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Consolidated Statement of Operations - USD ($)
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Income Statement [Abstract]      
Revenues, net of Discounts $ 878,585,000 $ 938,452,000 $ 879,412,000
Cost of Goods Sold, net 434,654,000 463,246,000 456,350,000
Gross Profit 443,931,000 475,206,000 423,062,000
Operating Expenses      
Selling, General, and Administrative Expenses 353,408,000 331,928,000 356,569,000
Loss on Impairment - Investment in Associates 0 6,571,000 0
Loss on Impairment of Intangibles – Goodwill 8,179,000 37,931,000 113,031,000
Loss on Impairment of Intangibles & Fixed Assets 319,520,000 13,686,000 116,151,000
Total Operating Expenses 681,107,000 390,116,000 585,751,000
Income (Loss) from Investments in Associates 0 (306,000) 1,558,000
Income (Loss) from Operations (237,176,000) 84,784,000 (161,131,000)
Other Income (Expense), net:      
Loss on Disposal of Property, Plant and Equipment (1,095,000) (1,123,000) (157,000)
Gain on Deconsolidation 0 0 9,560,000
Gain on Previously Held Equity Interest 0 0 14,103,000
Loss on Debt Extinguishment (3,068,000) (663,000) (7,987,000)
Interest Expense, net (54,759,000) (59,793,000) (49,431,000)
Other Income (Expense), net (3,817,000) 4,593,000 31,640,000
Total Other Income (Expense), net (62,739,000) (56,986,000) (2,272,000)
Income (Loss) Before Provision for Income Taxes and Non-Controlling Interest (299,915,000) 27,798,000 (163,403,000)
Provision For Income Taxes (41,944,000) (145,146,000) (105,470,000)
Net Loss Before Non-Controlling Interest (341,859,000) (117,348,000) (268,873,000)
Net Income Attributable to Non-Controlling Interest 0 0 291,000
Net Loss Attributable to Verano Holdings Corp. & Subsidiaries $ (341,859,000) $ (117,348,000) $ (269,164,000)
Net Loss per share - basic (in dollars per share) $ (0.98) $ (0.34) $ (0.81)
Net Loss per share - diluted (in dollars per share) $ (0.98) $ (0.34) $ (0.81)
Basic - weighted average shares outstanding (in shares) 349,584,820 342,774,236 331,409,315
Diluted - weighted average shares outstanding (in shares) 349,584,820 342,774,236 331,409,315