Sunday 11 October 2026 Export all BBW data to Excel Powerpack

Build-A-Bear Workshop, Inc.

BBW Consumer Cyclical Specialty Retail

Build-A-Bear Workshop, Inc.’s revenue for fiscal 2026 (year ended January 2026) was $529.8 million, up 6.73% from fiscal 2025. In the quarter to July 2026, revenue fell 7.21%, EPS fell 24.5% and free cash flow fell 557.8%, each against the same quarter a year earlier. Dividend growth for three consecutive years, revenue growth for five.

25.53 0.37 −1.43%
Market cap
$319.1M
P/E
6.3×
Fwd P/E
7.5×
Dividend yield
3.55%
F-score
6/9
Altman Z
5.22
Beneish M
−2.32
Dividend safety
82/100

A Cash Flow Statement is a financial report that details the cash inflows and outflows of a company over a specific period. It is divided into three sections: operating activities, investing activities, and financing activities. This statement helps assess the company’s liquidity, solvency, and overall financial health. By tracking cash movements, it provides insights into the company's ability to generate cash to fund operations, pay debts, and invest in growth. Businesses and investors use it to evaluate the sustainability of a company's cash flow and its financial stability.

Dec '17 Jan '18 Jan '19 Jan '20 Jan '21 Jan '22 Jan '23 Jan '24 Jan '25 Jan '26
Net Income
7.92 7.07 (17.93) 0.26 (22.98) 47.27 47.99 52.81 51.79 52.20
Depreciation & Amortization
16.17 17.67 16.04 13.71 13.29 12.28 12.48 13.66 14.77 14.95
Non Cash Items (Other)
9.39 10.73 11.18 2.47 13.06 (5.18) 0.39 (1.34) 4.23 3.42
Accounts Receivable Change
(0.58) 4.46 (3.45) (0.80) 2.75 (3.23) (3.04) 5.87 (7.74) (5.43)
Change in inventories
(0.21) (4.64) (1.12) 5.05 6.79 (25.13) 0.36 7.10 (6.55) (11.32)
Accounts Payable Change
(10.48) (13.29) 0.82 (2.44) 4.03 9.56 (0.33) (11.08) (3.48) 8.02
Change in other assets and liabilities
(1.10) (3.76) 4.05 3.37 (3.54) (7.48) (10.56) (2.70) (5.92) 3.20
Operating Cash Flow
21.09 18.24 9.59 21.61 13.39 28.08 47.28 64.31 47.09 65.05
Capital expenditures
(17.76) (19.03) (11.25) (12.38) (5.05) (8.13) (13.63) (18.29) (19.32) (25.54)
Short Term Investments Change (Net)
0.31 0.31 — — — — — — — —
Other investing activities
(0.31) (0.31) — — — — — — — —
Investing cash flow
(17.76) (19.03) (11.25) (12.38) (5.05) (8.13) (13.63) (18.29) (19.32) (25.54)
Repayment/Issuance of Debt (Net)
(0.08) (0.08) — — — — — — — —
Equity Repurchase (Common, Net)
(4.70) (9.42) (2.36) (0.24) (0.11) (2.52) (24.76) (21.84) (33.13) (29.10)
Dividends Paid (Total)
— — — — — (19.93) (0.29) (22.06) (11.02) (11.53)
Other financial activities
— — 10.64 2.79 9.67 2.43 1.87 — — (0.08)
Financing cash flow
(4.77) (9.50) (2.36) (0.24) (0.11) (22.46) (25.06) (43.90) (44.16) (40.71)
Exchange Rate Adjustment
(0.59) (0.68) 0.42 (0.14) (0.11) 0.51 0.77 0.02 (0.18) 0.20
Change in Cash
(2.04) (10.98) (3.60) 8.84 8.11 (1.99) 9.35 2.13 (16.57) (1.00)
Beginning Cash
32.48 62.93 23.16 17.89 26.73 34.84 32.85 42.20 44.33 27.76
Ending Cash
30.45 51.94 19.56 26.73 34.84 32.85 42.20 44.33 27.76 26.76
Stock Based Compensation
3.42 3.64 3.44 2.88 1.53 2.63 2.56 2.09 2.18 2.93
Dividends Paid (Common)
0.00 0.00 0.00 0.00 0.00 (19.93) (0.29) (22.06) (11.02) (11.53)
Net Cash/Marketcap
0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Assets Liabilities Change (Total)
(12.38) (17.23) 0.29 5.17 10.02 (26.28) (13.58) (0.81) (23.69) (5.53)
Investments Change (Net)
0.31 0.31 — — — — — — — —
Issuance/Purchase of Shares
(4.70) (9.42) (2.36) (0.24) (0.11) (2.52) (24.76) (21.84) (33.13) (29.10)
Other line items
Revenue per Employee
0.09 0.00 0.08 0.08 0.07 0.11 0.11 0.11 0.10 0.10

Fold the line items

In millions of $ except per-share values · columns are period end dates · fundamentals updated 2 Oct 2026