Fast Casual Concepts, Inc. operates as a holding company, which engages in the development and operation of casual eating establishments. The company is headquartered in Grove City, Pennsylvania. The company went IPO on 2021-09-20. The company consults and provides digital marketing services that include branding, online marketing, integration of AI technologies into marketing and a suite of products that the Company has distribution agreements with to provide marketing materials to clients. The company operates a marketing company named GDS Lumina, Inc., which is focused on marketing. The company is engaged in implementing several integrated products that combine with marketing strategies, such as email, pay-per-click advertising, digital marketing, corporate branding, and other marketing concepts. The company offers a comprehensive suite of marketing services tailored to the needs of fast-casual restaurants and related businesses, including digital marketing, brand strategy, social media management, content creation, and analytics and reporting. The company also offers consulting services for customer loyalty programs and mobile app integration.
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
12/31/2025
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Revenue
4,184
4,184
4,250
3,436
2,742
2,216
Revenue Growth (YoY)
-2%
-2%
24%
25%
24%
7%
Cost of Revenue
2,790
2,790
2,894
2,427
1,915
1,627
Gross Profit
1,393
1,393
1,356
1,008
826
589
Selling, General & Admin
540
540
490
392
361
284
Research & Development
--
--
--
--
--
--
Operating Expenses
499
498
455
368
338
271
Other Non Operating Income (Expenses)
6
7
-3
1
-8
-8
Pretax Income
803
803
780
610
458
280
Income Tax Expense
268
268
262
192
147
118
Net Income
517
517
502
407
315
146
Net Income Growth
3%
3%
23%
28.99%
115.99%
-129%
Shares Outstanding (Diluted)
6,800.83
6,800.83
6,800.83
6,800.83
6,800.83
6,800.83
Shares Change (YoY)
0%
0%
0%
0%
0%
0%
EPS (Diluted)
0.07
0.07
0.07
0.06
0.04
0.02
EPS Growth
3%
3%
23%
28.99%
114.99%
-129%
Free Cash Flow
312
312
448
-112
1,002
485
Free Cash Flow Per Share
--
--
--
--
--
--
Gross Margin
33.29%
33.29%
31.9%
29.33%
30.12%
26.57%
Operating Margin
21.36%
21.39%
21.17%
18.62%
17.76%
14.3%
Profit Margin
12.35%
12.35%
11.81%
11.84%
11.48%
6.58%
Free Cash Flow Margin
7.45%
7.45%
10.54%
-3.25%
36.54%
21.88%
EBITDA
947
948
964
671
519
352
EBITDA Margin
22.63%
22.65%
22.68%
19.52%
18.92%
15.88%
D&A For EBITDA
53
53
64
31
32
35
EBIT
894
895
900
640
487
317
EBIT Margin
21.36%
21.39%
21.17%
18.62%
17.76%
14.3%
Effective Tax Rate
33.37%
33.37%
33.58%
31.47%
32.09%
42.14%
Follow-Up Questions
What are Fast Casual Concepts Inc's key financial statements?
According to the latest financial statement (Form-10K), Sime Darby Property Berhad has a total asset of $18,619, Net profit of $517
What are the key financial ratios for FCCI?
Sime Darby Property Berhad's Current ratio is 2.3, has a Net margin is 12.35, sales per share of $0.61.
How is Fast Casual Concepts Inc's revenue broken down by segment or geography?
Sime Darby Property Berhad largest revenue segment is Property Development, at a revenue of 3,235,370,000 in the most earnings release.For geography, Malaysia is the primary market for Sime Darby Property Berhad, at a revenue of 3,435,084,000.
Is Fast Casual Concepts Inc profitable?
yes, according to the latest financial statements, Sime Darby Property Berhad has a net profit of $517
Does Fast Casual Concepts Inc have any liabilities?
yes, Sime Darby Property Berhad has liability of 8,068
How many outstanding shares for Fast Casual Concepts Inc?
Sime Darby Property Berhad has a total outstanding shares of 6,800.83