Kalera Public Key Executives

This section highlights Kalera Public's key executives, including their titles and compensation details.

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Kalera Public Earnings

This section highlights Kalera Public's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.

Next Earnings Date

Date:
Time:
Est. EPS: $-
Status: Unconfirmed

Last Earnings Results

Date:
EPS: $-
Est. EPS: $-
Revenue: $-

Earnings Call Transcripts

Transcript Quarter Year Date Estimated EPS Actual EPS

Kalera Public Limited Company (KALRQ)

Kalera Public Limited Company, together with its subsidiaries, operates as a hydroponic vertical farming company in the United States and internationally. The company operates vertical hydroponic farms and related technology development facilities that produce various lettuce and micro–greens for the retail and food service markets. It also holds a license to patented technology related to geopolymer concrete. Kalera Public Limited Company is headquartered in Orlando, Florida.

Consumer Defensive Agricultural Farm Products

$0.00

Stock Price

$184

Market Cap

-

Employees

Orlando, FL

Location

Financial Statements

Access annual & quarterly financial statements for Kalera Public, including income statements, balance sheets, and cash flow statements..

Annual Income Statement

Breakdown December 31, 2021 December 31, 2020
Revenue $2.85M $887.00K
Cost of Revenue $9.63M $1.94M
Gross Profit $-6.78M $-1.05M
Gross Profit Ratio -237.40% -118.15%
Research and Development Expenses $- $-
General and Administrative Expenses $- $-
Selling and Marketing Expenses $- $-
Selling General and Administrative Expenses $28.62M $6.47M
Other Expenses $4.01M $967.00K
Operating Expenses $32.63M $7.43M
Cost and Expenses $42.26M $9.37M
Interest Income $- $-
Interest Expense $1.63M $503.00K
Depreciation and Amortization $5.84M $1.29M
EBITDA $-34.62M $-7.19M
EBITDA Ratio -1212.61% -810.26%
Operating Income $-40.46M $-8.48M
Operating Income Ratio -1417.16% -956.26%
Total Other Income Expenses Net $-854.00K $-175.00K
Income Before Tax $-41.31M $-8.66M
Income Before Tax Ratio -1447.08% -975.99%
Income Tax Expense $-1.33M $1.24M
Net Income $-39.98M $-9.89M
Net Income Ratio -1400.46% -1115.56%
EPS $-1.87 $-0.46
EPS Diluted $-1.87 $-0.46
Weighted Average Shares Outstanding 21.38M 21.38M
Weighted Average Shares Outstanding Diluted 21.38M 21.38M
SEC Filing Source Source


Breakdown September 30, 2022 June 30, 2022 March 31, 2022
Revenue $1.67M $1.29M $1.48M
Cost of Revenue $5.87M $6.27M $5.01M
Gross Profit $-4.20M $-4.98M $-3.53M
Gross Profit Ratio -250.80% -386.50% -239.10%
Research and Development Expenses $10.77M $24.61M $-
General and Administrative Expenses $- $- $-
Selling and Marketing Expenses $- $- $-
Selling General and Administrative Expenses $10.77M $24.61M $10.40M
Other Expenses $-7.25M $-21.65M $2.55M
Operating Expenses $14.28M $27.57M $12.95M
Cost and Expenses $20.16M $33.85M $17.96M
Interest Income $- $- $-
Interest Expense $677.00K $588.00K $229.00K
Depreciation and Amortization $-11.76M $2.96M $2.22M
EBITDA $-32.49M $17.41M $-14.27M
EBITDA Ratio -1940.86% 1350.50% -965.88%
Operating Income $-20.73M $14.45M $-16.48M
Operating Income Ratio -1238.59% 1120.64% -1116.05%
Total Other Income Expenses Net $19.20M $17.64M $-564.00K
Income Before Tax $-1.54M $-79.17M $-17.05M
Income Before Tax Ratio -91.94% -6141.58% -1154.23%
Income Tax Expense $-485.00K $-533.00K $-755.00K
Net Income $-1.05M $-78.63M $-16.29M
Net Income Ratio -62.96% -6100.23% -1103.11%
EPS $-0.04 $-3.92 $-0.76
EPS Diluted $-0.04 $-3.92 $-0.76
Weighted Average Shares Outstanding 23.69M 20.04M 21.38M
Weighted Average Shares Outstanding Diluted 23.69M 20.04M 21.38M
SEC Filing Source Source Source

Annual Balance Sheet

Breakdown December 31, 2021 December 31, 2020
Cash and Cash Equivalents $16.15M $113.35M
Short Term Investments $- $-
Cash and Short Term Investments $16.15M $113.35M
Net Receivables $795.00K $157.00K
Inventory $1.19M $104.00K
Other Current Assets $2.96M $330.00K
Total Current Assets $21.09M $113.94M
Property Plant Equipment Net $183.44M $35.97M
Goodwill $68.42M $156.00K
Intangible Assets $72.37M $530.00K
Goodwill and Intangible Assets $140.79M $686.00K
Long Term Investments $1.32M $-
Tax Assets $- $-
Other Non-Current Assets $3.35M $3.15M
Total Non-Current Assets $328.90M $39.80M
Other Assets $- $-1.00K
Total Assets $350.00M $153.75M
Account Payables $10.42M $178.00K
Short Term Debt $1.62M $131.00K
Tax Payables $- $-
Deferred Revenue $- $-
Other Current Liabilities $2.68M $1.04M
Total Current Liabilities $14.72M $1.34M
Long Term Debt $57.72M $7.62M
Deferred Revenue Non-Current $1.53M $-
Deferred Tax Liabilities Non-Current $8.45M $-
Other Non-Current Liabilities $662.00K $650.00K
Total Non-Current Liabilities $68.35M $8.28M
Other Liabilities $- $-
Total Liabilities $83.07M $9.62M
Preferred Stock $- $-
Common Stock $206.00K $194.00K
Retained Earnings $-62.61M $-378.00K
Accumulated Other Comprehensive Income Loss $-1.55M $-22.55M
Other Total Stockholders Equity $330.87M $166.86M
Total Stockholders Equity $266.92M $144.13M
Total Equity $266.92M $144.13M
Total Liabilities and Stockholders Equity $350.00M $153.75M
Minority Interest $- $-
Total Liabilities and Total Equity $350.00M $153.75M
Total Investments $1.32M $-
Total Debt $59.34M $7.76M
Net Debt $43.19M $-105.60M


Balance Sheet Charts

Breakdown September 30, 2022 June 30, 2022 March 31, 2022
Cash and Cash Equivalents $2.31M $3.33M $5.46M
Short Term Investments $- $- $-
Cash and Short Term Investments $2.31M $3.33M $5.46M
Net Receivables $703.00K $1.04M $996.00K
Inventory $1.28M $1.18M $1.35M
Other Current Assets $2.81M $1.71M $3.24M
Total Current Assets $7.10M $7.27M $11.05M
Property Plant Equipment Net $198.64M $198.50M $195.12M
Goodwill $- $- $67.13M
Intangible Assets $59.69M $64.33M $71.02M
Goodwill and Intangible Assets $59.69M $64.33M $138.15M
Long Term Investments $1.43M $1.33M $1.27M
Tax Assets $- $- $-
Other Non-Current Assets $3.58M $3.63M $3.64M
Total Non-Current Assets $263.34M $267.79M $338.18M
Other Assets $- $- $-
Total Assets $270.44M $275.06M $349.23M
Account Payables $13.65M $10.86M $10.80M
Short Term Debt $2.94M $13.08M $14.23M
Tax Payables $- $- $-
Deferred Revenue $- $- $-
Other Current Liabilities $2.06M $3.60M $1.86M
Total Current Liabilities $18.65M $27.55M $26.89M
Long Term Debt $103.36M $83.43M $62.25M
Deferred Revenue Non-Current $- $- $-
Deferred Tax Liabilities Non-Current $6.67M $7.16M $7.69M
Other Non-Current Liabilities $9.86M $20.75M $2.21M
Total Non-Current Liabilities $119.90M $111.33M $72.15M
Other Liabilities $- $- $-
Total Liabilities $138.54M $138.88M $99.04M
Preferred Stock $- $- $-
Common Stock $2.00K $2.00K $206.00K
Retained Earnings $-158.66M $-157.58M $-78.92M
Accumulated Other Comprehensive Income Loss $-16.20M $-12.07M $-2.78M
Other Total Stockholders Equity $306.76M $305.83M $331.68M
Total Stockholders Equity $131.90M $136.18M $250.19M
Total Equity $131.90M $136.18M $250.19M
Total Liabilities and Stockholders Equity $270.44M $275.06M $349.23M
Minority Interest $- $- $-
Total Liabilities and Total Equity $270.44M $275.06M $349.23M
Total Investments $1.43M $1.33M $1.27M
Total Debt $106.30M $96.51M $76.48M
Net Debt $103.99M $93.17M $71.02M

Annual Cash Flow

Breakdown December 31, 2021 December 31, 2020
Net Income $-40.06M $-8.66M
Depreciation and Amortization $4.01M $560.00K
Deferred Income Tax $-1.33M $1.83M
Stock Based Compensation $2.56M $996.00K
Change in Working Capital $-402.00K $-4.44M
Accounts Receivables $422.00K $-150.00K
Inventory $-7.55M $-1.93M
Accounts Payables $- $-
Other Working Capital $6.73M $-2.35M
Other Non Cash Items $10.38M $79.00K
Net Cash Provided by Operating Activities $-24.83M $-9.63M
Investments in Property Plant and Equipment $-83.45M $-20.85M
Acquisitions Net $-49.72M $-
Purchases of Investments $- $-
Sales Maturities of Investments $- $-
Other Investing Activities $650.00K $-
Net Cash Used for Investing Activities $-132.52M $-20.85M
Debt Repayment $- $-
Common Stock Issued $61.70M $140.62M
Common Stock Repurchased $- $-
Dividends Paid $- $-
Other Financing Activities $61.24M $140.44M
Net Cash Used Provided by Financing Activities $61.24M $140.44M
Effect of Forex Changes on Cash $-1.10M $-6.00K
Net Change in Cash $-97.21M $109.96M
Cash at End of Period $16.15M $113.35M
Cash at Beginning of Period $113.35M $3.40M
Operating Cash Flow $-24.83M $-9.63M
Capital Expenditure $-83.45M $-20.85M
Free Cash Flow $-108.28M $-30.48M

Cash Flow Charts

Breakdown September 30, 2022 March 31, 2022
Net Income $-1.08M $-16.32M
Depreciation and Amortization $3.52M $2.55M
Deferred Income Tax $-485.00K $-755.00K
Stock Based Compensation $540.00K $812.00K
Change in Working Capital $-2.43M $-1.67M
Accounts Receivables $64.00K $-201.00K
Inventory $-104.00K $-158.00K
Accounts Payables $2.83M $-745.00K
Other Working Capital $-5.22M $-568.00K
Other Non Cash Items $-17.02M $1.19M
Net Cash Provided by Operating Activities $-16.96M $-14.19M
Investments in Property Plant and Equipment $-2.49M $-14.64M
Acquisitions Net $- $-
Purchases of Investments $- $-
Sales Maturities of Investments $- $-
Other Investing Activities $- $-
Net Cash Used for Investing Activities $-2.49M $-14.64M
Debt Repayment $- $-
Common Stock Issued $9.53M $-
Common Stock Repurchased $- $-
Dividends Paid $- $-
Other Financing Activities $17.75M $18.08M
Net Cash Used Provided by Financing Activities $17.75M $18.08M
Effect of Forex Changes on Cash $671.00K $60.00K
Net Change in Cash $-1.03M $-10.69M
Cash at End of Period $2.31M $5.46M
Cash at Beginning of Period $3.33M $16.15M
Operating Cash Flow $-16.96M $-14.19M
Capital Expenditure $-2.49M $-14.64M
Free Cash Flow $-19.45M $-28.83M

Kalera Public Dividends

Explore Kalera Public's dividend history, including dividend yield, payout ratio, and historical payments.

Kalera Public does not currently pay a dividend.

Kalera Public News

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