STOCK TITAN

Slam Corp Financials

SLAMF
Source SEC Filings (10-K/10-Q) Updated Mar 31, 2025 Currency USD FYE December

This page shows Slam Corp (SLAMF) financial statements, including the income statement, balance sheet, cash flow statement, and key financial ratios. View 4 years of annual fundamentals and quarterly data, with year-over-year growth rates and compound annual growth rates (CAGR). All figures are derived from SEC filings (10-K and 10-Q reports).

Financial Health Signals

Piotroski F-Score Weak
2/9

Slam Corp passes 2 of 9 financial strength tests. 2 of 4 profitability signals pass, no leverage/liquidity signals pass (rising debt, declining liquidity, or share dilution).

Earnings Quality Low Quality
-1.27x

For every $1 of reported earnings, Slam Corp generates $-1.27 in operating cash flow (-$2.3M OCF vs $1.8M net income). This low ratio suggests earnings are primarily driven by accounting accruals rather than cash generation, which may not be sustainable.

Key Financial Metrics

Export CSV
Revenue
N/A
EBITDA
N/A
Free Cash Flow
N/A
Net Income
$1.8M
YoY-60.1%

Slam Corp reported $1.8M in net income in fiscal year 2024. This represents a decrease of 60.1% from the prior year.

EPS (Diluted)
N/A
Cash & Debt
$518
YoY-99.3%

Slam Corp held $518 in cash against $0 in long-term debt as of fiscal year 2024.

Dividends Per Share
N/A
Shares Outstanding
N/A
Gross Margin
N/A
Operating Margin
N/A
Net Margin
N/A
Return on Equity
N/A
R&D Spending
N/A
Share Buybacks
$80.7M
YoY-84.0%

Slam Corp spent $80.7M on share buybacks in fiscal year 2024, returning capital to shareholders by reducing shares outstanding. This represents a decrease of 84.0% from the prior year.

Capital Expenditures
N/A

SLAMF Income Statement

Metric Q1'25 Q1'24 Q3'24 Q3'24 Q1'24 Q4'23 Q3'23 Q3'23
Revenue N/A N/A N/A N/A N/A N/A N/A N/A
Cost of Revenue N/A N/A N/A N/A N/A N/A N/A N/A
Gross Profit N/A N/A N/A N/A N/A N/A N/A N/A
R&D Expenses N/A N/A N/A N/A N/A N/A N/A N/A
SG&A Expenses $30K N/A $30K0.0% $30K0.0% $30K N/A $30K0.0% $30K
Operating Income N/A N/A N/A N/A N/A N/A N/A N/A
Interest Expense N/A N/A N/A N/A N/A N/A N/A N/A
Income Tax N/A N/A N/A N/A N/A N/A N/A N/A
Net Income -$692K N/A $2.8M+276.4% -$1.6M-65.4% -$947K N/A $3.7M+39.0% $2.6M
EPS (Diluted) N/A N/A N/A N/A N/A N/A N/A N/A

SLAMF Balance Sheet

Metric Q1'25 Q1'24 Q3'24 Q3'24 Q1'24 Q4'23 Q3'23 Q3'23
Total Assets $23.6M+1.9% $23.1M-77.4% $102.4M+1.2% $101.2M+1.1% $100.1M+0.9% $99.1M-63.5% $271.7M+2.1% $266.2M
Current Assets $294K+13.0% $260K+374.5% $55K-0.9% $55K-40.5% $93K-72.6% $339K-54.3% $743K+30.8% $568K
Cash & Equivalents $66-87.3% $518-98.5% $34K+129.1% $15K-84.1% $93K+23.1% $76K+2163.3% $3K-98.3% $193K
Inventory N/A N/A N/A N/A N/A N/A N/A N/A
Accounts Receivable N/A N/A N/A N/A N/A N/A N/A N/A
Goodwill N/A N/A N/A N/A N/A N/A N/A N/A
Total Liabilities $67.4M+2.8% $65.6M-54.9% $145.4M-0.2% $145.8M+2.7% $141.9M+2.2% $138.8M-54.7% $306.2M+2.4% $299.1M
Current Liabilities $3.7M-10.0% $4.1M-13.7% $4.7M+4.0% $4.6M-2.4% $4.7M+56.9% $3.0M+68.9% $1.8M+0.4% $1.8M
Long-Term Debt N/A N/A N/A N/A N/A N/A N/A N/A
Total Equity -$43.8M-3.2% -$42.4M+1.3% -$43.0M+3.5% -$44.6M-6.6% -$41.8M-5.3% -$39.7M-15.1% -$34.5M-5.0% -$32.9M
Retained Earnings -$43.8M-3.2% -$42.4M+1.3% -$43.0M+3.5% -$44.6M-6.6% -$41.8M-5.3% -$39.7M-15.1% -$34.5M-5.0% -$32.9M

SLAMF Cash Flow Statement

Metric Q1'25 Q1'24 Q3'24 Q3'24 Q1'24 Q4'23 Q3'23 Q3'23
Operating Cash Flow -$653K+36.3% -$1.0M-91.4% -$535K+7.4% -$578K-222.1% -$180K+1.8% -$183K+81.5% -$990K-92.1% -$515K
Capital Expenditures N/A N/A N/A N/A N/A N/A N/A N/A
Free Cash Flow N/A N/A N/A N/A N/A N/A N/A N/A
Investing Cash Flow -$228K-100.3% $80.4M+33580.2% -$240K0.0% -$240K0.0% -$240K-100.1% $174.7M+7378.3% -$2.4M-50.0% -$1.6M
Financing Cash Flow $880K+101.1% -$79.4M-10088.0% $795K+7.4% $740K+69.3% $437K+100.3% -$174.4M-5550.8% $3.2M+39.1% $2.3M
Dividends Paid N/A N/A N/A N/A N/A N/A N/A N/A
Share Buybacks N/A N/A N/A N/A N/A $176.4M $0 $0

SLAMF Financial Ratios

Metric Q1'25 Q1'24 Q3'24 Q3'24 Q1'24 Q4'23 Q3'23 Q3'23
Gross Margin N/A N/A N/A N/A N/A N/A N/A N/A
Operating Margin N/A N/A N/A N/A N/A N/A N/A N/A
Net Margin N/A N/A N/A N/A N/A N/A N/A N/A
Return on Equity N/A N/A N/A N/A N/A N/A N/A N/A
Return on Assets -2.9% N/A 2.7%+4.3pp -1.6%-0.6pp -0.9% N/A 1.4%+0.4pp 1.0%
Current Ratio 0.08+0.0 0.06+0.1 0.010.0 0.010.0 0.02-0.1 0.11-0.3 0.42+0.1 0.32
Debt-to-Equity -1.540.0 -1.54+1.8 -3.38-0.1 -3.27+0.1 -3.39+0.1 -3.50+5.4 -8.88+0.2 -9.10
FCF Margin N/A N/A N/A N/A N/A N/A N/A N/A

Note: Shareholder equity is negative (-$42.4M), which causes debt-to-equity and return on equity ratios to appear negative or not meaningful. This can occur from accumulated losses or large share buyback programs.

Note: The current ratio is below 1.0 (0.06), indicating current liabilities exceed current assets, which may suggest potential short-term liquidity concerns.

Frequently Asked Questions

Is Slam Corp profitable?

Yes, Slam Corp (SLAMF) reported a net income of $1.8M in fiscal year 2024.

What is Slam Corp's operating cash flow?

Slam Corp (SLAMF) generated -$2.3M in operating cash flow during fiscal year 2024, representing cash generated from core business activities.

What are Slam Corp's total assets?

Slam Corp (SLAMF) had $23.1M in total assets as of fiscal year 2024, including both current and long-term assets.

Does Slam Corp buy back shares?

Yes, Slam Corp (SLAMF) spent $80.7M on share buybacks during fiscal year 2024, returning capital to shareholders by reducing shares outstanding.

What is Slam Corp's current ratio?

Slam Corp (SLAMF) had a current ratio of 0.06 as of fiscal year 2024, which is below 1.0, which may suggest potential liquidity concerns.

What is Slam Corp's debt-to-equity ratio?

Slam Corp (SLAMF) had a debt-to-equity ratio of -1.54 as of fiscal year 2024, measuring the company's financial leverage by comparing total debt to shareholder equity.

What is Slam Corp's return on assets (ROA)?

Slam Corp (SLAMF) had a return on assets of 7.9% for fiscal year 2024, measuring how efficiently the company uses its assets to generate profit.

What is Slam Corp's cash runway?

Based on fiscal year 2024 data, Slam Corp (SLAMF) had $518 in cash against an annual operating cash burn of $2.3M. This gives an estimated cash runway of approximately 0 months at the current burn rate. Cash runway measures how long a company can continue operating before running out of cash, assuming no additional funding.

Why is Slam Corp's debt-to-equity ratio negative or unusual?

Slam Corp (SLAMF) has negative shareholder equity of -$42.4M as of fiscal year 2024, which causes the debt-to-equity ratio to appear negative or not meaningful. This can occur when accumulated losses exceed invested capital, or after large share buyback programs. Other solvency metrics like the current ratio or interest coverage may be more informative.

What is Slam Corp's Piotroski F-Score?

Slam Corp (SLAMF) has a Piotroski F-Score of 2 out of 9, indicating weak financial health. The F-Score evaluates nine binary signals across profitability (positive ROA, positive cash flow, improving ROA, earnings quality), leverage (decreasing debt, improving liquidity, no share dilution), and operating efficiency (improving gross margin, improving asset turnover). Scores of 7–9 indicate strong and improving fundamentals. Learn more in our complete guide to financial health indicators.

Are Slam Corp's earnings high quality?

Slam Corp (SLAMF) has an earnings quality ratio of -1.27x, considered low quality (accrual-driven). This ratio compares operating cash flow to net income. A ratio above 1.0x means the company generates more cash than its reported earnings, indicating sustainable, cash-backed profits. Ratios below 1.0x suggest earnings rely on accounting accruals rather than actual cash generation. Learn more in our complete guide to financial health indicators.