CIMPRESS plcCMPR

Market cap
$1.8B
P/E ratio
2011/062012/062013/062014/062015/062016/062017/062018/062019/062020/062021/062022/062023/062024/062025/06
Stock-based compensation222533282424495022353750426659
Cash from operations 163141140149229247157192331338265220130351298
Capital expenditures-37-46-79-72-76-80-74-61-71-50-39-54-54-55-89
Cash from investing -34-232-99-307-217-266-302-11-420-67-354-4-104-55-141
Repurchases of common stock573106442-153509556627---15778
Repayments of term debt5180-------------
Cash from financing -58-79-5317038-5105-17882-258224-107-177-223-136
Free cash flow
FCF margin (%)