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MDIA MediaCo

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  • 1.370
  • +0.090+7.03%
Close Sep 27 16:00 ET
  • 1.310
  • -0.060-4.38%
Post 20:02 ET
63.98MMarket Cap-951P/E (TTM)

MediaCo Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-459.66%-25.12M
-49.63%412K
-340.09%-5.57M
-80.51%-1.91M
-89.66%9K
-238.03%-4.49M
-82.29%818K
477.24%2.32M
77.94%-1.06M
-97.59%87K
Net income from continuing operations
-11,374.35%-48.31M
-74.51%-3.68M
-124.68%-7.63M
-106.84%-2.79M
12.64%-2.32M
85.50%-421K
50.92%-2.11M
608.29%30.91M
1,677.44%40.76M
-123.15%-2.65M
Operating gains losses
----
----
-52.32%565K
----
----
----
----
1,362.96%1.19M
----
----
Depreciation and amortization
866.89%1.43M
-16.35%133K
-14.71%568K
-62.78%131K
31.31%130K
48.00%148K
38.26%159K
-3.20%666K
115.05%352K
-90.73%99K
Deferred tax
129.33%172K
0.00%75K
-19.05%272K
-55.96%48K
-5.13%74K
-1.32%75K
2.74%75K
-3.45%336K
6.86%109K
-6.02%78K
Other non cash items
3,359.28%33.56M
-90.17%87K
107.18%2.62M
100.29%122K
-52.35%640K
-47.93%970K
-53.10%885K
-547.71%-36.45M
-985.55%-41.54M
-2.89%1.34M
Change In working capital
-133.93%-13.11M
185.65%3.41M
-224.75%-3.93M
74.60%-576K
27.74%1.06M
-657.57%-5.61M
-77.64%1.19M
143.64%3.15M
60.69%-2.27M
-31.43%829K
-Change in receivables
-271.99%-4.64M
-102.43%-34K
-55.57%1.61M
105.13%61K
-15.97%1.39M
-9.78%-1.25M
-67.32%1.4M
166.59%3.63M
-301.02%-1.19M
150.46%1.66M
-Change in prepaid assets
1,036.16%2.54M
-139.58%-1.04M
-128.13%-162K
37.28%998K
-614.06%-457K
-13,450.00%-271K
-408.24%-432K
210.13%576K
166.03%727K
-105.02%-64K
-Change in payables and accrued expense
-968.18%-11.75M
3,920.19%4.18M
-538.32%-4.66M
-1,228.06%-4.06M
237.67%402K
-271.07%-1.1M
-70.37%104K
139.19%1.06M
113.43%360K
-110.81%-292K
-Change in other current assets
-23.84%-213K
---331K
--0
-650.00%-88K
1,725.00%260K
---172K
--0
--0
--16K
-188.89%-16K
-Change in other current liabilities
387.42%434K
233.21%353K
72.15%-457K
79.51%-376K
225.94%335K
-2,416.67%-151K
-156.87%-265K
28.62%-1.64M
41.71%-1.84M
-246.96%-266K
-Change in other working capital
119.24%513K
-29.24%271K
43.22%-268K
930.46%2.89M
-355.73%-875K
-1,010.83%-2.67M
24.35%383K
-178.41%-472K
-304.71%-348K
-159.44%-192K
Cash from discontinued investing activities
0
0
309.02%255K
99.73%-4K
-117.47%-131K
-58.56%230K
272.09%160K
-103.43%-122K
-1.47M
750K
Operating cash flow
-489.88%-25.12M
-57.87%412K
-341.81%-5.32M
24.34%-1.91M
-114.58%-122K
-450.97%-4.26M
-79.02%978K
-25.24%2.2M
-104.28%-2.53M
-76.79%837K
Investing cash flow
Cash flow from continuing investing activities
-1,736.66%-6.81M
68.67%-172K
-21.69%-1.67M
-3,150.00%-585K
59.65%-161K
-78.37%-371K
26.21%-549K
-274.04%-1.37M
-101.97%-18K
-21.65%-399K
Net PPE purchase and sale
82.69%-67K
89.03%-26K
-1,306.58%-1.07M
-955.00%-211K
-706.90%-234K
-1,512.50%-387K
-7,800.00%-237K
79.23%-76K
-102.18%-20K
91.16%-29K
Net intangibles purchase and sale
--0
53.21%-146K
53.83%-597K
-18,800.00%-374K
119.73%73K
108.70%16K
57.89%-312K
---1.29M
--2K
---370K
Cash from discontinued investing activities
Investing cash flow
-1,736.66%-6.81M
68.67%-172K
-102.16%-1.67M
-100.74%-585K
65.15%-161K
22.55%-371K
32.72%-549K
6,240.89%77.19M
315,692.00%78.95M
-40.85%-462K
Financing cash flow
Cash flow from continuing financing activities
12,979.17%37.09M
88.24%-80K
98.27%-1.21M
99.89%-72K
83.35%-171K
70.43%-288K
39.07%-680K
-23,324.50%-70.14M
-248,125.93%-67.02M
-571.24%-1.03M
Net issuance payments of debt
----
----
--0
--0
--0
----
----
-6,957.30%-68.57M
---66.74M
---918K
Net common stock issuance
--0
98.77%-7K
-247.30%-771K
84.68%-34K
---98K
---68K
---571K
-164.91%-222K
-237.04%-222K
--0
Net other financing activities
-676.36%-1.71M
33.03%-73K
67.24%-440K
38.71%-38K
33.03%-73K
-292.86%-220K
90.23%-109K
-29.13%-1.34M
67.20%-62K
67.27%-109K
Cash from discontinued financing activities
0
0
46.48%-38K
0
0
0
59.14%-38K
-102.86%-71K
22K
0
Financing cash flow
12,979.17%37.09M
88.86%-80K
98.22%-1.25M
99.89%-72K
83.35%-171K
70.43%-288K
40.61%-718K
-26,395.51%-70.21M
-107,962.90%-67M
-571.24%-1.03M
Net cash flow
Beginning cash position
-51.83%7.23M
-53.79%7.07M
149.98%15.3M
63.97%9.64M
54.56%10.09M
71.43%15.01M
149.98%15.3M
46.75%6.12M
-20.50%5.88M
52.95%6.53M
Current changes in cash
204.82%5.16M
155.36%160K
-189.65%-8.23M
-127.27%-2.57M
30.37%-454K
-120.93%-4.92M
-110.96%-289K
370.77%9.18M
839.56%9.42M
-120.86%-652K
End cash Position
22.71%12.39M
-51.83%7.23M
-53.79%7.07M
-53.79%7.07M
63.97%9.64M
54.56%10.09M
71.43%15.01M
149.98%15.3M
149.98%15.3M
-20.50%5.88M
Free cash flow
-444.06%-25.19M
-44.06%240K
-942.10%-6.98M
1.89%-2.5M
-164.61%-283K
-371.97%-4.63M
-89.05%429K
-67.79%829K
-1,354.29%-2.55M
-86.64%438K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
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--
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(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(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -459.66%-25.12M-49.63%412K-340.09%-5.57M-80.51%-1.91M-89.66%9K-238.03%-4.49M-82.29%818K477.24%2.32M77.94%-1.06M-97.59%87K
Net income from continuing operations -11,374.35%-48.31M-74.51%-3.68M-124.68%-7.63M-106.84%-2.79M12.64%-2.32M85.50%-421K50.92%-2.11M608.29%30.91M1,677.44%40.76M-123.15%-2.65M
Operating gains losses ---------52.32%565K----------------1,362.96%1.19M--------
Depreciation and amortization 866.89%1.43M-16.35%133K-14.71%568K-62.78%131K31.31%130K48.00%148K38.26%159K-3.20%666K115.05%352K-90.73%99K
Deferred tax 129.33%172K0.00%75K-19.05%272K-55.96%48K-5.13%74K-1.32%75K2.74%75K-3.45%336K6.86%109K-6.02%78K
Other non cash items 3,359.28%33.56M-90.17%87K107.18%2.62M100.29%122K-52.35%640K-47.93%970K-53.10%885K-547.71%-36.45M-985.55%-41.54M-2.89%1.34M
Change In working capital -133.93%-13.11M185.65%3.41M-224.75%-3.93M74.60%-576K27.74%1.06M-657.57%-5.61M-77.64%1.19M143.64%3.15M60.69%-2.27M-31.43%829K
-Change in receivables -271.99%-4.64M-102.43%-34K-55.57%1.61M105.13%61K-15.97%1.39M-9.78%-1.25M-67.32%1.4M166.59%3.63M-301.02%-1.19M150.46%1.66M
-Change in prepaid assets 1,036.16%2.54M-139.58%-1.04M-128.13%-162K37.28%998K-614.06%-457K-13,450.00%-271K-408.24%-432K210.13%576K166.03%727K-105.02%-64K
-Change in payables and accrued expense -968.18%-11.75M3,920.19%4.18M-538.32%-4.66M-1,228.06%-4.06M237.67%402K-271.07%-1.1M-70.37%104K139.19%1.06M113.43%360K-110.81%-292K
-Change in other current assets -23.84%-213K---331K--0-650.00%-88K1,725.00%260K---172K--0--0--16K-188.89%-16K
-Change in other current liabilities 387.42%434K233.21%353K72.15%-457K79.51%-376K225.94%335K-2,416.67%-151K-156.87%-265K28.62%-1.64M41.71%-1.84M-246.96%-266K
-Change in other working capital 119.24%513K-29.24%271K43.22%-268K930.46%2.89M-355.73%-875K-1,010.83%-2.67M24.35%383K-178.41%-472K-304.71%-348K-159.44%-192K
Cash from discontinued investing activities 00309.02%255K99.73%-4K-117.47%-131K-58.56%230K272.09%160K-103.43%-122K-1.47M750K
Operating cash flow -489.88%-25.12M-57.87%412K-341.81%-5.32M24.34%-1.91M-114.58%-122K-450.97%-4.26M-79.02%978K-25.24%2.2M-104.28%-2.53M-76.79%837K
Investing cash flow
Cash flow from continuing investing activities -1,736.66%-6.81M68.67%-172K-21.69%-1.67M-3,150.00%-585K59.65%-161K-78.37%-371K26.21%-549K-274.04%-1.37M-101.97%-18K-21.65%-399K
Net PPE purchase and sale 82.69%-67K89.03%-26K-1,306.58%-1.07M-955.00%-211K-706.90%-234K-1,512.50%-387K-7,800.00%-237K79.23%-76K-102.18%-20K91.16%-29K
Net intangibles purchase and sale --053.21%-146K53.83%-597K-18,800.00%-374K119.73%73K108.70%16K57.89%-312K---1.29M--2K---370K
Cash from discontinued investing activities
Investing cash flow -1,736.66%-6.81M68.67%-172K-102.16%-1.67M-100.74%-585K65.15%-161K22.55%-371K32.72%-549K6,240.89%77.19M315,692.00%78.95M-40.85%-462K
Financing cash flow
Cash flow from continuing financing activities 12,979.17%37.09M88.24%-80K98.27%-1.21M99.89%-72K83.35%-171K70.43%-288K39.07%-680K-23,324.50%-70.14M-248,125.93%-67.02M-571.24%-1.03M
Net issuance payments of debt ----------0--0--0---------6,957.30%-68.57M---66.74M---918K
Net common stock issuance --098.77%-7K-247.30%-771K84.68%-34K---98K---68K---571K-164.91%-222K-237.04%-222K--0
Net other financing activities -676.36%-1.71M33.03%-73K67.24%-440K38.71%-38K33.03%-73K-292.86%-220K90.23%-109K-29.13%-1.34M67.20%-62K67.27%-109K
Cash from discontinued financing activities 0046.48%-38K00059.14%-38K-102.86%-71K22K0
Financing cash flow 12,979.17%37.09M88.86%-80K98.22%-1.25M99.89%-72K83.35%-171K70.43%-288K40.61%-718K-26,395.51%-70.21M-107,962.90%-67M-571.24%-1.03M
Net cash flow
Beginning cash position -51.83%7.23M-53.79%7.07M149.98%15.3M63.97%9.64M54.56%10.09M71.43%15.01M149.98%15.3M46.75%6.12M-20.50%5.88M52.95%6.53M
Current changes in cash 204.82%5.16M155.36%160K-189.65%-8.23M-127.27%-2.57M30.37%-454K-120.93%-4.92M-110.96%-289K370.77%9.18M839.56%9.42M-120.86%-652K
End cash Position 22.71%12.39M-51.83%7.23M-53.79%7.07M-53.79%7.07M63.97%9.64M54.56%10.09M71.43%15.01M149.98%15.3M149.98%15.3M-20.50%5.88M
Free cash flow -444.06%-25.19M-44.06%240K-942.10%-6.98M1.89%-2.5M-164.61%-283K-371.97%-4.63M-89.05%429K-67.79%829K-1,354.29%-2.55M-86.64%438K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------------

Analysis

Analyst Rating

No Data

Price Target

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