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
Jul '26 Apr '26 Jan '26 Oct '25 Older periods
Piotroski F-Score
6 6 6 7

+8 more TTM periods

ROE
32.81% 35.87% 35.50% 41.18%
ROA
15.81% 16.66% 16.43% 18.78%
ROIC
28.75% 33.30% 32.37% 36.82%
Return on Tangible Assets
41.14% 44.14% 43.39% 49.17%
Average Days of Receivables
11.55 21.92 14.78 10.81
Free Cash Flow per Share
1.98 2.30 3.03 2.86
Free Cash Flow
24.54 28.97 39.51 37.15
Capital Expenditures
(34.64) (29.51) (25.54) (22.62)
Other line items
Cash ROIC
14.19% 15.63% 21.73% 20.83%
Accounts Receivable Turnover
34.62 23.19 28.22 36.23
Accounts Payable Turnover
13.73 14.06 14.70 12.85
Inventory Turnover
2.75 2.99 3.08 2.99
Average Days of Payables
26.07 26.04 23.87 27.64
Days of Inventory on Hand
132.05 126.67 128.11 131.98
Tax Rate
(0.24) (0.23) (0.22) (0.21)
Research and Development Expense of Revenue
0.00% 0.00% 0.00% 0.00%
Selling, General and Administrative Expense of Revenue
43.80% 44.00% 43.26% 42.43%
Share Based Compensation of Revenue
0.30% 0.38% 0.55% 0.51%
Operating CF/Net income
1.15 1.06 1.25 1.04
Depreciation/Fixed assets
0.20 0.21 0.21 0.24
Capex/Depreciation
(2.21) (1.93) (1.71) (1.52)
Revenue per Share
41.69 41.85 40.61 40.41
Operating CF per Share
4.76 4.65 4.99 4.59
Capex per Share
(2.79) (2.34) (1.96) (1.74)
Capex to Sales
0.07 0.06 0.05 0.04

Fold the line items

Columns are period end dates · fundamentals updated 2 Oct 2026