CIMPRESS plc Cash and Equivalents

Quick Answer

CIMPRESS plc reported Cash and Equivalents of $233.98 million for fiscal year 2025.

CIMPRESS plc Cash and Equivalents — Annual History

Fiscal Year Cash and Equivalents YoY Change
2025 $233.98M +14.8%
2024 $203.78M +56.4%
2023 $130.31M -53.0%
2022 $277.05M +51.4%
2021 $183.02M +306.5%
2020 $45.02M +27.6%
2019 $35.28M -20.2%
2018 $44.23M +72.1%
2017 $25.70M -66.8%
2016 $77.43M -25.3%
2015 $103.58M +65.7%
2014 $62.51M +24.9%
2013 $50.06M -19.5%
2012 $62.20M -73.7%
2011 $236.55M +0.0%
2010 $236.55M +76.5%
2009 $133.99M +29.9%
2008 $103.14M

Quarterly Cash and Equivalents

Quarter Ending Cash and Equivalents YoY QoQ
December 31, 2025 $258.04M +15.0% +28.7%
September 30, 2025 $200.50M +31.1% -14.3%
June 30, 2025 $233.98M +14.8% +27.9%
March 31, 2025 $183.00M +18.6% -18.5%
December 31, 2024 $224.43M -18.2% +46.7%
September 30, 2024 $152.95M +22.2% -24.9%
June 30, 2024 $203.78M +56.4% +32.0%
March 31, 2024 $154.34M +34.2% -43.7%
  • CIMPRESS plc showed an increase of +14.8% in Cash and Equivalents compared to the prior fiscal year.
  • Over the 2008–2025 period, CIMPRESS plc’s cash and equivalents has grown by 126.8% (from $103.14 million to $233.98 million).
  • The most recent figure is from CIMPRESS plc’s fiscal year 2025 report (Form 10-K), filed with the SEC on August 8, 2025.
  • All figures are sourced from SEC EDGAR XBRL filings, last verified June 17, 2026.

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