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Newegg Commerce, Inc. (NEGG) 10-Year Financial Performance & Capital Metrics

NEGG • • Industrial / General
Consumer CyclicalSpecialty RetailElectronics & TechnologyConsumer Electronics Retailers
AboutNewegg Commerce, Inc. operates as an electronics-focused e-retailer in North America. The company offers desktops, laptops, gaming laptops, peripherals, and accessories; CPU/processors, graphic cards, motherboards, storage devices, and computer accessories; home video, home audio, headphones, pro audio/video, cellphones, wearables, and digital cameras; Xbox, Playstation, legacy gaming, and gaming titles; and home networking, commercial networking, server and components, and smart home products. It also provides display and printing, office technology furniture, office supplies, and mailing and inventory supplies; software, digital downloads, warranty and services, 3rd party gift cards, and entertainment products; car electronics, marine and aviation, motorcycles and ATV, performance parts, tools and equipment, and wheels and tires; home improvement tools, home appliances, kitchen utensils, outdoor and garden furniture, pet supplies, and generators; and fitness, sports, and health and beauty supplies. The company operates B2C platforms, including Newegg.com, Newegg.ca, and Newegg Global, as well as mobile apps; and B2B platforms comprising NeweggBusiness.com. The company was founded in 2001 and is headquartered in City of Industry, California. Newegg Commerce, Inc. is a subsidiary of Hangzhou Liaison Interactive Information Technology Co., Ltd.Show more
  • Revenue $1.24B -17.5%
  • EBITDA -$41M +29.1%
  • Net Income -$43M +26.6%
  • EPS (Diluted) -2.25 +27.9%
  • Gross Margin 9.78% -12.7%
  • EBITDA Margin -3.31% +14.1%
  • Operating Margin -4.17% +12.1%
  • Net Margin -3.51% +11.0%
  • ROE -36.8% +11.2%
  • ROIC -39.29% +9.0%
  • Debt/Equity 0.69 -1.7%
  • Interest Coverage -54.15 -93.6%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Momentum leader: RS Rating 97 (top 3%)
  • ✓Efficient asset utilization: 3.0x turnover

✗Weaknesses

  • ✗Negative free cash flow
  • ✗Low quality earnings: Net income not backed by cash flow
  • ✗Trading more than 30% below 52-week high

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y84.05%
5Y-4.23%
3Y-19.59%
TTM-5.65%

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM58.7%

EPS CAGR

10Y-
5Y-
3Y-
TTM59.15%

ROCE

10Y Avg-33.36%
5Y Avg-10.3%
3Y Avg-26.85%
Latest-28.15%

Peer Comparison

Consumer Electronics Retailers
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
GMEGameStop Corp.9.57B21.3664.73-27.5%11.08%7.95%1.35%0.08
CGTLCreative Global Technology Holdings Limited Ordinary Shares65.63M3.8118.14-29.17%5.96%156.31%0.01
BBYBest Buy Co., Inc.14.28B68.1415.92-4.43%1.54%24.31%9.75%1.44
NEGGNewegg Commerce, Inc.1.14B54.56-24.25-17.46%-1.72%-19.77%0.69

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+738.3K13.06M882.01K559.39K1.53B2.11B2.38B1.72B1.5B1.24B
Revenue Growth %-0.73%16.69%-0.93%-0.37%2741.16%0.38%0.12%-0.28%-0.13%-0.17%
Cost of Goods Sold+927.29K17.18M1.66M1.17M1.37B1.84B2.05B1.5B1.33B1.11B
COGS % of Revenue1.26%1.32%1.88%2.09%0.89%0.87%0.86%0.87%0.89%0.9%
Gross Profit+-188.99K-4.12M-773.96K-612.33K164.87M273.63M325.98M216.63M167.56M120.78M
Gross Margin %-0.26%-0.32%-0.88%-1.09%0.11%0.13%0.14%0.13%0.11%0.1%
Gross Profit Growth %-1.19%-20.78%0.81%0.21%270.26%0.66%0.19%-0.34%-0.23%-0.28%
Operating Expenses+8.31M4.96M4.34M5.37M200.88M250.24M292.46M266.16M238.64M172.04M
OpEx % of Revenue11.26%0.38%4.92%9.59%0.13%0.12%0.12%0.15%0.16%0.14%
Selling, General & Admin5.16M3.92M4.02M5.06M229.19M250.24M292.46M266.16M238.64M172.3M
SG&A % of Revenue6.99%0.3%4.56%9.05%0.15%0.12%0.12%0.15%0.16%0.14%
Research & Development0000000000
R&D % of Revenue----------
Other Operating Expenses-1.23M0-170K0-28.31M0000-264K
Operating Income+-8.5M-9.08M-5.11M-5.98M-3.8M23.39M33.51M-49.54M-71.08M-51.55M
Operating Margin %-11.52%-0.69%-5.8%-10.69%-0%0.01%0.01%-0.03%-0.05%-0.04%
Operating Income Growth %-4.78%-0.07%0.44%-0.17%0.36%7.15%0.43%-2.48%-0.43%0.27%
EBITDA+-7.98M-7.85M-3.78M-5.15M6.91M32.49M44.31M-38.52M-57.65M-40.85M
EBITDA Margin %-10.81%-0.6%-4.29%-9.21%0%0.02%0.02%-0.02%-0.04%-0.03%
EBITDA Growth %-5.65%0.02%0.52%-0.36%2.34%3.7%0.36%-1.87%-0.5%0.29%
D&A (Non-Cash Add-back)525.92K1.23M1.33M827.63K10.71M9.1M10.8M11.02M13.44M10.7M
EBIT-6.52M-9.58M-5.14M-8.87M-9.46M29.83M31.08M-42.64M-59.13M-43.65M
Net Interest Income+00705K0-2.36M460K467K479K-193K1.77M
Interest Income00705K0586K1.12M1.08M1.16M2.35M2.72M
Interest Expense195.55K402.49K0561.97K2.94M664K612K685K2.54M952K
Other Income/Expense212.42M-627.34K2.08M11.11M23.6M8.98M-3.04M6.21M9.41M6.95M
Pretax Income+-6.71M-9.7M-5.14M-8.91M-12.4M32.37M30.47M-43.33M-61.67M-44.61M
Pretax Margin %-9.09%-0.74%-5.82%-15.93%-0.01%0.02%0.01%-0.03%-0.04%-0.04%
Income Tax+-11.98K-95.03K247K1.58M4.59M1.94M-5.79M14.1M-2.68M-1.28M
Effective Tax Rate %1.52%0.99%1%1%1.37%0.94%1.19%1.33%0.96%0.97%
Net Income+-10.22M-9.65M-5.14M-8.91M-16.99M30.43M36.26M-57.43M-58.99M-43.33M
Net Margin %-13.85%-0.74%-5.82%-15.93%-0.01%0.01%0.02%-0.03%-0.04%-0.04%
Net Income Growth %0.58%0.06%0.47%-0.73%-0.91%2.79%0.19%-2.58%-0.03%0.27%
Net Income (Continuing)-6.7M-9.61M-5.14M-8.91M-16.99M30.43M36.26M-57.43M-58.99M-43.33M
Discontinued Operations-3.66M-168.57K00000000
Minority Interest867.83K000000000
EPS (Diluted)+-27.74-7.41-0.30-0.48-0.941.651.60-3.08-3.12-2.25
EPS Growth %0.69%0.73%0.96%-0.6%-0.96%2.76%-0.03%-2.92%-0.01%0.28%
EPS (Basic)-279.00-7.41-0.30-0.76-1.001.671.98-3.08-3.12-2.25
Diluted Shares Outstanding368.53K1.3M17.41M18.67M18.17M18.41M21.61M18.66M18.93M19.29M
Basic Shares Outstanding36.64K1.3M17.31M11.72M16.99M18.41M18.33M18.66M18.93M19.29M
Dividend Payout Ratio----------

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+6.87M11.34M9.83M2.71M1.68M428.61M438.96M390.82M344.45M283.64M
Cash & Short-Term Investments615.52K10.79M6.81M477.31K79.75M156.63M99.99M122.56M102.51M99.74M
Cash Only615.52K10.79M6.81M477.31K79.75M156.63M99.99M122.56M102.51M99.74M
Short-Term Investments0000000000
Accounts Receivable54.25K153.19K257.04K466.42K54.19M67.31M63.68M88.69M83.61M66.81M
Days Sales Outstanding26.824.28106.37304.3412.8911.629.7818.8220.3919.74
Inventory5.44M375.69K2.6M1.5M109.51M182.06M245.08M156.02M136.16M98.54M
Days Inventory Outstanding2.14K7.98573.97467.8429.236.0943.6337.8737.3832.26
Other Current Assets757.77K14.44K33.18K267.78K-255.97M6.93M12.27M6.56M8.74M4.33M
Total Non-Current Assets+7.01M5.22M5.73M2.99M656.84K128.86M187.62M151.27M154.6M123.68M
Property, Plant & Equipment1.75M1.41M531.47K1.49M656.84K93.02M144.73M129.24M138.63M111.81M
Fixed Asset Turnover0.42x9.29x1.66x0.38x2335.31x22.73x16.42x13.31x10.80x11.05x
Goodwill0000000000
Intangible Assets4.45M3.81M3.7M0000000
Long-Term Investments001.5M1.5M21.46M24.66M15M11.25M2.25M15.19M
Other Non-Current Assets803.11K000-21.46M10.51M14.52M9.92M12.11M-22.63M
Total Assets+13.88M16.55M15.56M5.7M2.33M557.47M626.58M542.1M499.05M407.32M
Asset Turnover0.05x0.79x0.06x0.10x657.22x3.79x3.79x3.17x3.00x3.03x
Asset Growth %-0.35%0.19%-0.06%-0.63%-0.59%237.85%0.12%-0.13%-0.08%-0.18%
Total Current Liabilities+6.41M1.12M2.68M1.45M256.12M388.09M356.31M309.77M296.54M243.57M
Accounts Payable20.87K72.45K47.89K234.45K226.22K241.5M220.78M207.15M206.59M148.28M
Days Payables Outstanding8.221.5410.5673.030.0647.8739.350.2856.7248.55
Short-Term Debt3.72M01.54M01.21M5.56M6.47M6.33M7.6M7.07M
Deferred Revenue (Current)42.98K106.52K313.17K232.56K267.37K1000K1000K1000K1000K1000K
Other Current Liabilities2.53M802.3K783.11K597.96K36.57M12.64M53.56M37.53M5.17M40.93M
Current Ratio1.07x10.17x3.67x1.87x0.01x1.10x1.23x1.26x1.16x1.16x
Quick Ratio0.22x9.83x2.70x0.83x-0.42x0.64x0.54x0.76x0.70x0.76x
Cash Conversion Cycle2.16K10.72669.78699.1542.03-0.1714.116.411.053.45
Total Non-Current Liabilities+162.74K1.5M1.73M1.13M33.61M41.88M87.99M77.11M73.11M57.66M
Long-Term Debt00015.42M02.09M1.84M1.4M1.11M0
Capital Lease Obligations000030.64M39.04M84.31M74.84M68.13M53.32M
Deferred Tax Liabilities0000000000
Other Non-Current Liabilities162.74K1.5M1.73M1.13M741K749K1.84M863K3.88M4.34M
Total Liabilities6.57M2.61M4.41M2.58M3.62M429.97M444.3M386.87M369.65M301.23M
Total Debt+3.72M01.54M58.54M39.5M56.38M107.23M96.83M90.56M73M
Net Debt3.1M-10.79M-5.27M58.06M1.19M-100.25M7.24M-25.73M-11.95M-26.75M
Debt / Equity0.51x-0.14x18.78x-0.44x0.59x0.62x0.70x0.69x
Debt / EBITDA----5.72x1.74x2.42x---
Net Debt / EBITDA----0.17x-3.09x0.16x---
Interest Coverage-43.49x-22.55x--10.64x-1.29x35.23x54.76x-72.32x-27.97x-54.15x
Total Equity+7.31M13.94M11.15M3.12M-1.29M127.5M182.28M155.22M129.39M106.09M
Equity Growth %-0.54%0.91%-0.2%-0.72%-1.41%99.93%0.43%-0.15%-0.17%-0.18%
Book Value per Share19.8310.700.640.17-0.076.938.438.326.845.50
Total Shareholders' Equity6.44M13.94M11.15M3.12M-1.29M127.5M182.28M155.22M129.39M106.09M
Common Stock16.92M47.28M47.28M48.63M48.63M7.94M8.08M8.23M8.31M8.51M
Retained Earnings-16.38M-26.11M-31.25M-63.98M-80.97M-50.54M-14.28M-71.71M-130.7M-174.03M
Treasury Stock0000000000
Accumulated OCI2.99M2.74M3.12M2.6B2.44B3.06M6.06M1.11M194K-2.3M
Minority Interest867.83K000000000

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+-2.34M-2.78M-21.22M-3.63M-10.08M84.51M-53.29M20.48M-3.84M-821K
Operating CF Margin %-3.18%-0.21%-24.06%-6.49%-0.01%0.04%-0.02%0.01%-0%-0%
Operating CF Growth %-1.57%-0.18%-6.65%0.83%-1.78%9.39%-1.63%1.38%-1.19%0.79%
Net Income-6.56M-9.48M-11.97M-33.6M-16.99M30.43M36.26M-57.43M-58.99M-43.33M
Depreciation & Amortization619.21M1.23B1.33M827.63K10.71M9.09M10.8M11.02M13.44M10.7M
Stock-Based Compensation1.06B947.48M4M3.9M744K1.62M6.29M33.94M33.66M27.25M
Deferred Taxes0000-1.01M372K-12.7M12.5M-679K726K
Other Non-Cash Items03.85M5.56M5.87M-46.34M8.55M15.15M10.22M-3.02M4.04M
Working Capital Changes4.39M1.63M0275.74K42.81M34.45M-109.08M10.23M11.75M-213K
Change in Receivables1.62M129.13K-237.25K5.83M32.83M-14.06M785K-21.97M2.76M14.47M
Change in Inventory41.82K2.41M-2.15M58.99M110.14M-76.24M-70.83M78.77M16.78M32.88M
Change in Payables-24.91K51.58K-24.56K186.56K-100.73M76.34M-20.07M-14.06M-898K-57.4M
Cash from Investing+-27.86K-634.02M-55.11M-6.23M84.68M-5.24M-13.84M-3.77M-14.25M2.44M
Capital Expenditures-27.48K00-776.33K-10.28M-6.16M-13.84M-9.19M-30.27M-3.62M
CapEx % of Revenue0.04%--1.39%0.01%0%0.01%0.01%0.02%0%
Acquisitions----------
Investments----------
Other Investing-38400-5.45M24.45M920K1K1K176K2.19M
Cash from Financing+1.5M13.68M143.98M3.7M-49.69M-1.73M12.74M1.55M1.56M-6.05M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid0000000000
Share Repurchases----------
Other Financing4.05M0036.09M0011.43M2.89M-774K-1.34M
Net Change in Cash----------
Free Cash Flow+-2.37M-3.41M-5.45M-4.41M-20.36M78.36M-67.13M11.29M-34.1M-4.44M
FCF Margin %-3.21%-0.26%-6.18%-7.88%-0.01%0.04%-0.03%0.01%-0.02%-0%
FCF Growth %-0.87%-0.44%-0.6%0.19%-3.62%4.85%-1.86%1.17%-4.02%0.87%
FCF per Share-6.44-2.62-0.31-0.24-1.124.26-3.110.61-1.80-0.23
FCF Conversion (FCF/Net Income)0.23x0.29x4.13x0.41x0.59x2.78x-1.47x-0.36x0.07x0.02x
Interest Paid00002.63M270K268K558K1.26M1.4M
Taxes Paid00004.7M261K6.37M4.96M342K223K

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)-87.8%-90.84%-40.94%-124.88%-1859.14%48.22%23.41%-34.03%-41.45%-36.8%
Return on Invested Capital (ROIC)-46.95%-100.47%-84.97%-13.37%-29.04%64.39%23.19%-23.29%-43.18%-39.29%
Gross Margin-25.6%-31.52%-87.75%-109.46%10.75%12.94%13.72%12.59%11.19%9.78%
Net Margin-1384.68%-73.87%-582.35%-1592.82%-1.11%1.44%1.53%-3.34%-3.94%-3.51%
Debt / Equity0.51x-0.14x18.78x-0.44x0.59x0.62x0.70x0.69x
Interest Coverage-43.49x-22.55x--10.64x-1.29x35.23x54.76x-72.32x-27.97x-54.15x
FCF Conversion0.23x0.29x4.13x0.41x0.59x2.78x-1.47x-0.36x0.07x0.02x
Revenue Growth-73.35%1669.25%-93.25%-36.58%274116.37%37.87%12.36%-27.6%-12.98%-17.46%

Revenue by Segment

2014201520162017201820192021202220232024
Others Member-------134.82M92.05M72.47M
Others Member Growth---------31.73%-21.27%
Office Equipment---------71.08M
Office Equipment Growth----------
Software Development---------59.1M
Software Development Growth----------
DirectSalesRevenuesMember------2.24B---
DirectSalesRevenuesMember Growth----------
ComponentsAndStorageMember------1.35B---
ComponentsAndStorageMember Growth----------
ComputerSystemMember------644.92M---
ComputerSystemMember Growth----------
OthersMember------229.72M---
OthersMember Growth----------
OfficeSolutionsMember------155.53M---
OfficeSolutionsMember Growth----------
ServicesRevenuesMember------69.31M---
ServicesRevenuesMember Growth----------
MarketplaceRevenuesMember------63.49M---
MarketplaceRevenuesMember Growth----------
OSAS Service----217.04K171.06K----
OSAS Service Growth------21.18%----
Mobile Medicine---54.98K120.93K153.64K----
Mobile Medicine Growth----119.96%27.05%----
Medical Devices10.3M1.5M1.31M827.03K221.41K58.75K----
Medical Devices Growth--85.43%-13.03%-36.64%-73.23%-73.47%----
Mobile medicine1.63M164.5K12.08M-------
Mobile medicine Growth--89.93%7243.43%-------
Respiratory and Oxygen Homecare53.76K20.57K5.96K-------
Respiratory and Oxygen Homecare Growth--61.73%-71.05%-------

Revenue by Geography

2014201520162017201820192021202220232024
UNITED STATES--------1.36B1.13B
UNITED STATES Growth----------16.93%
CANADA--------114.95M90.04M
CANADA Growth----------21.67%
Rest Of World Member--------19.59M13.84M
Rest Of World Member Growth----------29.35%
OthersMember------229.72M---
OthersMember Growth----------

Frequently Asked Questions

Growth & Financials

Newegg Commerce, Inc. (NEGG) reported $1.31B in revenue for fiscal year 2024. This represents a 5968% increase from $21.6M in 2011.

Newegg Commerce, Inc. (NEGG) saw revenue decline by 17.5% over the past year.

Newegg Commerce, Inc. (NEGG) reported a net loss of $22.6M for fiscal year 2024.

Dividend & Returns

Newegg Commerce, Inc. (NEGG) has a return on equity (ROE) of -36.8%. Negative ROE indicates the company is unprofitable.

Newegg Commerce, Inc. (NEGG) generated $8.8M in free cash flow for fiscal year 2024. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

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