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Trade Cimpress N.V - Ordinary Shares - CMPR CFD

86.88
1.09%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
Trading сonditions
Spread 0.40
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.026179 %
Charges from full value of position ($-4.97)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
-0.026179%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee 0.003957 %
Charges from full value of position ($0.75)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
0.003957%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency USD
Margin 5%
Stock exchange United States of America
Commission on trade 0%

*Information provided by Capital.com

Cimpress PLC ESG Risk Ratings

High Medium Low Negligible

‘C’ score indicates satisfactory relative ESG performance and moderate degree of transparency in reporting material ESG data publicly.

More ESG coverage

Key Stats
Prev. Close* 87.84
Open* 86.87
1-Year Change* 97.57%
Day's Range* 85.2 - 87.67
52 wk Range 26.52-83.36
Average Volume (10 days) 96.44K
Average Volume (3 months) 2.22M
Market Cap 1.93B
P/E Ratio -100.00K
Shares Outstanding 26.59M
Revenue 3.13B
EPS -5.95
Dividend (Yield %) N/A
Beta 1.93
Next Earnings Date Jan 31, 2024

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Apr 19, 2024 86.88 0.49 0.57% 86.39 88.11 85.20
Apr 18, 2024 87.84 -1.99 -2.22% 89.83 92.46 87.70
Apr 17, 2024 89.69 0.55 0.62% 89.14 91.42 86.94
Apr 16, 2024 88.93 -0.92 -1.02% 89.85 90.44 88.02
Apr 15, 2024 91.34 -1.60 -1.72% 92.94 94.00 89.89
Apr 12, 2024 93.09 1.15 1.25% 91.94 94.12 91.93
Apr 11, 2024 95.11 3.54 3.87% 91.57 95.24 91.42
Apr 10, 2024 92.97 0.08 0.09% 92.89 94.67 92.04
Apr 9, 2024 96.62 -1.91 -1.94% 98.53 98.89 95.15
Apr 8, 2024 97.64 0.79 0.82% 96.85 99.03 96.40
Apr 5, 2024 96.49 2.60 2.77% 93.89 97.97 93.89
Apr 4, 2024 95.19 -0.74 -0.77% 95.93 99.13 94.58
Apr 3, 2024 92.52 3.37 3.78% 89.15 96.78 89.15
Apr 2, 2024 91.61 2.22 2.48% 89.39 93.43 88.42
Apr 1, 2024 91.01 4.55 5.26% 86.46 92.38 86.46
Mar 28, 2024 88.28 0.81 0.93% 87.47 89.35 87.25
Mar 27, 2024 88.04 0.74 0.85% 87.30 89.29 85.54
Mar 26, 2024 86.94 -2.23 -2.50% 89.17 90.62 86.62
Mar 25, 2024 89.75 -0.17 -0.19% 89.92 90.72 89.08
Mar 22, 2024 89.88 -2.15 -2.34% 92.03 92.03 89.36

Cimpress N.V - Ordinary Shares Events

Time (UTC) Country Event
Wednesday, May 1, 2024

Time (UTC)

20:05

Country

US

Event

Q3 2024 Cimpress PLC Earnings Release
Q3 2024 Cimpress PLC Earnings Release

Forecast

-

Previous

-
Thursday, May 2, 2024

Time (UTC)

12:00

Country

US

Event

Q3 2024 Cimpress PLC Earnings Call
Q3 2024 Cimpress PLC Earnings Call

Forecast

-

Previous

-
Wednesday, July 31, 2024

Time (UTC)

10:59

Country

US

Event

Q4 2024 Cimpress PLC Earnings Release
Q4 2024 Cimpress PLC Earnings Release

Forecast

-

Previous

-
Thursday, August 1, 2024

Time (UTC)

10:59

Country

US

Event

Q4 2024 Cimpress PLC Earnings Call
Q4 2024 Cimpress PLC Earnings Call

Forecast

-

Previous

-
View all events
  • Annual
  • Quarterly
2023 2022 2021 2020 2019
Total revenue 3079.63 2887.55 2575.96 2481.36 2751.08
Revenue 3079.63 2887.55 2575.96 2481.36 2751.08
Cost of Revenue, Total 1640.62 1492.73 1299.89 1248.87 1401.34
Gross Profit 1439 1394.83 1276.07 1232.49 1349.73
Total Operating Expense 3015.55 2840.26 2500.79 2425.39 2587.47
Selling/General/Admin. Expenses, Total 983.216 989.023 824.143 758.716 876.515
Research & Development 302.257 292.845 253.06 253.252 236.797
Unusual Expense (Income) 42.602 11.166 69.884 112.764 19.557
Operating Income 64.073 47.298 75.167 55.969 163.607
Interest Income (Expense), Net Non-Operating -93.132 -41.038 -131.573 -52.967 -37.171
Other, Net -1.163 3.071 -7.148 0.001 0.476
Net Income Before Taxes -30.222 9.331 -63.554 3.003 126.912
Net Income After Taxes -185.715 -50.57 -82.457 -29.487 93.48
Minority Interest -0.263 -3.761 -2.772 -0.63 1.572
Equity In Affiliates
Net Income Before Extra. Items -185.978 -54.331 -85.229 -30.117 95.052
Net Income -185.978 -54.331 -85.229 83.365 95.052
Income Available to Common Excl. Extra. Items -185.978 -54.331 -85.229 -30.117 95.052
Income Available to Common Incl. Extra. Items -185.978 -54.331 -85.229 83.365 95.052
Diluted Net Income -185.978 -54.331 -85.229 83.365 95.052
Diluted Weighted Average Shares 26.2529 26.0948 25.9966 27.7733 31.6627
Diluted EPS Excluding Extraordinary Items -7.0841 -2.08206 -3.27847 -1.08439 3.00202
Dividends per Share - Common Stock Primary Issue
Diluted Normalized EPS -5.85768 -1.96297 -1.0028 1.6425 4.89082
Depreciation / Amortization 46.854 54.497 53.818 51.786 53.256
Total Extraordinary Items 113.482
Sep 2023 Jun 2023 Mar 2023 Dec 2022 Sep 2022
Total revenue 757.294 788.846 742.164 845.202 703.415
Revenue 757.294 788.846 742.164 845.202 703.415
Cost of Revenue, Total 398.783 412.589 394.908 455.393 377.735
Gross Profit 358.511 376.257 347.256 389.809 325.68
Total Operating Expense 721.822 728.187 754.361 811.624 721.382
Selling/General/Admin. Expenses, Total 240.529 233.463 239.812 254.939 255.002
Research & Development 74.33 71.772 78.287 77.723 74.475
Depreciation / Amortization 9.886 10.903 11.239 12.362 12.35
Unusual Expense (Income) -1.706 -0.54 30.115 11.207 1.82
Operating Income 35.472 60.659 -12.197 33.578 -17.967
Interest Income (Expense), Net Non-Operating -29.2 -21.452 -28.756 -46.566 3.642
Other, Net 6.419 -0.307 -0.382 0.577 -1.051
Net Income Before Taxes 12.691 38.9 -41.335 -12.411 -15.376
Net Income After Taxes 4.569 27.376 -49.81 -138.54 -24.741
Minority Interest -0.015 1.413 0.484 -1.46 -0.7
Net Income Before Extra. Items 4.554 28.789 -49.326 -140 -25.441
Net Income 4.554 28.789 -49.326 -140 -25.441
Income Available to Common Excl. Extra. Items 4.554 28.789 -49.326 -140 -25.441
Income Available to Common Incl. Extra. Items 4.554 28.789 -49.326 -140 -25.441
Diluted Net Income 4.60351 28.789 -49.326 -140 -25.441
Diluted Weighted Average Shares 27.0795 26.3305 26.2683 26.2348 26.1788
Diluted EPS Excluding Extraordinary Items 0.17 1.09337 -1.87778 -5.33643 -0.97182
Dividends per Share - Common Stock Primary Issue 0 0 0
Diluted Normalized EPS 0.22506 1.21124 -1.14618 -5.08168 -0.84082
Dilution Adjustment 0.04951
  • Annual
  • Quarterly
2023 2022 2021 2020 2019
Total Current Assets 441.027 626.315 528.498 248.404 240.3
Cash and Short Term Investments 168.853 327.005 335.271 45.021 35.279
Cash & Equivalents 130.313 277.053 183.023 45.021 35.279
Short Term Investments 38.54 49.952 152.248
Total Receivables, Net 67.353 63.885 50.679 34.596 60.646
Accounts Receivable - Trade, Net 67.353 63.885 50.679 34.596 60.646
Total Inventory 107.835 126.728 70.044 80.179 66.31
Prepaid Expenses 96.986 108.697 72.504 88.608 58.032
Other Current Assets, Total 20.033
Total Assets 1854.86 2167.67 2182.5 1815.01 1868.38
Property/Plant/Equipment, Total - Net 364.35 367.52 416.305 494.917 490.755
Property/Plant/Equipment, Total - Gross 937.631 925.501 1000.06 1098.98 1058.16
Accumulated Depreciation, Total -573.281 -557.981 -583.752 -604.061 -567.407
Goodwill, Net 781.541 766.6 726.979 621.904 718.88
Intangibles, Net 204.511 245.204 274.434 280.693 332.541
Other Long Term Assets, Total 58.933 162.033 185.569 169.088 85.9
Total Current Liabilities 645.332 692.539 638.173 486.758 520.749
Accounts Payable 285.784 313.71 199.831 163.891 185.096
Accrued Expenses 226.402 239.661 227.99 199.375 154.613
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 20.651 17.07 42.209 25.988 104.514
Other Current Liabilities, Total 112.495 122.098 168.143 97.504 76.526
Total Liabilities 2478 2662.59 2631.87 2222.48 1736.56
Total Long Term Debt 1657.06 1690.26 1751.04 1434.27 1070.42
Long Term Debt 1627.24 1675.56 1732.51 1415.66 942.29
Capital Lease Obligations 29.822 14.699 18.528 18.617 128.132
Deferred Income Tax 47.351 41.142 27.433 33.811 44.531
Minority Interest 23.37 131.483 71.12 69.106 63.182
Other Liabilities, Total 104.886 107.169 144.104 198.533 37.68
Total Equity -623.145 -494.922 -449.371 -407.476 131.812
Redeemable Preferred Stock 0 0 0
Common Stock 0.615 0.615 0.643 0.643 0.615
Additional Paid-In Capital 539.454 501.003 459.904 438.616 411.079
Retained Earnings (Accumulated Deficit) 235.396 414.138 537.677 618.437 537.422
Treasury Stock - Common -1363.55 -1363.55 -1368.59 -1376.5 -737.447
Unrealized Gain (Loss) 0
Other Equity, Total -35.06 -47.128 -79 -88.676 -79.857
Total Liabilities & Shareholders’ Equity 1854.86 2167.67 2182.5 1815.01 1868.38
Total Common Shares Outstanding 26.3446 26.1123 26.0359 25.8857 30.4457
Total Preferred Shares Outstanding 0 0 0 0 0
Long Term Investments 4.497 50.713
Sep 2023 Jun 2023 Mar 2023 Dec 2022 Sep 2022
Total Current Assets 443.919 441.027 470.125 525.314 579.291
Cash and Short Term Investments 147.812 168.853 183.295 196.349 233.826
Cash & Equivalents 125.199 130.313 114.99 111.279 132.1
Total Receivables, Net 68.892 67.353 67.869 70.433 70.533
Accounts Receivable - Trade, Net 68.892 67.353 67.869 70.433 70.533
Total Inventory 113.985 107.835 116.379 140.517 153.504
Prepaid Expenses 113.23 96.986 102.582 118.015 121.428
Total Assets 1809.47 1854.86 1893.44 1952.11 2098.05
Property/Plant/Equipment, Total - Net 346.026 364.35 359.534 348.489 337.014
Goodwill, Net 772.165 781.541 787.291 776.788 748.055
Intangibles, Net 191.456 204.511 215.442 224.96 229.525
Other Long Term Assets, Total 55.905 58.933 54.579 59.448 181.713
Total Current Liabilities 639.183 645.332 675.59 696.735 671.625
Accounts Payable 264.032 285.784 263.98 318.554 285.226
Accrued Expenses 294.67 226.402 273.029 232.106 243.513
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 10.877 20.651 19.686 17.416 16.352
Other Current Liabilities, Total 69.604 112.495 118.895 128.659 126.534
Total Liabilities 2423.65 2478 2555.85 2565.42 2605.71
Total Long Term Debt 1594.94 1657.06 1710.79 1698.99 1669.2
Long Term Debt 1594.94 1627.24 1682.66 1679.06 1654.53
Capital Lease Obligations 29.822 28.129 19.935 14.669
Deferred Income Tax 49.407 47.351 43.759 47.178 48.418
Minority Interest 11.403 23.37 12.516 24.289 129.909
Other Liabilities, Total 128.719 104.886 113.202 98.221 86.557
Total Equity -614.183 -623.145 -662.417 -613.311 -507.66
Redeemable Preferred Stock
Common Stock 0.615 0.615 0.615 0.615 0.615
Additional Paid-In Capital 543.754 539.454 528.983 521.531 509.444
Retained Earnings (Accumulated Deficit) 239.62 235.396 206.826 256.152 385.972
Treasury Stock - Common -1363.55 -1363.55 -1363.55 -1363.55 -1363.55
Other Equity, Total -34.622 -35.06 -35.291 -28.059 -40.141
Total Liabilities & Shareholders’ Equity 1809.47 1854.86 1893.44 1952.11 2098.05
Total Common Shares Outstanding 26.5828 26.3446 26.3142 26.2402 26.2248
Total Preferred Shares Outstanding 0 0
Short Term Investments 22.613 38.54 68.305 85.07 101.726
Long Term Investments 0 4.497 6.466 17.107 22.449
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Net income/Starting Line -50.57 -74.939 83.995 93.48 46.788
Cash From Operating Activities 219.536 265.221 338.444 331.095 204.374
Cash From Operating Activities 175.681 173.212 167.943 173.771 169.005
Deferred Taxes 22.879 -10.284 -106.864 6.838 -14.039
Non-Cash Items -3.809 122.345 153.874 28.706 38.045
Cash Taxes Paid 32.987 27.87 13.52 26.369 32.278
Cash Interest Paid 98.099 116.977 72.906 63.94 56.614
Changes in Working Capital 75.355 54.887 39.496 28.3 -35.425
Cash From Investing Activities -3.997 -354.316 -66.864 -420.166 -10.594
Capital Expenditures -119.337 -99.461 -94.459 -119.279 -102.085
Other Investing Cash Flow Items, Total 115.34 -254.855 27.595 -300.887 91.491
Cash From Financing Activities -106.572 224.128 -258.255 81.989 -177.757
Financing Cash Flow Items -54.55 -29.419 -47.918 -41.695 1.814
Issuance (Retirement) of Stock, Net -2.28 -627.05 -52.164 -82.729
Issuance (Retirement) of Debt, Net -52.022 255.827 416.713 175.848 -96.842
Foreign Exchange Effects -14.937 2.969 -3.583 -1.866 2.507
Net Change in Cash 94.03 138.002 9.742 -8.948 18.53
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Net income/Starting Line -213.091 -163.281 -24.741 -50.57 -18.699
Cash From Operating Activities 68.474 51.745 -25.251 219.536 131.716
Cash From Operating Activities 121.567 81.816 40.942 175.681 133.397
Deferred Taxes 115.984 116.927 -1.024 22.879 26.636
Non-Cash Items 72.145 51.364 -1.984 -3.809 -3.475
Cash Taxes Paid 23.494 11.166 4.257 32.987 23.587
Cash Interest Paid 70.796 50.82 15.06 98.099 63.498
Changes in Working Capital -28.131 -35.081 -38.444 75.355 -6.143
Cash From Investing Activities -108.351 -106.569 -101.043 -3.997 -48.627
Capital Expenditures -81.667 -55.736 -27.088 -119.337 -92.017
Other Investing Cash Flow Items, Total -26.684 -50.833 -73.955 115.34 43.39
Cash From Financing Activities -125.766 -112.715 -11.78 -106.572 -98.746
Financing Cash Flow Items -110.066 -101.865 -6.112 -54.55 -52.498
Issuance (Retirement) of Debt, Net -15.7 -10.85 -5.668 -52.022 -46.248
Foreign Exchange Effects 3.58 1.765 -6.879 -14.937 -5.854
Net Change in Cash -162.063 -165.774 -144.953 94.03 -21.511
Issuance (Retirement) of Stock, Net

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Cimpress N.V - Ordinary Shares Company profile

About Cimpress PLC

Cimpress plc invests in and builds entrepreneurial mass customization business. The Company operates through segments, which include Vistaprint, PrintBrothers, the Print Group, National Pen and All Other Businesses. The Vistaprint segment represents its Vistaprint-branded Websites and its Webs-branded business, which is managed with the Vistaprint-branded digital business. The PrintBrothers and The Print Group segments include the druck.at, Exagroup, Easyflyer, Printdeal, Pixartprinting, Tradeprint, and WIRmachenDRUCK branded businesses. National Pen segment includes the global operations of its National Pen business, which manufactures custom writing instruments and promotional products, apparel and gifts. The All Other businesses segment includes the operations of its BuildASign, Printi, VIDA and YSD.

Financial summary

BRIEF: For the six months ended 31 December 2021, Cimpress PLC revenues increased 10% to $1.51B. Net income increased from $21.5M to $48.1M. Revenues reflect an increase in demand for the Company's products and services due to favorable market conditions. Net income benefited from Others segment loss decrease of 52% to $42.9M, Corporate and Global function segment loss decrease of 41% to $36.6M.

Equity composition

Common Stock $.01 Par, 03/11, 120M auth., 49,950,289 issd., less 6,995,246 shs. in Treas. @ $86.1M. Insiders & Strategic Owns 6.03%. Ordinary shares €.01 Par, 120M auth. IPO: 10,015,930 shares @ $9 - $11per share by Goldman Sachs and Bear Stearns.09/09, Name changed from VistaPrint Limited.

Industry: Commercial Printing Services (NEC)

First Floor Building 3
Finnabair Business And Technology Park
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Income Statement

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