NASDAQ · SFIXConsumer DiscretionaryRetail Trade

Stitch Fix financials

$2.53+2.43%
Close Sep 29, 2026 · split-adjusted

Revenue

Net income

Income statement & cash flow

Fiscal yearFY26
Aug 1
FY25
Aug 2
FY24
Aug 3
FY23
Jul 29
FY22
Jul 30
FY21
Jul 31
FY20
Aug 1
FY19
Aug 3
FY18
Jul 28
Revenue$1.35B$1.27B$1.34B$1.59B$2.02B$2.10B$1.71B$1.58B$1.23B
Gross profit$588.5M$562.9M$592.0M$675.6M$886.7M$947.6M$754.2M$703.1M$536.0M
Gross margin43.7%44.4%44.3%42.4%43.9%45.1%44.1%44.6%43.7%
Operating income-$21.7M-$38.9M-$133.4M-$155.3M-$184.5M-$63.4M-$51.7M$23.5M$43.0M
Net income-$12.6M-$28.7M-$128.8M-$172.0M-$207.1M-$8.9M-$67.1M$36.9M$35.5M
Net margin−0.9%−2.3%−9.6%−10.8%−10.3%−0.4%−3.9%2.3%2.9%
Diluted EPS$-0.09$-0.22$-1.07$-1.50$-1.90$-0.08$-0.66$0.36$0.34
EBITDA$932.0K-$12.8M-$88.9M-$113.2M-$148.8M-$33.4M-$29.0M$37.8M$53.6M
Operating cash flow$39.1M$25.2M$18.5M$57.8M$55.4M-$15.7M$42.9M$78.6M$72.2M
Free cash flow$19.8M$8.9M$4.6M$39.0M$10.4M-$50.9M$12.7M$47.8M$55.6M
Diluted shares134.2M128.8M120.2M114.7M108.8M106.0M102.4M103.7M81.3M

Balance sheet

Period endAug 1Aug 2Aug 3Jul 29Jul 30Jul 31
Cash & equivalents$95.3M$114.0M$162.9M$239.4M$130.9M$129.8M
Short-term investments$77.2M$120.9M$84.1M$18.2M$82.0M$101.5M
Total debt$0.00$0.00$0.00$0.00$0.00$0.00
Total assets$479.4M$480.6M$486.9M$614.5M$764.5M$819.1M
Total liabilities$283.3M$277.6M$299.8M$367.2M$441.9M$358.3M
Shareholders' equity$196.1M$203.0M$187.0M$247.3M$322.7M$460.8M

From SEC filings via Massive. Fiscal periods follow the company's own calendar; free cash flow is operating cash flow minus capital expenditure.

Sources: Massive / Polygon daily aggregates (split-adjusted) · SEC filings via Massive · FINRA settlements via Massive · Financial Modeling Prep. Figures are dated where shown; research is informational, not investment advice. Methodology