MARA Holdings
MARA
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TSLA
Alphabet-A
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MSTR
(Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (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 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 17.91%402.67M | 7.21%218.59M | 86.37%327.08M | 106.11%1.16B | 840.64%440.13M | 59.75%341.52M | 11.99%203.88M | -22.66%175.5M | -32.06%563.32M | -120.50%-59.43M |
Net income from continuing operations | 20.45%197.13M | 27.09%146.91M | 60.68%187.44M | 21.18%612.34M | 84.27%216.42M | 2.19%163.67M | -0.12%115.6M | 4.18%116.65M | 229.87%505.3M | 53.59%117.45M |
Operating gains losses | 568.37%20.26M | 829.91%14.79M | -9.72%-1.03M | 327.85%22.5M | -25.20%29.78M | 68.91%-4.33M | 93.07%-2.03M | 85.68%-936K | -193.66%-9.87M | 3,458.36%39.82M |
Depreciation and amortization | -36.30%93.03M | 3.15%149.64M | 2.79%149.18M | 2.89%585.95M | 5.28%149.73M | 2.94%146.03M | 0.72%145.06M | 2.63%145.13M | 80.81%569.51M | 1.83%142.23M |
Deferred tax | 54.19%-25.34M | -69.95%-26.09M | 19.80%-35.15M | 31.67%-85.4M | 1,678.84%29.08M | -7.70%-55.31M | 62.15%-15.35M | -26.28%-43.82M | -106.19%-124.99M | 104.80%1.64M |
Other non cash items | 40.37%26.28M | 217.50%32.43M | -39.98%20.01M | 2.47%76.12M | 100.41%13.85M | -26.47%18.72M | -60.65%10.21M | 108.83%33.34M | -39.19%74.29M | -76.37%6.91M |
Change In working capital | 38.42%78.28M | -86.48%-126.6M | 93.21%-6.56M | 79.13%-114.82M | 98.19%-6.94M | 177.54%56.55M | 3.45%-67.89M | -308.08%-96.55M | -507.59%-550.22M | -970.40%-383.32M |
-Change in receivables | 131.13%17.7M | -20.99%34.54M | -10.19%-122.98M | 89.57%-78.58M | 111.79%46.15M | 80.24%-56.84M | 162.28%43.72M | -22.79%-111.61M | -885.84%-753.29M | -409.94%-391.42M |
-Change in other current assets | 299.36%81.43M | 45.17%-52.58M | 190.90%59.93M | -1,787.68%-170.81M | 81.22%-29.39M | 115.57%20.39M | -231.14%-95.88M | -178.45%-65.93M | -90.65%10.12M | -220.93%-156.49M |
-Change in other working capital | -122.42%-20.85M | -590.45%-108.57M | -30.26%56.49M | -30.26%134.57M | -114.40%-23.7M | -54.69%93M | 90.18%-15.72M | 581.74%80.99M | 379.14%192.94M | 2,012.30%164.59M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 17.91%402.67M | 7.21%218.59M | 86.37%327.08M | 106.11%1.16B | 840.64%440.13M | 59.75%341.52M | 11.99%203.88M | -22.66%175.5M | -32.06%563.32M | -120.50%-59.43M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -250.29%-124.34M | 15.79%-34.2M | -40.38%-39.37M | -55.38%-226.65M | -108.05%-122.5M | 7.43%-35.5M | -39.54%-40.61M | -43.54%-28.04M | 97.58%-145.87M | 0.23%-58.88M |
Net PPE purchase and sale | -48.91%-43.33M | -12.92%-36.29M | -1.53%-27.15M | 1.03%-140.69M | 7.55%-52.71M | 21.99%-29.1M | -13.93%-32.14M | -36.23%-26.74M | -51.64%-142.16M | -19.57%-57.02M |
Net business purchase and sale | ---77.8M | --0 | ---7.83M | ---71.77M | ---66.67M | --0 | ---5.1M | --0 | --0 | --0 |
Net investment purchase and sale | 49.79%-3.21M | 161.87%2.09M | -237.60%-4.38M | -282.92%-14.2M | -67.38%-3.13M | -514.51%-6.4M | -277.09%-3.38M | -1,452.08%-1.3M | -4.13%-3.71M | -39.96%-1.87M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -250.29%-124.34M | 15.79%-34.2M | -40.38%-39.37M | -55.38%-226.65M | -108.05%-122.5M | 7.43%-35.5M | -39.54%-40.61M | -43.54%-28.04M | 97.58%-145.87M | 0.23%-58.88M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 62.20%-97.78M | 58.47%-71.75M | -67.89%-263.7M | 2.33%-844.04M | -32.31%-255.55M | -38.94%-258.67M | -87.08%-172.77M | 59.98%-157.06M | -116.90%-864.17M | 60.22%-193.14M |
Net issuance payments of debt | 97.29%-7.44M | 63.67%-65.4M | -64.71%-280M | -11.88%-895M | -35.00%-270M | -37.50%-275M | -80.00%-180M | 43.33%-170M | -115.91%-800M | 60.00%-200M |
Net common stock issuance | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- | ---99.98M | --0 |
Proceeds from stock option exercised by employees | -34.31%10.73M | -26.21%5.34M | 26.00%16.31M | 42.21%50.97M | 110.21%14.46M | 18.17%16.34M | -5.39%7.24M | 72.74%12.94M | -69.77%35.84M | -52.63%6.88M |
Net other financing activities | -21,300.00%-1.07M | -233,680.00%-11.69M | 0.00%-4K | 52.94%-16K | 85.71%-2K | ---5K | ---5K | 80.00%-4K | 99.89%-34K | -187.50%-14K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 62.20%-97.78M | 58.47%-71.75M | -67.89%-263.7M | 2.33%-844.04M | -32.31%-255.55M | -38.94%-258.67M | -87.08%-172.77M | 59.98%-157.06M | -116.90%-864.17M | 60.22%-193.14M |
Net cash flow | ||||||||||
Beginning cash position | 87.49%506.55M | 41.52%396.08M | 30.94%378.1M | -61.61%288.77M | -48.61%313.07M | -56.06%270.18M | -49.94%279.88M | -61.61%288.77M | -10.48%752.21M | -39.60%609.16M |
Current changes in cash | 281.29%180.55M | 1,285.91%112.64M | 349.97%24.01M | 120.22%90.33M | 119.93%62.08M | 540.74%47.35M | -115.67%-9.5M | 94.81%-9.61M | -455.87%-446.73M | -22.30%-311.45M |
Effect of exchange rate changes | 288.17%8.4M | -951.94%-2.17M | -940.11%-6.03M | 94.04%-997K | 133.04%2.96M | -189.57%-4.46M | 95.69%-206K | 108.99%718K | -116.38%-16.72M | -443.11%-8.95M |
End cash Position | 122.16%695.51M | 87.49%506.55M | 41.52%396.08M | 30.94%378.1M | 30.94%378.1M | -48.61%313.07M | -56.06%270.18M | -49.94%279.88M | -61.61%288.77M | -61.61%288.77M |
Free cash flow | 15.02%359.34M | 6.15%182.3M | 101.62%299.92M | 142.27%1.02B | 432.72%387.42M | 77.04%312.42M | 11.64%171.75M | -28.24%148.76M | -42.73%421.16M | -148.09%-116.44M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | -- | -- | -- | -- | -- | -- | -- | -- | Unqualified Opinion | -- |