US Stock MarketDetailed Quotes

MEC Mayville Engineering

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  • 16.460
  • -1.070-6.10%
Close Nov 7 16:00 ET
  • 16.730
  • +0.270+1.64%
Post 18:18 ET
339.81MMarket Cap27.90P/E (TTM)

Mayville Engineering Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-8.25%17.95M
12,975.84%23.28M
275.82%10.63M
-23.01%40.36M
39.54%26.67M
10.95%19.56M
-98.90%178K
-1,321.88%-6.04M
262.63%52.43M
1,048.50%19.11M
Net income from continuing operations
107.68%2.97M
134.32%3.78M
26.06%3.24M
-58.11%7.84M
-6.47%2.23M
-78.29%1.43M
-72.78%1.61M
-32.73%2.57M
351.34%18.73M
117.56%2.38M
Operating gains losses
173.94%122K
100.79%135K
205.65%318K
-326.03%-17.4M
-87.43%160K
-73.68%-165K
-465.24%-17.09M
86.55%-301K
-123.78%-4.08M
597.27%1.27M
Depreciation and amortization
-1.30%9.48M
17.23%9.39M
17.44%9.25M
19.68%35.08M
23.56%9.58M
35.21%9.61M
10.57%8.01M
9.35%7.88M
-7.78%29.31M
-5.81%7.76M
Other non cash items
33.88%1.64M
62.77%1.56M
-6.21%1.28M
-10.50%4.1M
-58.25%549K
101.32%1.22M
-27.07%959K
1.94%1.37M
1,309.23%4.58M
1,377.53%1.32M
Change In working capital
-56.45%2.51M
30.67%6.96M
76.61%-4.37M
32.24%5.93M
147.39%13.5M
-0.84%5.77M
29.29%5.32M
-71.06%-18.67M
115.69%4.49M
156.02%5.46M
-Change in receivables
223.97%13.78M
-52.83%2.45M
20.87%-12.87M
411.89%7.79M
54.39%14.61M
5.98%4.25M
365.83%5.19M
4.82%-16.27M
80.28%-2.5M
128.63%9.46M
-Change in inventory
-116.48%-491K
149.14%5.21M
-30.05%1.92M
924.10%13.44M
79.59%5.62M
508.64%2.98M
221.79%2.09M
218.64%2.75M
94.15%-1.63M
145.65%3.13M
-Change in prepaid assets
100.78%257K
-73.98%-1.75M
-280.91%-199K
186.36%532K
172.75%1.3M
-72.65%128K
25.13%-1.01M
150.93%110K
39.19%-616K
2,087.50%477K
-Change in payables and accrued expense
-222.84%-9.91M
564.03%2.7M
248.44%6.52M
-229.38%-16M
-79.42%-7.95M
-444.83%-3.07M
-109.77%-581K
-144.13%-4.4M
-27.86%12.36M
-120.61%-4.43M
-Change in other current assets
-79.97%448K
-499.05%-842K
325.00%225K
164.07%2.56M
116.65%207K
262.34%2.24M
274.38%211K
91.97%-100K
-383.98%-3.99M
-141.83%-1.24M
-Change in other current liabilities
-10.94%-1.26M
-80.38%-1.41M
6.47%-1.13M
20.18%-3.08M
103.54%41K
-164.72%-1.13M
29.73%-780K
-3.97%-1.21M
---3.86M
---1.16M
-Change in other working capital
-181.79%-310K
207.11%605K
162.81%1.16M
-85.41%687K
57.75%-330K
-87.31%379K
-85.40%197K
-61.82%441K
241.74%4.71M
82.55%-781K
Cash from discontinued investing activities
Operating cash flow
-8.25%17.95M
12,975.84%23.28M
275.82%10.63M
-23.01%40.36M
39.54%26.67M
10.95%19.56M
-98.90%178K
-1,321.88%-6.04M
262.63%52.43M
1,048.50%19.11M
Investing cash flow
Cash flow from continuing investing activities
96.85%-2.88M
-4.78%-4.1M
-18.31%-2.67M
-105.52%-104.13M
66.94%-6.48M
-819.56%-91.49M
53.99%-3.91M
82.13%-2.26M
-49.19%-50.67M
-54.04%-19.6M
Net PPE purchase and sale
0.55%-2.88M
-4.78%-4.1M
-18.31%-2.67M
69.33%-15.54M
66.94%-6.48M
70.91%-2.89M
53.99%-3.91M
82.13%-2.26M
-49.19%-50.67M
-54.04%-19.6M
Net business purchase and sale
----
----
----
---88.59M
--0
----
----
----
--0
--0
Cash from discontinued investing activities
Investing cash flow
96.85%-2.88M
-4.78%-4.1M
-18.31%-2.67M
-105.52%-104.13M
66.94%-6.48M
-819.56%-91.49M
53.99%-3.91M
82.13%-2.26M
-49.19%-50.67M
-54.04%-19.6M
Financing cash flow
Cash flow from continuing financing activities
4.33%-15.21M
-120.46%-19.18M
-200.22%-8.32M
3,777.19%64.31M
-4,464.40%-21.82M
-107.09%-15.89M
1,329.93%93.73M
-36.41%8.3M
-108.97%-1.75M
-95.47%500K
Net issuance payments of debt
25.35%-11.15M
-118.86%-18.1M
-189.05%-7.98M
2,031.96%68.18M
-4,464.60%-21.82M
-195.70%-14.94M
1,359.43%95.98M
-41.72%8.96M
-85.15%3.2M
-96.02%500K
Net common stock issuance
0.20%-998K
----
----
46.21%-2.66M
--0
61.89%-1M
----
----
-129.77%-4.95M
--0
Proceeds from stock option exercised by employees
---3.06M
---758K
--345K
--0
--0
--0
--0
--0
--0
----
Net other financing activities
----
----
-3.33%-683K
---1.21M
--1K
--42K
---587K
---661K
----
----
Cash from discontinued financing activities
Financing cash flow
4.33%-15.21M
-120.46%-19.18M
-200.22%-8.32M
3,777.19%64.31M
-4,464.40%-21.82M
-107.09%-15.89M
1,329.93%93.73M
-36.41%8.3M
-108.97%-1.75M
-95.47%500K
Net cash flow
Beginning cash position
-99.65%314K
149.21%314K
429.13%672K
7.63%127K
1,958.04%2.31M
85,733.33%90.13M
5.00%126K
7.63%127K
-2.48%118K
-11.81%112K
Current changes in cash
99.85%-136K
--0
-35,700.00%-358K
5,955.56%545K
-10,986.67%-1.63M
-1,254,671.43%-87.82M
600,093.33%90M
-150.00%-1K
400.00%9K
266.67%15K
End cash Position
-92.28%178K
-99.65%314K
149.21%314K
429.13%672K
429.13%672K
1,958.04%2.31M
85,733.33%90.13M
5.00%126K
7.63%127K
7.63%127K
Free cash flow
-6.22%15.07M
613.55%19.18M
192.89%7.85M
484.30%23.77M
2,977.42%19.88M
210.53%16.07M
-236.43%-3.73M
36.95%-8.45M
75.12%-6.18M
93.75%-691K
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
--
--
--
--
Unqualified Opinion
--
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -8.25%17.95M12,975.84%23.28M275.82%10.63M-23.01%40.36M39.54%26.67M10.95%19.56M-98.90%178K-1,321.88%-6.04M262.63%52.43M1,048.50%19.11M
Net income from continuing operations 107.68%2.97M134.32%3.78M26.06%3.24M-58.11%7.84M-6.47%2.23M-78.29%1.43M-72.78%1.61M-32.73%2.57M351.34%18.73M117.56%2.38M
Operating gains losses 173.94%122K100.79%135K205.65%318K-326.03%-17.4M-87.43%160K-73.68%-165K-465.24%-17.09M86.55%-301K-123.78%-4.08M597.27%1.27M
Depreciation and amortization -1.30%9.48M17.23%9.39M17.44%9.25M19.68%35.08M23.56%9.58M35.21%9.61M10.57%8.01M9.35%7.88M-7.78%29.31M-5.81%7.76M
Other non cash items 33.88%1.64M62.77%1.56M-6.21%1.28M-10.50%4.1M-58.25%549K101.32%1.22M-27.07%959K1.94%1.37M1,309.23%4.58M1,377.53%1.32M
Change In working capital -56.45%2.51M30.67%6.96M76.61%-4.37M32.24%5.93M147.39%13.5M-0.84%5.77M29.29%5.32M-71.06%-18.67M115.69%4.49M156.02%5.46M
-Change in receivables 223.97%13.78M-52.83%2.45M20.87%-12.87M411.89%7.79M54.39%14.61M5.98%4.25M365.83%5.19M4.82%-16.27M80.28%-2.5M128.63%9.46M
-Change in inventory -116.48%-491K149.14%5.21M-30.05%1.92M924.10%13.44M79.59%5.62M508.64%2.98M221.79%2.09M218.64%2.75M94.15%-1.63M145.65%3.13M
-Change in prepaid assets 100.78%257K-73.98%-1.75M-280.91%-199K186.36%532K172.75%1.3M-72.65%128K25.13%-1.01M150.93%110K39.19%-616K2,087.50%477K
-Change in payables and accrued expense -222.84%-9.91M564.03%2.7M248.44%6.52M-229.38%-16M-79.42%-7.95M-444.83%-3.07M-109.77%-581K-144.13%-4.4M-27.86%12.36M-120.61%-4.43M
-Change in other current assets -79.97%448K-499.05%-842K325.00%225K164.07%2.56M116.65%207K262.34%2.24M274.38%211K91.97%-100K-383.98%-3.99M-141.83%-1.24M
-Change in other current liabilities -10.94%-1.26M-80.38%-1.41M6.47%-1.13M20.18%-3.08M103.54%41K-164.72%-1.13M29.73%-780K-3.97%-1.21M---3.86M---1.16M
-Change in other working capital -181.79%-310K207.11%605K162.81%1.16M-85.41%687K57.75%-330K-87.31%379K-85.40%197K-61.82%441K241.74%4.71M82.55%-781K
Cash from discontinued investing activities
Operating cash flow -8.25%17.95M12,975.84%23.28M275.82%10.63M-23.01%40.36M39.54%26.67M10.95%19.56M-98.90%178K-1,321.88%-6.04M262.63%52.43M1,048.50%19.11M
Investing cash flow
Cash flow from continuing investing activities 96.85%-2.88M-4.78%-4.1M-18.31%-2.67M-105.52%-104.13M66.94%-6.48M-819.56%-91.49M53.99%-3.91M82.13%-2.26M-49.19%-50.67M-54.04%-19.6M
Net PPE purchase and sale 0.55%-2.88M-4.78%-4.1M-18.31%-2.67M69.33%-15.54M66.94%-6.48M70.91%-2.89M53.99%-3.91M82.13%-2.26M-49.19%-50.67M-54.04%-19.6M
Net business purchase and sale ---------------88.59M--0--------------0--0
Cash from discontinued investing activities
Investing cash flow 96.85%-2.88M-4.78%-4.1M-18.31%-2.67M-105.52%-104.13M66.94%-6.48M-819.56%-91.49M53.99%-3.91M82.13%-2.26M-49.19%-50.67M-54.04%-19.6M
Financing cash flow
Cash flow from continuing financing activities 4.33%-15.21M-120.46%-19.18M-200.22%-8.32M3,777.19%64.31M-4,464.40%-21.82M-107.09%-15.89M1,329.93%93.73M-36.41%8.3M-108.97%-1.75M-95.47%500K
Net issuance payments of debt 25.35%-11.15M-118.86%-18.1M-189.05%-7.98M2,031.96%68.18M-4,464.60%-21.82M-195.70%-14.94M1,359.43%95.98M-41.72%8.96M-85.15%3.2M-96.02%500K
Net common stock issuance 0.20%-998K--------46.21%-2.66M--061.89%-1M---------129.77%-4.95M--0
Proceeds from stock option exercised by employees ---3.06M---758K--345K--0--0--0--0--0--0----
Net other financing activities ---------3.33%-683K---1.21M--1K--42K---587K---661K--------
Cash from discontinued financing activities
Financing cash flow 4.33%-15.21M-120.46%-19.18M-200.22%-8.32M3,777.19%64.31M-4,464.40%-21.82M-107.09%-15.89M1,329.93%93.73M-36.41%8.3M-108.97%-1.75M-95.47%500K
Net cash flow
Beginning cash position -99.65%314K149.21%314K429.13%672K7.63%127K1,958.04%2.31M85,733.33%90.13M5.00%126K7.63%127K-2.48%118K-11.81%112K
Current changes in cash 99.85%-136K--0-35,700.00%-358K5,955.56%545K-10,986.67%-1.63M-1,254,671.43%-87.82M600,093.33%90M-150.00%-1K400.00%9K266.67%15K
End cash Position -92.28%178K-99.65%314K149.21%314K429.13%672K429.13%672K1,958.04%2.31M85,733.33%90.13M5.00%126K7.63%127K7.63%127K
Free cash flow -6.22%15.07M613.55%19.18M192.89%7.85M484.30%23.77M2,977.42%19.88M210.53%16.07M-236.43%-3.73M36.95%-8.45M75.12%-6.18M93.75%-691K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

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