
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 | FY2019 | FY2018 |
|---|---|---|---|---|---|---|---|---|
| Cash and cash equivalents | $59.5M-15.1% | $70.1M-37.2% | $111.5M+31.6% | $84.7M-3.3% | $87.6M-20.4% | $110.0M+63.8% | $67.1M-6.5% | $71.8M |
| Inventories | $61.5M-10.5% | $68.7M+9.1% | $62.9M-19.4% | $78.1M-1.2% | $79.1M+27.7% | $61.9M-28.7% | $86.9M+19.3% | $72.8M |
| Other current assets, net | $148.7M-6.4% | $158.8M+15.1% | $137.9M-24.9% | $183.7M-0.5% | $184.6M+21.8% | $151.5M-18.7% | $186.5M-2.3% | $190.8M |
| Current assets of discontinued operations held for sale | $0-100.0% | $23.0M-18.2% | $28.1M | — | — | — | — | — |
| Total current assets | $269.6M-15.9% | $320.5M-6.6% | $343.3M-0.9% | $346.6M-1.8% | $352.8M+8.9% | $323.9M-4.9% | $340.5M+1.5% | $335.5M |
| Property, fixtures and equipment, net | $912.6M-3.8% | $948.5M+2.2% | $928.2M+1.5% | $914.1M+8.6% | $842.0M-5.1% | $887.7M-14.3% | $1.04B-7.2% | $1.12B |
| Operating lease right-of-use assets | $979.3M-3.3% | $1.01B-1.8% | $1.03B-6.5% | $1.10B-2.5% | $1.13B-3.6% | $1.17B-7.4% | $1.27B | $0 |
| Goodwill | $185.1M-13.2% | $213.3M+0.0% | $213.3M-21.9% | $273.0M+1.7% | $268.4M-1.0% | $271.2M-6.0% | $288.4M-2.4% | $295.4M |
| Intangible assets, net | $425.3M-0.9% | $429.1M-0.9% | $432.9M-3.4% | $448.3M-1.1% | $453.4M-1.4% | $460.0M-2.3% | $470.6M-6.6% | $504.0M |
| Deferred income tax assets, net | $224.7M+21.1% | $185.5M+19.6% | $155.2M+1.3% | $153.1M-8.9% | $168.1M+9.2% | $153.9M+109.6% | $73.4M-21.0% | $93.0M |
| Equity method investment | $64.0M | $0 | — | — | — | — | — | — |
| Other assets, net | $111.3M+49.4% | $74.5M+23.9% | $60.1M-26.9% | $82.1M+4.4% | $78.7M-15.1% | $92.6M-20.9% | $117.1M-3.2% | $121.0M |
| Non-current assets of discontinued operations held for sale | $0-100.0% | $200.5M-22.8% | $259.8M | — | — | — | — | — |
| Total assets | $3.17B-6.3% | $3.38B-1.1% | $3.42B+3.1% | $3.32B+0.8% | $3.29B-2.0% | $3.36B-6.4% | $3.59B+45.8% | $2.46B |
| Accounts payable | $138.2M-9.8% | $153.2M-1.7% | $155.9M-15.2% | $183.7M+9.4% | $168.0M+18.7% | $141.5M-19.1% | $174.9M+0.2% | $174.5M |
| Current operating lease liabilities | $176.3M+11.0% | $158.8M-3.0% | $163.7M-10.8% | $183.5M | — | — | — | — |
| Accrued and other current liabilities | $186.3M+4.5% | $178.3M-9.8% | $197.7M-9.1% | $217.4M-46.6% | $406.9M+4.8% | $388.3M-0.8% | $391.5M+58.7% | $246.7M |
| Unearned revenue | $377.9M+1.0% | $374.1M-1.6% | $380.2M-3.6% | $394.2M-1.1% | $398.8M+4.5% | $381.6M+3.3% | $369.3M+7.8% | $342.7M |
| Current liabilities of discontinued operations held for sale | $0-100.0% | $88.0M-16.2% | $104.9M | — | — | — | — | — |
| Total current liabilities | $878.6M-7.7% | $952.3M-5.0% | $1.00B+2.4% | $978.9M-0.6% | $984.6M+3.6% | $950.1M-1.2% | $962.0M+21.6% | $791.0M |
| Non-current operating lease liabilities | $1.05B-3.9% | $1.09B+0.1% | $1.09B-5.3% | $1.15B-2.6% | $1.18B-3.2% | $1.22B-4.8% | $1.28B | $0 |
| Deferred income tax liabilities, net | $9.0M-73.4% | $33.8M | $0 | — | — | — | $13.8M | — |
| Long-term debt, net | $787.4M-23.4% | $1.03B+31.6% | $780.7M-5.8% | $828.5M+5.9% | $782.1M-21.6% | $997.8M-2.4% | $1.02B-4.2% | $1.07B |
| Other long-term liabilities, net | $113.3M+21.3% | $93.4M+12.5% | $83.0M-8.3% | $90.5M-27.7% | $125.2M-32.4% | $185.4M+34.3% | $138.1M-27.9% | $191.5M |
| Non-current liabilities of discontinued operations held for sale | $0-100.0% | $49.9M-15.0% | $58.6M | — | — | — | — | — |
| Total liabilities | $2.83B-12.7% | $3.25B+7.7% | $3.01B-1.1% | $3.05B-0.8% | $3.07B-8.3% | $3.35B-1.9% | $3.42B+41.7% | $2.41B |
| Preferred stock, $0.01 par value, 25,000,000 shares authorized; no shares issued and outstanding as of December 28, 2025 and December 29, 2024 | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 |
| Common stock, $0.01 par value, 475,000,000 shares authorized; 85,221,767 and 84,854,768 shares issued and outstanding as of December 28, 2025 and December 29, 2024, respectively | $852K+0.4% | $849K-2.4% | $870K-0.8% | $877K-1.8% | $893K+1.6% | $879K+1.2% | $869K-4.8% | $913K |
| Additional paid-in capital | $1.24B-2.5% | $1.27B+14.2% | $1.12B-4.0% | $1.16B+3.8% | $1.12B-1.2% | $1.13B+3.5% | $1.09B-1.2% | $1.11B |
| Accumulated deficit | -$917.6M+0.9% | -$925.8M-75.1% | -$528.8M+25.1% | -$706.1M-1.1% | -$698.2M+24.0% | -$918.1M-21.6% | -$755.1M+17.9% | -$920.0M |
| Accumulated other comprehensive income (loss) | $9.1M+104.3% | -$212.8M-19.3% | -$178.3M+3.8% | -$185.3M+10.0% | -$206.0M+2.6% | -$211.4M-24.5% | -$169.8M-18.9% | -$142.8M |
| Total Bloomin’ Brands stockholders’ equity | $333.6M+146.2% | $135.5M-66.9% | $409.1M+50.8% | $271.4M+25.4% | $216.5M+5122.2% | $4.1M-97.6% | $170.3M+272.5% | $45.7M |
| Noncontrolling interests | $3.6M-9.5% | $3.9M+36.6% | $2.9M+13.4% | $2.5M-60.2% | $6.4M-6.2% | $6.8M-4.6% | $7.1M-21.4% | $9.1M |
| Total stockholders’ equity | $337.2M+141.8% | $139.4M-66.2% | $412.0M+50.4% | $273.9M+22.9% | $222.8M+1933.9% | $11.0M-93.8% | $177.5M+223.8% | $54.8M |
| Total liabilities and stockholders’ equity | $3.17B-6.3% | $3.38B-1.1% | $3.42B+3.1% | $3.32B+0.8% | $3.29B-2.0% | $3.36B-6.4% | $3.59B+45.8% | $2.46B |
Source: SEC EDGAR XBRL. % change vs prior period shown where available.
Source: SEC EDGAR 10-K and 10-Q filings. Up to 10 years annual / 16 quarters shown.