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10-K

Annual Report

DRIVEN BRANDS HOLDINGS INC. DRVN

0001804745-26-000048

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Filed
May 19, 2026 12:00 AM ET
Period of report
Restated figures. One or more values in this filing restate previously reported amounts.

On SEC.gov

Financials in this filing

Metric Period Value
Shares Outstanding FY 2025 · May 15, 2026 164.93M sh
Shares Diluted FY 2025 · Dec 27, 2025 163.85M sh
Shares Diluted FY 2025 · Sep 27, 2025 165.12M sh
Shares Diluted FY 2025 · Sep 27, 2025 163.69M sh
Shares Diluted FY 2025 · Jun 28, 2025 164.15M sh
Shares Diluted FY 2025 · Jun 28, 2025 162.98M sh
Shares Diluted FY 2025 · Mar 29, 2025 161.82M sh
Shares Diluted restated FY 2025 · Dec 28, 2024 161.21M sh
Shares Diluted FY 2025 · Sep 28, 2024 159.8M sh
Shares Diluted FY 2025 · Sep 28, 2024 160.71M sh
Shares Diluted FY 2025 · Jun 29, 2024 160.77M sh
Shares Diluted FY 2025 · Jun 29, 2024 160.68M sh
Shares Diluted FY 2025 · Mar 30, 2024 160.6M sh
Stock Repurchased FY 2025 · Dec 27, 2025 $0
Stock Repurchased FY 2025 · Dec 28, 2024 $0
Stock Repurchased FY 2025 · Jun 29, 2024 $2K
Capex FY 2025 · Dec 27, 2025 $222.77M
Capex FY 2025 · Sep 27, 2025 $168.35M
Capex FY 2025 · Jun 28, 2025 $124.64M
Capex FY 2025 · Mar 29, 2025 $67.76M
Capex restated FY 2025 · Dec 28, 2024 $288.64M
Capex FY 2025 · Sep 28, 2024 $222.5M
Capex FY 2025 · Jun 29, 2024 $155.92M
Capex FY 2025 · Mar 30, 2024 $89.48M
Operating Cash Flow FY 2025 · Dec 27, 2025 $330.54M
Operating Cash Flow FY 2025 · Sep 27, 2025 $239.96M
Operating Cash Flow FY 2025 · Jun 28, 2025 $150.6M
Operating Cash Flow FY 2025 · Mar 29, 2025 $76.33M
Operating Cash Flow restated FY 2025 · Dec 28, 2024 $243.95M
Operating Cash Flow FY 2025 · Sep 28, 2024 $206.95M
Operating Cash Flow FY 2025 · Jun 29, 2024 $101.69M
Operating Cash Flow FY 2025 · Mar 30, 2024 $59.61M
Long Term Debt FY 2025 · Dec 27, 2025 $1.88B
Long Term Debt FY 2025 · Sep 27, 2025 $1.94B
Long Term Debt FY 2025 · Jun 28, 2025 $2.1B
Long Term Debt FY 2025 · Mar 29, 2025 $2.62B
Long Term Debt restated FY 2025 · Dec 28, 2024 $2.66B
Long Term Debt FY 2025 · Sep 28, 2024 $2.73B
Long Term Debt FY 2025 · Jun 29, 2024 $2.85B
Long Term Debt FY 2025 · Mar 30, 2024 $2.9B
Short Term Debt FY 2025 · Dec 27, 2025 $276.69M
Short Term Debt FY 2025 · Sep 27, 2025 $279.92M
Short Term Debt FY 2025 · Jun 28, 2025 $283.79M
Short Term Debt FY 2025 · Mar 29, 2025 $33.77M
Short Term Debt restated FY 2025 · Dec 28, 2024 $33.7M
Short Term Debt FY 2025 · Sep 28, 2024 $33.28M
Short Term Debt FY 2025 · Jun 29, 2024 $33.66M
Short Term Debt FY 2025 · Mar 30, 2024 $32.63M
Cash And Equivalents FY 2025 · Dec 27, 2025 $102.94M
Cash And Equivalents FY 2025 · Sep 27, 2025 $110.78M
Cash And Equivalents FY 2025 · Jun 28, 2025 $105.71M
Cash And Equivalents FY 2025 · Mar 29, 2025 $95.51M
Cash And Equivalents restated FY 2025 · Dec 28, 2024 $103.44M
Cash And Equivalents FY 2025 · Sep 28, 2024 $104.51M
Cash And Equivalents FY 2025 · Jun 29, 2024 $69.75M
Cash And Equivalents FY 2025 · Mar 30, 2024 $105.83M
Stockholders Equity FY 2025 · Dec 27, 2025 $767.2M
Stockholders Equity FY 2025 · Sep 27, 2025 $735.26M
Stockholders Equity FY 2025 · Jun 28, 2025 $685.06M
Stockholders Equity FY 2025 · Mar 29, 2025 $581.44M
Stockholders Equity restated FY 2025 · Dec 28, 2024 $543.77M
Stockholders Equity FY 2025 · Sep 28, 2024 $876.87M
Stockholders Equity FY 2025 · Jun 29, 2024 $858.6M
Stockholders Equity FY 2025 · Mar 30, 2024 $828.29M
Current Liabilities FY 2025 · Dec 27, 2025 $725.81M
Current Liabilities FY 2025 · Sep 27, 2025 $670.96M
Current Liabilities FY 2025 · Jun 28, 2025 $679.15M
Current Liabilities FY 2025 · Mar 29, 2025 $477.67M
Current Liabilities restated FY 2025 · Dec 28, 2024 $448.78M
Current Liabilities FY 2025 · Sep 28, 2024 $428.84M
Current Liabilities FY 2025 · Jun 29, 2024 $396.33M
Current Liabilities FY 2025 · Mar 30, 2024 $465.85M
Total Liabilities FY 2025 · Dec 27, 2025 $3.39B
Total Liabilities FY 2025 · Sep 27, 2025 $3.42B
Total Liabilities FY 2025 · Jun 28, 2025 $3.62B
Total Liabilities FY 2025 · Mar 29, 2025 $4.71B
Total Liabilities restated FY 2025 · Dec 28, 2024 $4.71B
Total Liabilities FY 2025 · Sep 28, 2024 $4.84B
Total Liabilities FY 2025 · Jun 29, 2024 $4.92B
Total Liabilities FY 2025 · Mar 30, 2024 $5.01B
Current Assets FY 2025 · Dec 27, 2025 $540.85M
Current Assets FY 2025 · Sep 27, 2025 $538.61M
Current Assets FY 2025 · Jun 28, 2025 $685.23M
Current Assets FY 2025 · Mar 29, 2025 $611.76M
Current Assets restated FY 2025 · Dec 28, 2024 $607.85M
Current Assets FY 2025 · Sep 28, 2024 $688.02M
Current Assets FY 2025 · Jun 29, 2024 $698.4M
Current Assets FY 2025 · Mar 30, 2024 $757.51M
Total Assets FY 2025 · Dec 27, 2025 $4.16B
Total Assets FY 2025 · Sep 27, 2025 $4.15B
Total Assets FY 2025 · Jun 28, 2025 $4.3B
Total Assets FY 2025 · Mar 29, 2025 $5.29B
Total Assets restated FY 2025 · Dec 28, 2024 $5.25B
Total Assets FY 2025 · Sep 28, 2024 $5.72B
Total Assets FY 2025 · Jun 29, 2024 $5.78B
Total Assets FY 2025 · Mar 30, 2024 $5.84B
Eps Diluted FY 2025 · Dec 27, 2025 $0.13
Eps Diluted FY 2025 · Dec 27, 2025 $0.85
Eps Diluted FY 2025 · Sep 27, 2025 $0.33
Eps Diluted FY 2025 · Sep 27, 2025 $0.73
Eps Diluted FY 2025 · Jun 28, 2025 $0.33
Eps Diluted FY 2025 · Jun 28, 2025 $0.39
Eps Diluted FY 2025 · Mar 29, 2025 $0.06
Eps Diluted FY 2025 · Dec 28, 2024 −$1.92
Eps Diluted restated FY 2025 · Dec 28, 2024 −$1.86
Eps Diluted FY 2025 · Sep 28, 2024 −$0.11
Eps Diluted FY 2025 · Sep 28, 2024 $0.06
Eps Diluted FY 2025 · Jun 29, 2024 $0.13
Eps Diluted FY 2025 · Jun 29, 2024 $0.17
Eps Diluted FY 2025 · Mar 30, 2024 $0.04
Eps Basic FY 2025 · Dec 27, 2025 $0.85
Eps Basic FY 2025 · Sep 27, 2025 $0.33
Eps Basic FY 2025 · Sep 27, 2025 $0.73
Eps Basic FY 2025 · Jun 28, 2025 $0.33
Eps Basic FY 2025 · Jun 28, 2025 $0.39
Eps Basic FY 2025 · Mar 29, 2025 $0.06
Eps Basic restated FY 2025 · Dec 28, 2024 −$1.86
Eps Basic FY 2025 · Sep 28, 2024 −$0.11
Eps Basic FY 2025 · Sep 28, 2024 $0.06
Eps Basic FY 2025 · Jun 29, 2024 $0.13
Eps Basic FY 2025 · Jun 29, 2024 $0.17
Eps Basic FY 2025 · Mar 30, 2024 $0.04
Sga Expense FY 2025 · Dec 27, 2025 $496.3M
Sga Expense FY 2025 · Sep 27, 2025 $143.22M
Sga Expense FY 2025 · Sep 27, 2025 $418.4M
Sga Expense FY 2025 · Jun 28, 2025 $150.52M
Sga Expense FY 2025 · Jun 28, 2025 $275.18M
Sga Expense FY 2025 · Mar 29, 2025 $124.66M
Sga Expense restated FY 2025 · Dec 28, 2024 $464.99M
Sga Expense FY 2025 · Sep 28, 2024 $137.05M
Sga Expense FY 2025 · Sep 28, 2024 $369.18M
Sga Expense FY 2025 · Jun 29, 2024 $117.95M
Sga Expense FY 2025 · Jun 29, 2024 $232.13M
Sga Expense FY 2025 · Mar 30, 2024 $114.18M
Operating Income FY 2025 · Dec 27, 2025 $78.2M
Operating Income FY 2025 · Dec 27, 2025 $231.11M
Operating Income FY 2025 · Sep 27, 2025 $51.11M
Operating Income FY 2025 · Sep 27, 2025 $152.91M
Operating Income FY 2025 · Jun 28, 2025 $47.05M
Operating Income FY 2025 · Jun 28, 2025 $101.81M
Operating Income FY 2025 · Mar 29, 2025 $54.76M
Operating Income FY 2025 · Dec 28, 2024 $15.8M
Operating Income restated FY 2025 · Dec 28, 2024 $199.82M
Operating Income FY 2025 · Sep 28, 2024 $48.19M
Operating Income FY 2025 · Sep 28, 2024 $184.02M
Operating Income FY 2025 · Jun 29, 2024 $72.35M
Operating Income FY 2025 · Jun 29, 2024 $135.84M
Operating Income FY 2025 · Mar 30, 2024 $63.48M
Revenue FY 2025 · Dec 27, 2025 $460.1M
Revenue FY 2025 · Dec 27, 2025 $1.86B
Revenue FY 2025 · Sep 27, 2025 $479.51M
Revenue FY 2025 · Sep 27, 2025 $1.4B
Revenue FY 2025 · Jun 28, 2025 $475.21M
Revenue FY 2025 · Jun 28, 2025 $922.83M
Revenue FY 2025 · Mar 29, 2025 $447.61M
Revenue FY 2025 · Dec 28, 2024 $427.21M
Revenue restated FY 2025 · Dec 28, 2024 $1.75B
Revenue FY 2025 · Sep 28, 2024 $445.32M
Revenue FY 2025 · Sep 28, 2024 $1.33B
Revenue FY 2025 · Jun 29, 2024 $454.52M
Revenue FY 2025 · Jun 29, 2024 $879.96M
Revenue FY 2025 · Mar 30, 2024 $425.43M