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Summary of Significant Accounting Policies (Details) - USD ($)
$ / shares in Units, $ in Thousands
3 Months Ended 6 Months Ended 12 Months Ended
Dec. 31, 2021
Sep. 30, 2021
Jun. 30, 2021
Mar. 31, 2021
Dec. 31, 2020
Sep. 30, 2020
Dec. 31, 2021
Dec. 31, 2020
Jun. 30, 2021
May 01, 2020
Accounting Policies [Line Items]                    
Accumulated other comprehensive loss $ (57,327) $ (67,187) $ (71,482)       $ (57,327)   $ (71,482)  
Retained earnings 562,214 515,869 530,159       562,214   530,159  
Other income (expense), net 12,839 13,170     $ (17,198)   26,009 $ (25,952) (19,353)  
Income before income taxes 73,451 4,421     46,855   77,872 43,571 (63,554)  
Net income 56,153 (4,960)     33,901   51,193 23,823 (82,457)  
Net Income (Loss) Attributable to Parent $ 54,789 $ (6,698)     $ 32,287 $ (10,755) $ 48,091 $ 21,532 $ (85,229)  
Basic net income per share attributable to Cimpress plc $ 2.10 $ (0.26)     $ 1.24   $ 1.84 $ 0.83 $ (3.28)  
Diluted net income per share attributable to Cimpress plc $ 2.08 $ (0.26)     $ 1.22   $ 1.82 $ 0.82 $ (3.28)  
Foreign currency translation gains, net of hedges $ 3,542 $ (183)     $ 13,946   $ 3,359 $ 14,763 $ 12,915  
Foreign currency translation, net of hedges 4,146 674     12,683 $ (609)     11,283  
Effect of exchange rate changes on monetary assets and liabilities denominated in non-functional currency   174         6,302 3,132 240  
Revenue 849,716       780,904   1,507,315 1,367,404    
Cost of revenue (1) 423,937       380,738   762,926 679,582    
Acquisition Costs, Period Cost 27,885                  
Finance Lease, Principal Payments             33,107 3,275    
Proceeds from the sale of assets             25,835 3,372    
Marketable Securities, Current 147,199   152,248       147,199   152,248  
Marketable securities, non-current 27,693   50,713       27,693   50,713  
Total Marketable Securities 174,892   202,961       174,892   202,961  
Unrealized Gain (Loss) on Investments (240)   (175)              
Investments, Fair Value Disclosure 174,652   202,786       174,652   202,786  
Derivative Instruments Not Designated as Hedging Instruments, Gain (Loss), Net 6,481       (19,020)   19,808 (32,515)    
Foreign Currency Transaction Gain (Loss), Realized 5,551       1,809   5,874 5,884    
Other Nonoperating Gains (Losses) 807       13   327 679    
Total other income (expense), net 12,839 13,170     (17,198)   26,009 (25,952) (19,353)  
Change in Unrealized Gain (Loss) on Fair Value Hedging Instruments $ 3,067       $ 6,085   $ 6,356 $ 11,522    
Weighted average shares outstanding — basic 26,096,786       26,003,649   26,084,518 25,974,823    
Weighted average shares issuable upon exercise/vesting of outstanding share options/RSUs/warrants (1) 305,917       380,811   408,740 415,450    
Weighted average shares outstanding — diluted 26,402,703       26,384,460   26,493,258 26,390,273    
Weighted average anti-dilutive shares excluded from diluted net income per share attributable to Cimpress plc 567,220       3,129   292,834 1,565    
Class of Warrant or Right, Exercise Price of Warrants or Rights                   $ 60
Previously Reported [Member]                    
Accounting Policies [Line Items]                    
Accumulated other comprehensive loss   (83,732) (79,000)           (79,000)  
Retained earnings   532,414 537,677           537,677  
Other income (expense), net   22,197             (11,835)  
Income before income taxes   13,448             (56,036)  
Net income   4,067             (74,939)  
Net Income (Loss) Attributable to Parent   $ 2,329             $ (77,711)  
Basic net income per share attributable to Cimpress plc   $ 0.09             $ (2.99)  
Diluted net income per share attributable to Cimpress plc   $ 0.09             $ (2.99)  
Foreign currency translation gains, net of hedges   $ (9,210)             $ 5,397  
Foreign currency translation, net of hedges   (8,353)             3,765  
Effect of exchange rate changes on monetary assets and liabilities denominated in non-functional currency   (8,853)             (7,278)  
Revenue         $ 786,145     $ 1,372,645    
Cost of revenue (1)         385,979     684,823    
Total other income (expense), net   22,197             (11,835)  
Revision of Prior Period, Error Correction, Adjustment [Member]                    
Accounting Policies [Line Items]                    
Accumulated other comprehensive loss   16,545 7,518           7,518  
Retained earnings   (16,545) (7,518)           (7,518)  
Other income (expense), net   (9,027) 7,518           (7,518)  
Income before income taxes   (9,027)             (7,518)  
Net income   (9,027)             (7,518)  
Net Income (Loss) Attributable to Parent   $ (9,027)             $ (7,518)  
Basic net income per share attributable to Cimpress plc   $ (0.35)             $ (0.29)  
Diluted net income per share attributable to Cimpress plc   $ (0.35)             $ (0.29)  
Foreign currency translation gains, net of hedges             $ 9,027   $ 7,518  
Foreign currency translation, net of hedges   $ 9,027             7,518  
Effect of exchange rate changes on monetary assets and liabilities denominated in non-functional currency   9,027             7,518  
Revenue       $ 5,489 (5,241)     (5,241)    
Cost of revenue (1)         $ (5,241)     $ (5,241) 16,552  
Total other income (expense), net   $ (9,027) 7,518           (7,518)  
Building [Member]                    
Accounting Policies [Line Items]                    
Finance Lease, Principal Payments $ 23,534                  
Proceeds from the sale of assets 23,226                  
Gain (Loss) on Sale of Assets and Asset Impairment Charges 3,324                  
Commercial Paper                    
Accounting Policies [Line Items]                    
Marketable Securities, Current 47,490   74,463       47,490   74,463  
Unrealized Gain (Loss) on Investments (12)   (28)              
Investments, Fair Value Disclosure 47,478   74,435       47,478   74,435  
Corporate Debt Securities                    
Accounting Policies [Line Items]                    
Marketable Securities, Current $ 99,709   77,785       $ 99,709   77,785  
Warrant [Member]                    
Accounting Policies [Line Items]                    
Weighted average shares issuable upon exercise/vesting of outstanding share options/RSUs/warrants (1) 281,884       318,191   345,722 317,224    
Foreign Exchange Forward [Member]                    
Accounting Policies [Line Items]                    
Derivative Instruments Not Designated as Hedging Instruments, Gain (Loss), Net $ 7,161       $ (19,496)   $ 20,024 $ (32,964)    
Interest Rate Swap [Member]                    
Accounting Policies [Line Items]                    
Derivative Instruments Not Designated as Hedging Instruments, Gain (Loss), Net (680)       $ 476   (216) $ 449    
Marketable securities, current [Member]                    
Accounting Policies [Line Items]                    
Unrealized Gain (Loss) on Investments (114)   (85)              
Investments, Fair Value Disclosure 147,085   152,163       147,085   152,163  
Marketable securities, current [Member] | Corporate Debt Securities                    
Accounting Policies [Line Items]                    
Unrealized Gain (Loss) on Investments (102)   (57)              
Investments, Fair Value Disclosure 99,607   77,728       99,607   77,728  
Marketable securities, noncurrent [Member]                    
Accounting Policies [Line Items]                    
Unrealized Gain (Loss) on Investments (126)   (90)              
Investments, Fair Value Disclosure $ 27,567   $ 50,623       $ 27,567   $ 50,623