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$TAL

TAL Education Group

TAL country of incorporation
|
|
Mr. Bangxin Zhang
|
16,200 employees
NYSE | Consumer Defensive | Education & Training Services
TAL reported its Q223 earnings on August 31, 2022 (111 weeks ago).
$294.06M -73.3% vs. Q221 Revenues Q223
60.17% 14.2% vs. Q221 Gross Profit Margin
-0.27% ! -119.7% vs. Q221 Net Profit Margin
-1.19B ! -267.2% vs. Q221 Free Cash Flow Q223
$-0 ! -105.2% vs. Q221 EPS Q223
Company Card Q223
As reported on August 31, 2022
Is profitable?
Has Revenue Growth?
Has Net Profit Growth?
Has FCF Growth?
Has OCF Growth?
Has EPS Growth?
Pays a Dividend?
Rating
B-
Growth calculated YoY
Company Card Q223
As reported on August 31, 2022
Is profitable?
Has Revenue Growth?
Has Net Profit Growth?
Has FCF Growth?
Has OCF Growth?
Has EPS Growth?
Pays a Dividend?
Rating
B-
Growth calculated YoY
Overview
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Income Statement
Full Income Statement
Period Net Revenue Cost of Revenue Net Profit EPS
FY2023 Not reported yet.
Q22023
294.06M
117.13M
-787k
$-0
FY2022
4.39B
2.2B
-1.14B
$-1.76
Q42022
541.15M
-47%
198.08M
-108.12M
-8.8%
$-0.17
Q32022
1.02B
+247.2%
519.48M
-99.37M
-12526.2%
$-0.15
FY2021
4.5B
2.05B
-115.99M
$-0.19
FY2020
3.27B
1.47B
-110.2M
$-0.19
FY2019
2.56B
1.16B
367.24M
$0.64
Balance Sheet
Full Balance Sheet
Period Total Assets Total Liabilities Cash & Eq. Debt Stock Equity
FY2023 Not reported yet.
Q22023
4.72B
879.68M
1.76B
160.52M
3.87B
FY2022
5.08B
1.08B
1.64B
308.2M
4.03B
FY2021
12.11B
6.91B
3.24B
4.8B
5.2B
FY2020
5.57B
3.03B
1.87B
1.82B
2.52B
FY2019
3.74B
1.2B
1.25B
430.6M
2.48B
Cash Flow Statement
Full Cash Flow Statement
Period Operating CF Investing CF Financing CF Capex Free Cash Flow
FY 2022
-939.18M
1.37B
-2.77B
-246.42M
-1.19B
FY2021
954.73M
-2.64B
4.79B
-245.74M
708.99M
FY2020
855.85M
-338.82M
131.23M
-188.06M
667.79M
FY2019 No data.
FY2018 No data.
Institutional Ownership
Dividend History
Date Amount
May 9, 2017 $0.08
Dec 5, 2012 $0.08
Number of Employees
Data not available.