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FUNFF FANSUNITE ENTERTAINMENT INC

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  • 0.041600
  • 0.0000000.00%
15min DelayClose Jul 16 16:00 ET
14.88MMarket Cap-1434P/E (TTM)

FANSUNITE ENTERTAINMENT INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-7,320.00%-361K
54.95%-3.03M
133.37%279K
28.13%-948K
53.62%-2.37M
-99.06%5K
17.44%-6.73M
38.73%-836K
51.20%-1.32M
-164.11%-5.11M
Net income from continuing operations
36.99%-3.88M
72.75%-16.7M
93.90%-4.04M
-120.06%-6.03M
97.02%-474K
32.90%-6.15M
-259.36%-61.27M
-636.59%-66.24M
1,238.93%30.05M
-442.95%-15.91M
Operating gains losses
----
-4,354.86%-7.45M
--0
--0
----
----
--175K
----
----
----
Depreciation and amortization
-3.48%4.96M
-5.34%20.14M
-8.10%5.01M
-7.97%4.96M
-3.46%5.03M
-1.61%5.14M
434.98%21.28M
114.97%5.46M
918.68%5.39M
1,047.14%5.21M
Deferred tax
-34.19%-989K
-484.41%-4.24M
-132.45%-1.82M
71.88%-1.08M
-728.77%-605K
-27.07%-737K
229.76%1.1M
1,278.95%5.6M
-925.07%-3.84M
---73K
Other non cash items
-14.02%687K
100.28%137K
79.60%-1.58M
100.76%372K
-84.87%541K
-75.55%799K
-12,552.38%-49.69M
-673.91%-7.72M
-27,967.74%-48.81M
84,259.52%3.58M
Change In working capital
-682.29%-1.58M
-0.47%3.15M
340.61%2.44M
-74.50%488K
-106.34%-53K
290.85%271K
2.86%3.16M
-78.73%554K
822.61%1.91M
174.32%836K
-Change in receivables
-486.35%-2.11M
-70.15%606K
72.29%-194K
-101.75%-31K
-40.65%1.19M
65.61%-359K
1,315.57%2.03M
-84.30%-700K
79,892.51%1.77M
881.57%2.01M
-Change in prepaid assets
-125.00%-9K
11.32%118K
733.33%38K
-75.22%28K
184.85%56K
-106.15%-4K
-79.42%106K
-101.45%-6K
138.87%113K
-179.74%-66K
-Change in payables and accrued expense
-15.46%536K
136.16%2.42M
106.11%2.6M
1,434.38%491K
-17.77%-1.3M
-24.25%634K
-72.10%1.03M
-64.22%1.26M
14.06%32K
-1,348.90%-1.1M
Cash from discontinued investing activities
Operating cash flow
-7,320.00%-361K
54.94%-3.03M
133.41%279K
28.13%-948K
53.62%-2.37M
-99.06%5K
17.45%-6.73M
38.81%-835K
51.20%-1.32M
-164.11%-5.11M
Investing cash flow
Cash flow from continuing investing activities
-4.64%-316K
150.49%6.01M
0
93.83%-351K
575.23%6.66M
93.38%-302K
-15,550.00%-11.89M
-239.18%-241K
-7,239.32%-5.69M
-2,318.91%-1.4M
Net PPE purchase and sale
--0
92.86%-4K
--0
--0
80.00%-2K
93.75%-2K
26.32%-56K
80.30%-14K
--0
-34.08%-10K
Net intangibles purchase and sale
----
21,735.71%3.03M
--0
--0
----
----
---14K
---1K
--0
--0
Net business purchase and sale
-5.33%-316K
133.05%2.98M
74.63%-2.29M
-7.50%1.94M
349.90%3.63M
53.20%-300K
---9.02M
---9.02M
--2.09M
---1.45M
Net investment purchase and sale
----
--0
--0
--0
----
----
--843K
--0
14,618.32%856K
---14K
Net other investing changes
----
----
----
----
----
----
---3.65M
--8.79M
---8.64M
--76K
Cash from discontinued investing activities
Investing cash flow
-4.64%-316K
150.49%6.01M
--0
93.83%-351K
575.23%6.66M
93.38%-302K
-15,550.00%-11.89M
-239.18%-241K
-7,239.32%-5.69M
-2,318.91%-1.4M
Financing cash flow
Cash flow from continuing financing activities
-113.13%-353K
-146.64%-3.46M
55.91%-112K
-100.61%-49K
-1,451.47%-5.99M
443.30%2.69M
-58.09%7.42M
98.72%-254K
-65.93%8.01M
-4.72%443K
Net issuance payments of debt
-992.31%-284K
-170.65%-5.68M
14.29%-36K
-100.44%-36K
-6,709.76%-5.58M
-62.50%-26K
1,335.33%8.04M
31.32%-42K
153,868.09%8.18M
-32.38%-82K
Net common stock issuance
----
57.63%-25K
--0
--0
----
----
-100.17%-59K
-100.00%-1K
---31K
----
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Proceeds from stock option exercised by employees
--0
--0
---2.97M
--0
-23.94%54K
145,450.00%2.91M
-97.73%73K
--0
--0
-88.40%71K
Net other financing activities
----
873.06%2.98M
7,129.27%2.96M
143.88%61K
-114.55%-70K
103.77%29K
98.06%-386K
100.07%41K
-100.61%-139K
665.38%481K
Cash from discontinued financing activities
Financing cash flow
-113.13%-353K
-146.64%-3.46M
55.91%-112K
-100.61%-49K
-1,451.47%-5.99M
443.30%2.69M
-58.09%7.42M
98.72%-254K
-65.93%8.01M
-4.72%443K
Net cash flow
Beginning cash position
-23.58%2.23M
-79.15%2.91M
-49.93%2.29M
-27.67%3.46M
-36.83%5.18M
-79.15%2.91M
215.37%13.97M
-87.01%4.58M
-66.94%4.79M
-48.37%8.2M
Current changes in cash
-143.08%-1.03M
95.64%-489K
112.56%167K
-234.26%-1.35M
72.00%-1.7M
149.66%2.39M
-218.41%-11.21M
93.76%-1.33M
-95.16%1M
-331.34%-6.07M
Effect of exchange rate changes
244.88%184K
-232.89%-198K
30.42%-231K
114.47%176K
-100.60%-16K
86.80%-127K
93.51%149K
-1,039.23%-332K
-6,446.89%-1.22M
23,818.32%2.66M
End cash Position
-73.33%1.38M
-23.58%2.23M
-23.58%2.23M
-49.93%2.29M
-27.67%3.46M
-36.83%5.18M
-79.15%2.91M
-79.15%2.91M
-87.01%4.58M
-66.94%4.79M
Free cash flow
-12,133.33%-361K
55.34%-3.04M
132.82%279K
28.13%-948K
53.67%-2.37M
-99.38%3K
17.36%-6.8M
40.79%-850K
51.22%-1.32M
-164.09%-5.12M
Currency Unit
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Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -7,320.00%-361K54.95%-3.03M133.37%279K28.13%-948K53.62%-2.37M-99.06%5K17.44%-6.73M38.73%-836K51.20%-1.32M-164.11%-5.11M
Net income from continuing operations 36.99%-3.88M72.75%-16.7M93.90%-4.04M-120.06%-6.03M97.02%-474K32.90%-6.15M-259.36%-61.27M-636.59%-66.24M1,238.93%30.05M-442.95%-15.91M
Operating gains losses -----4,354.86%-7.45M--0--0----------175K------------
Depreciation and amortization -3.48%4.96M-5.34%20.14M-8.10%5.01M-7.97%4.96M-3.46%5.03M-1.61%5.14M434.98%21.28M114.97%5.46M918.68%5.39M1,047.14%5.21M
Deferred tax -34.19%-989K-484.41%-4.24M-132.45%-1.82M71.88%-1.08M-728.77%-605K-27.07%-737K229.76%1.1M1,278.95%5.6M-925.07%-3.84M---73K
Other non cash items -14.02%687K100.28%137K79.60%-1.58M100.76%372K-84.87%541K-75.55%799K-12,552.38%-49.69M-673.91%-7.72M-27,967.74%-48.81M84,259.52%3.58M
Change In working capital -682.29%-1.58M-0.47%3.15M340.61%2.44M-74.50%488K-106.34%-53K290.85%271K2.86%3.16M-78.73%554K822.61%1.91M174.32%836K
-Change in receivables -486.35%-2.11M-70.15%606K72.29%-194K-101.75%-31K-40.65%1.19M65.61%-359K1,315.57%2.03M-84.30%-700K79,892.51%1.77M881.57%2.01M
-Change in prepaid assets -125.00%-9K11.32%118K733.33%38K-75.22%28K184.85%56K-106.15%-4K-79.42%106K-101.45%-6K138.87%113K-179.74%-66K
-Change in payables and accrued expense -15.46%536K136.16%2.42M106.11%2.6M1,434.38%491K-17.77%-1.3M-24.25%634K-72.10%1.03M-64.22%1.26M14.06%32K-1,348.90%-1.1M
Cash from discontinued investing activities
Operating cash flow -7,320.00%-361K54.94%-3.03M133.41%279K28.13%-948K53.62%-2.37M-99.06%5K17.45%-6.73M38.81%-835K51.20%-1.32M-164.11%-5.11M
Investing cash flow
Cash flow from continuing investing activities -4.64%-316K150.49%6.01M093.83%-351K575.23%6.66M93.38%-302K-15,550.00%-11.89M-239.18%-241K-7,239.32%-5.69M-2,318.91%-1.4M
Net PPE purchase and sale --092.86%-4K--0--080.00%-2K93.75%-2K26.32%-56K80.30%-14K--0-34.08%-10K
Net intangibles purchase and sale ----21,735.71%3.03M--0--0-----------14K---1K--0--0
Net business purchase and sale -5.33%-316K133.05%2.98M74.63%-2.29M-7.50%1.94M349.90%3.63M53.20%-300K---9.02M---9.02M--2.09M---1.45M
Net investment purchase and sale ------0--0--0----------843K--014,618.32%856K---14K
Net other investing changes ---------------------------3.65M--8.79M---8.64M--76K
Cash from discontinued investing activities
Investing cash flow -4.64%-316K150.49%6.01M--093.83%-351K575.23%6.66M93.38%-302K-15,550.00%-11.89M-239.18%-241K-7,239.32%-5.69M-2,318.91%-1.4M
Financing cash flow
Cash flow from continuing financing activities -113.13%-353K-146.64%-3.46M55.91%-112K-100.61%-49K-1,451.47%-5.99M443.30%2.69M-58.09%7.42M98.72%-254K-65.93%8.01M-4.72%443K
Net issuance payments of debt -992.31%-284K-170.65%-5.68M14.29%-36K-100.44%-36K-6,709.76%-5.58M-62.50%-26K1,335.33%8.04M31.32%-42K153,868.09%8.18M-32.38%-82K
Net common stock issuance ----57.63%-25K--0--0---------100.17%-59K-100.00%-1K---31K----
Cash dividends paid --0--0--0--0--0--0--0--0--0--0
Proceeds from stock option exercised by employees --0--0---2.97M--0-23.94%54K145,450.00%2.91M-97.73%73K--0--0-88.40%71K
Net other financing activities ----873.06%2.98M7,129.27%2.96M143.88%61K-114.55%-70K103.77%29K98.06%-386K100.07%41K-100.61%-139K665.38%481K
Cash from discontinued financing activities
Financing cash flow -113.13%-353K-146.64%-3.46M55.91%-112K-100.61%-49K-1,451.47%-5.99M443.30%2.69M-58.09%7.42M98.72%-254K-65.93%8.01M-4.72%443K
Net cash flow
Beginning cash position -23.58%2.23M-79.15%2.91M-49.93%2.29M-27.67%3.46M-36.83%5.18M-79.15%2.91M215.37%13.97M-87.01%4.58M-66.94%4.79M-48.37%8.2M
Current changes in cash -143.08%-1.03M95.64%-489K112.56%167K-234.26%-1.35M72.00%-1.7M149.66%2.39M-218.41%-11.21M93.76%-1.33M-95.16%1M-331.34%-6.07M
Effect of exchange rate changes 244.88%184K-232.89%-198K30.42%-231K114.47%176K-100.60%-16K86.80%-127K93.51%149K-1,039.23%-332K-6,446.89%-1.22M23,818.32%2.66M
End cash Position -73.33%1.38M-23.58%2.23M-23.58%2.23M-49.93%2.29M-27.67%3.46M-36.83%5.18M-79.15%2.91M-79.15%2.91M-87.01%4.58M-66.94%4.79M
Free cash flow -12,133.33%-361K55.34%-3.04M132.82%279K28.13%-948K53.67%-2.37M-99.38%3K17.36%-6.8M40.79%-850K51.22%-1.32M-164.09%-5.12M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

Analysis

Analyst Rating

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