37.43%-5.54M829.67%33.92M-317.74%-777K12,712.57%48.18M
End cash Position 50.03%85.17M67.82%107.68M-26.85%50.99M-26.85%50.99M-15.71%59.41M154.63%56.77M138.22%64.16M94.78%69.7M94.78%69.7M95.94%70.47M
Free cash flow 23.99%-7.37M-13.58%-8M-27.11%-28.91M-486.23%-9.66M67.21%-2.51M-100.85%-9.7M18.32%-7.05M-473.26%-22.75M-140.58%-1.65M-5,064.19%-7.64M
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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