MAIR stock

MAIR (MAIR) financials · rev $1.92B

MAIR (MAIR) rev $1.92B.

Cached annual income statement
LineQ2 2026Q2 2025
Revenue$1.92B$1.51B
Cost of Revenue$1.18B$933.2M
Gross Profit$739.4M$576.8M
Operating Income$346.7M$254.6M
Net Income$102.8M$60.0M
EPS (Diluted)$0.26$0.18
Cached annual balance sheet
LineQ2 2026
Total Assets$8.35B
Current Assets$1.37B
Cash & Equivalents$261.8M
Inventory$460.1M
PP&E$0
Total Liabilities$4.70B
Current Liabilities$752.0M
Short-term Debt$0
Long-term Debt$0
Total Debt$3.05B
Shareholders' Equity$3.65B
Retained Earnings$96.5M
Cached annual cash flow
LineQ2 2026Q2 2025
Operating Cash Flow$156.4M$160.1M
CapEx$16.5M$10.5M
Investing Cash Flow-$17.0M-$2.31B
Financing Cash Flow-$86.3M$1.96B
Dividends Paid$0$0
Net Change in Cash$53.4M-$186.5M
Free Cash Flow$139.9M$149.6M

FAQ

What is MAIR P/E and revenue?

MAIR (MAIR) rev $1.92B.

What is MAIR revenue?

MAIR last cached revenue is $1.92B (Q2 2026).

Is MAIR profitable?

MAIR last cached net income is $102.8M.

What are MAIR total assets?

MAIR last cached total assets are $8.35B.

What is MAIR free cash flow?

MAIR last cached free cash flow is $139.9M.

Not investment advice. Cached statements, not a live tape.