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FUBO - FuboTV Inc

104


$1.19

$0.04 (3.478%)
At market close

$1.20

$0.01 (0.941%)
After Hours 3/13/26, 11:58 PM
General
Scores
Financials & KPIs
Dividends
Analyst
Insider
Metric Margins Overview
Metrics
4
KPIs
View as %
FuboTV Inc logo

FuboTV Inc

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Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Operating Margin
--
--
-4.24%
-6.48%
-9.43%
2025-03-31
5.42%
2025-12-31
5.42%
2025-12-31
Net Margin
40.32%
29.07%
5.81%
5.61%
4.43%
2025-03-31
7.58%
2025-09-30
5.72%
2025-12-31
Gross Margin
0%
0%
100%
100%
100%
2025-03-31
100%
2025-03-31
100%
2025-12-31
Free Cash Flow Margin
--
--
4.71%
8.67%
-7.38%
2025-12-31
8.9%
2025-03-31
-7.38%
2025-12-31
Income Statement
Balance Sheet
Cash Flow
Metrics
KPIs
% Change
Colors
.
#'s in thousands USDAll Time2025-12-312025-09-302025-06-302025-03-312024-12-31
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2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-30
Margins
Gross Margin
100.00%
100.00%
100.00%
100.00%
42K%
8979374
4975289
158482
2124765
4641983
7475921
7489562
2698447
3329038
2439180
4151806
1250888
599001
SGA Margin
97.97%
97.96%
100.28%
102.13%
42K%
7078364
5455620
898686
2209794
8061141
6712305
9971661
3394395
3789394
6057220
1445541
8071655
6392159
Operating Margin
5.42%
-5.30%
-7.65%
-9.43%
42K%
5404773
5973146
3512294
2231376
4762545
8578794
4613734
1211162
7493747
2667939
4947079
4485694
8605102
EBITDA Margin
6.31%
-2.81%
-5.19%
-7.01%
42K%
1385529
3620640
7525982
5359156
5168054
9588603
6408531
6347163
9661620
3131308
8782471
2960533
3056712
Net Margin
5.72%
7.58%
5.50%
4.43%
42K%
7290934
5842234
9759473
5101388
8987940
8376855
8620137
666096
5068057
2899437
9556589
2502363
3429606
Free Cash Flow Margin
-7.38%
8.51%
8.83%
8.90%
42K%
9777260
4728443
5096654
2244821
6264783
2410105
4957857
7931284
3590142
5629311
9846691
6054030
5532945
Operating Cash Flow Margin
-7.36%
8.68%
9.09%
9.15%
42K%
5276840
9877166
8139196
2370240
4017289
4594787
3132565
4862552
5884180
1863818
2051223
8612792
9234881
Valuation Metrics
Market Cap
863,665.2
1,422,059.2
1,321,611.2
997,111.63
42,069,000
26613
1488840
6461416
1900051
9686733
8496381
2849548
5122453
9042734
1025563
6508687
7624005
2457062
Enterprise Value
790,936.2
1,487,491.2
1,377,908.2
1,015,593.63
42,069,000
4325978
9347159
8723933
912308
1389983
528030
6081867
784643
8379186
150323
4994247
6208810
66901
Price to Sales
0.32
0.88
0.81
0.61
42,069
737760
4841636
3609487
9712788
3246455
7848777
1088690
364882
6654520
3601066
2742717
7516224
2219677
Price to Gross
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Price to Operating Cash Flow
0
10.14
8.94
6.66
42,069
1425466
2399429
471138
2421155
8131673
2332924
3746640
4041877
3871663
5367999
5628118
3739320
4042366
Price to Operating Income
5.85
0
0
0
42,069
9614209
1703931
97188
4263149
705547
5818145
4225248
2428238
5079413
969401
6241830
7462677
6943766
Price to Earnings
5.55
11.6
14.77
13.75
42,069
6052403
9432494
4226546
6940739
6028980
9622724
1033738
240856
2218167
8344536
3410163
8486728
2975959
Price to Free Cash Flow
0
10.34
9.21
6.85
42,069
4824377
2185780
1406552
8997074
145041
8716915
2258444
5444312
4513310
6667228
9334955
9770573
1867435
Management
Return On Assets
3.80%
10.23%
7.50%
5.96%
42K%
1127885
743017
3618287
3194702
2188651
6381585
601520
5194738
1446528
9691138
5578921
3644759
8168401
Return On Capital Employed
5.04%
-13.83%
-19.63%
-24.62%
42K%
7228903
7136368
9788427
6375391
7037444
4175357
5637541
2582113
2107113
1143578
2292822
9771932
1508928
Return On Equity
56.49%
30.49%
21.73%
18.11%
42K%
9530088
7498431
6393835
2160881
3967547
3544499
3480340
8415392
3229999
9691526
7968437
6617317
4314289
Return On Invested Capital
71.84%
-18.74%
-27.69%
-38.09%
42K%
7880336
238300
8775544
7787625
2985697
3554596
278994
8812907
1059139
4071159
2894457
9563736
8137115
Stock Based Compensation
SBC as a % of FCF
0.00%
22.33%
21.56%
22.66%
42K%
2027352
7475417
2165015
5730069
3834445
4065968
4599677
3719431
2011306
254380
775170
4003970
670100
SBC as a % of OCF
0.00%
21.90%
20.94%
22.04%
42K%
1233810
5826933
8541147
7410023
2445813
6112523
5036417
6818836
7151092
997746
6765190
5671458
9566887
SBC as a % of Revenue
1.16%
1.90%
1.90%
2.02%
42K%
4761133
2069079
955249
6456731
589382
2363193
3122320
8137562
142881
3788697
695998
7805219
3524320
FCF Excl. SBC Yield
-26.90%
7.51%
8.52%
11.29%
42K%
7276376
382074
4368790
4579947
7094991
160343
9400999
1359852
8649573
6167294
4056095
5582197
9091680
Per Share
Free Cash Flow Per Share
-0.58
0.4
0.42
0.43
42,069
4165689
4705455
7257291
5387262
2085053
2000742
6384802
2945306
496476
2766681
4281153
7847809
9013286
Operating Cash Flow Per Share
-0.57
0.41
0.43
0.44
42,069
8901874
680627
6474348
8090356
2499861
6178583
8989224
6345880
1971085
8933319
720417
600435
186892
Revenue Per Share
7.8
4.72
4.76
4.79
42,069
634796
6335499
4287619
5758330
7728174
5319311
4489905
7256560
3891064
3353768
9578368
497135
7110143
Financial Health
Debt to EBITDA Ratio
2.21
0
0
0
42,069
3045169
6872400
3154527
391525
7157821
8887318
4634211
7281150
5750367
7781285
1452911
4556112
2126593
Interest Coverage Ratio
--
-4.52
-6.37
-7.59
-9.22
6600624
5040962
4577766
1589578
3563786
3513405
5607718
9222092
3488801
8225981
2267404
7007409
9507525
Net Debt
-72,729
65,432
56,297
18,482
42,069,000
4533075
7709080
8758449
8506211
194761
85826
3394052
4080709
3973084
3026445
6636980
9674401
8562647
Total Debt
379,682
339,582
339,877
340,099
42,069,000
1761759
1479433
683046
7664687
61414
48189
893232
4880765
5059568
5556011
7189617
1402437
2554229