US Stock MarketDetailed Quotes

MRNO Murano Global Investments

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  • 8.990
  • +0.820+10.04%
Close Oct 3 16:00 ET
712.39MMarket Cap-7497P/E (TTM)

Murano Global Investments Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-76.75%17.87M
-6.94%-89.72M
159.96%165.21M
76.88M
-83.89M
-49.75%-275.51M
-183.98M
Net income from continuing operations
-434.23%-942.97M
-398.13%-145.22M
-98.81%5.66M
--282.13M
--48.71M
135,424.54%475.09M
--350.55K
Operating gains losses
316.39%716.83M
68.77%-102.44M
23.87%-593.91M
---331.27M
---328.07M
-1,347.41%-780.08M
---53.89M
Depreciation and amortization
161.44%82.77M
39.76%44.29M
7,390.75%135.5M
--31.66M
--31.69M
-14.11%1.81M
--2.11M
Other non cash items
85.17%145.8M
53.60%92.78M
244.78%309.66M
--78.74M
--60.4M
69.53%89.81M
--52.98M
Change In working capital
19.78%17.95M
-79.60%21.21M
599.66%310.49M
--14.98M
--104.01M
66.50%-62.14M
---185.52M
-Change in receivables
-1,010.54%-86.87M
-75.88%5.93M
63.13%-33.08M
--9.54M
--24.6M
-2.69%-89.72M
---87.36M
-Change in inventory
-526.23%-5.94M
-1,732.95%-2.2M
125.98%496.92K
--1.39M
---120.05K
---1.91M
--0
-Change in prepaid assets
200.93%1.04M
-80.79%6.2M
1,076.99%24.31M
---1.03M
--32.26M
105.72%2.07M
---36.09M
-Change in payables and accrued expense
824.03%82.98M
-66.56%14.12M
989.91%275.49M
---11.46M
--42.23M
140.10%25.28M
---63.04M
-Change in other current assets
113,391.21%19.61M
82.03%-2.3M
-29,380.56%-21.48M
---17.31K
---12.82M
196.44%73.36K
---76.07K
-Change in other current liabilities
-66.90%5.35M
-107.79%-1.39M
--62.5M
--16.15M
--17.86M
--0
--0
-Change in other working capital
--1.78M
--857.01K
8.55%2.25M
----
----
98.63%2.07M
--1.04M
Cash from discontinued investing activities
Operating cash flow
-76.75%17.87M
-6.94%-89.72M
159.96%165.21M
--76.88M
---83.89M
-49.75%-275.51M
---183.98M
Investing cash flow
Cash flow from continuing investing activities
-19.45%-569.12M
20.81%-301.47M
-18.09%-1.7B
-476.45M
-380.69M
-63.78%-1.44B
-877.72M
Net PPE purchase and sale
-48.07%-657.94M
20.45%-277.3M
-8.68%-1.56B
---444.34M
---348.57M
-63.68%-1.44B
---878.57M
Net other investing changes
377.15%87.91M
25.51%-24.67M
---136.78M
---31.72M
---33.11M
----
----
Cash from discontinued investing activities
Investing cash flow
-19.45%-569.12M
20.81%-301.47M
-18.09%-1.7B
---476.45M
---380.69M
-63.78%-1.44B
---877.72M
Financing cash flow
Cash flow from continuing financing activities
6.61%521.27M
-12.78%400.72M
-18.77%1.44B
488.95M
459.46M
111.81%1.77B
835.82M
Net issuance payments of debt
15.38%641.09M
-9.84%519.47M
-15.18%1.79B
--555.65M
--576.18M
132.55%2.11B
--906.85M
Net common stock issuance
--0
57.87%-23.5M
--0
---154.32K
---55.78M
-671.51%-298.35M
---38.67M
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
Net other financing activities
55.65%-3.75M
-35.65%-14.5M
-2,009.16%-93.01M
---8.46M
---10.69M
-16.09%4.87M
--5.81M
Cash from discontinued financing activities
Financing cash flow
6.61%521.27M
-12.78%400.72M
-18.77%1.44B
--488.95M
--459.46M
111.81%1.77B
--835.82M
Net cash flow
Beginning cash position
-33.83%155.9M
-39.20%146.37M
31.25%240.75M
--235.63M
--240.75M
-55.18%183.43M
--409.31M
Current changes in cash
-133.55%-29.98M
285.97%9.53M
-264.66%-94.39M
--89.37M
---5.13M
125.38%57.32M
---225.88M
End cash Position
-61.26%125.92M
-33.83%155.9M
-39.20%146.37M
--325M
--235.63M
31.25%240.75M
--183.43M
Free cash flow
-74.19%-640.07M
15.13%-367.02M
13.57%-1.55B
---367.46M
---432.47M
-68.00%-1.8B
---1.07B
Currency Unit
MXN
MXN
MXN
MXN
MXN
MXN
MXN
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -76.75%17.87M-6.94%-89.72M159.96%165.21M76.88M-83.89M-49.75%-275.51M-183.98M
Net income from continuing operations -434.23%-942.97M-398.13%-145.22M-98.81%5.66M--282.13M--48.71M135,424.54%475.09M--350.55K
Operating gains losses 316.39%716.83M68.77%-102.44M23.87%-593.91M---331.27M---328.07M-1,347.41%-780.08M---53.89M
Depreciation and amortization 161.44%82.77M39.76%44.29M7,390.75%135.5M--31.66M--31.69M-14.11%1.81M--2.11M
Other non cash items 85.17%145.8M53.60%92.78M244.78%309.66M--78.74M--60.4M69.53%89.81M--52.98M
Change In working capital 19.78%17.95M-79.60%21.21M599.66%310.49M--14.98M--104.01M66.50%-62.14M---185.52M
-Change in receivables -1,010.54%-86.87M-75.88%5.93M63.13%-33.08M--9.54M--24.6M-2.69%-89.72M---87.36M
-Change in inventory -526.23%-5.94M-1,732.95%-2.2M125.98%496.92K--1.39M---120.05K---1.91M--0
-Change in prepaid assets 200.93%1.04M-80.79%6.2M1,076.99%24.31M---1.03M--32.26M105.72%2.07M---36.09M
-Change in payables and accrued expense 824.03%82.98M-66.56%14.12M989.91%275.49M---11.46M--42.23M140.10%25.28M---63.04M
-Change in other current assets 113,391.21%19.61M82.03%-2.3M-29,380.56%-21.48M---17.31K---12.82M196.44%73.36K---76.07K
-Change in other current liabilities -66.90%5.35M-107.79%-1.39M--62.5M--16.15M--17.86M--0--0
-Change in other working capital --1.78M--857.01K8.55%2.25M--------98.63%2.07M--1.04M
Cash from discontinued investing activities
Operating cash flow -76.75%17.87M-6.94%-89.72M159.96%165.21M--76.88M---83.89M-49.75%-275.51M---183.98M
Investing cash flow
Cash flow from continuing investing activities -19.45%-569.12M20.81%-301.47M-18.09%-1.7B-476.45M-380.69M-63.78%-1.44B-877.72M
Net PPE purchase and sale -48.07%-657.94M20.45%-277.3M-8.68%-1.56B---444.34M---348.57M-63.68%-1.44B---878.57M
Net other investing changes 377.15%87.91M25.51%-24.67M---136.78M---31.72M---33.11M--------
Cash from discontinued investing activities
Investing cash flow -19.45%-569.12M20.81%-301.47M-18.09%-1.7B---476.45M---380.69M-63.78%-1.44B---877.72M
Financing cash flow
Cash flow from continuing financing activities 6.61%521.27M-12.78%400.72M-18.77%1.44B488.95M459.46M111.81%1.77B835.82M
Net issuance payments of debt 15.38%641.09M-9.84%519.47M-15.18%1.79B--555.65M--576.18M132.55%2.11B--906.85M
Net common stock issuance --057.87%-23.5M--0---154.32K---55.78M-671.51%-298.35M---38.67M
Cash dividends paid --0--0--0--0--0--0--0
Net other financing activities 55.65%-3.75M-35.65%-14.5M-2,009.16%-93.01M---8.46M---10.69M-16.09%4.87M--5.81M
Cash from discontinued financing activities
Financing cash flow 6.61%521.27M-12.78%400.72M-18.77%1.44B--488.95M--459.46M111.81%1.77B--835.82M
Net cash flow
Beginning cash position -33.83%155.9M-39.20%146.37M31.25%240.75M--235.63M--240.75M-55.18%183.43M--409.31M
Current changes in cash -133.55%-29.98M285.97%9.53M-264.66%-94.39M--89.37M---5.13M125.38%57.32M---225.88M
End cash Position -61.26%125.92M-33.83%155.9M-39.20%146.37M--325M--235.63M31.25%240.75M--183.43M
Free cash flow -74.19%-640.07M15.13%-367.02M13.57%-1.55B---367.46M---432.47M-68.00%-1.8B---1.07B
Currency Unit MXNMXNMXNMXNMXNMXNMXN
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------

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