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MRNOW MURANO GLOBAL INVESTMENTS LIMITED C/WTS 30/04/2029 (TO PUR COM)

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Trading Jul 18 11:05 ET
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MURANO GLOBAL INVESTMENTS LIMITED C/WTS 30/04/2029 (TO PUR COM) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Jan 1, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
--83.51M
-62.33%81.26M
--217.8M
55.69%215.7M
--215.7M
--138.54M
--409.31M
-Cash and cash equivalents
--83.51M
-54.09%81.26M
--217.8M
27.74%176.98M
--176.98M
--138.54M
--409.31M
-Short-term investments
----
----
----
--38.72M
--38.72M
----
----
Receivables
--453.37M
69.49%430.8M
--286.3M
36.16%254.18M
--254.18M
--186.67M
--141.28M
-Accounts receivable
--10.23M
--16.83M
--6.93M
--0
--0
----
----
-Loans receivable
--172.06M
--143.55M
--66.26M
--0
--0
--2.1M
--0
-Taxes receivable
--243.04M
5.82%242.08M
--182.72M
33.22%228.77M
--228.77M
--171.72M
--129.61M
-Other receivables
--28.05M
11.55%28.34M
--30.39M
97.79%25.41M
--25.41M
--12.84M
--11.66M
Inventory
--3.62M
-25.98%1.42M
--638.43K
--1.91M
--1.91M
--0
--0
Prepaid assets
--12.6M
-17.94%18.79M
--11.87M
-8.27%22.9M
--22.9M
--24.97M
--9.08M
Restricted cash
--72.4M
159.88%65.11M
--107.2M
-44.19%25.06M
--25.06M
--44.9M
----
Total current assets
--625.49M
14.94%597.38M
--623.81M
31.56%519.74M
--519.74M
--395.07M
--559.67M
Non current assets
Net PPE
--17.87B
4.47%17.64B
--17.66B
78.89%16.88B
--16.88B
--9.44B
--8.32B
-Gross PPE
--18.05B
5.22%17.78B
--17.69B
78.79%16.9B
--16.9B
--9.45B
--8.33B
-Accumulated depreciation
---176.45M
-870.77%-143.5M
---29.26M
-9.38%-14.78M
---14.78M
---13.51M
---11.95M
Financial assets
--121.73M
-39.35%116.92M
--168.89M
--192.79M
--192.79M
--0
--0
Non current prepaid assets
--23.78M
6.34%21.48M
--12.84M
0.00%20.2M
--20.2M
--20.2M
--0
Other non current assets
--1
100.00%2
----
-100.00%1
--1
--73.36K
--1
Total non current assets
--19.12B
3.24%18.88B
--19.03B
76.70%18.28B
--18.28B
--10.35B
--9.15B
Total assets
--19.74B
3.57%19.47B
--19.65B
75.04%18.8B
--18.8B
--10.74B
--9.71B
Liabilities
Current liabilities
Payables
--602.1M
157.14%544.3M
--272.47M
11.75%211.67M
--211.67M
--189.41M
--473.76M
-accounts payable
--409.42M
220.39%399.16M
--149.99M
10.08%124.59M
--124.59M
--113.18M
--177.31M
-Total tax payable
--19.69M
-35.26%12.14M
--26.7M
1,177.27%18.74M
--18.74M
--1.47M
--344.87K
-Due to related parties current
--172.99M
94.61%133M
--95.78M
-8.59%68.34M
--68.34M
--74.77M
--296.1M
Current debt and capital lease obligation
--2.14B
-45.49%2.07B
--3.61B
1,918.26%3.8B
--3.8B
--188.09M
--1.09B
-Current debt
--2.1B
-46.27%2.04B
--3.61B
1,924.25%3.8B
--3.8B
--187.52M
--1.09B
-Current capital lease obligation
--37.92M
7,641.35%30.01M
--175.02K
-32.71%387.62K
--387.62K
--576.05K
--269.57K
Current deferred liabilities
--6.46M
--8.26M
----
--0
--0
----
----
Other current liabilities
--3.5M
-94.11%3.5M
--3.5M
68.30%59.44M
--59.44M
--35.32M
--29.51M
Current liabilities
--2.75B
-35.43%2.63B
--3.88B
883.97%4.07B
--4.07B
--413.57M
--1.59B
Non current liabilities
Long term debt and capital lease obligation
--5.17B
172.75%4.82B
--2.45B
-51.01%1.77B
--1.77B
--3.61B
--1.57B
-Long term debt
--5.01B
162.72%4.64B
--2.45B
-51.01%1.77B
--1.77B
--3.61B
--1.56B
-Long term capital lease obligation
--163.86M
75,122.23%177.95M
----
-59.55%236.57K
--236.57K
--584.84K
--1.16M
Non current deferred liabilities
--4.03B
-7.40%4.03B
--4.32B
87.11%4.35B
--4.35B
--2.33B
--2.17B
Due to related parties non current
--47.21M
-57.65%87.3M
--150.84M
52.06%206.15M
--206.15M
--135.57M
--94.91M
Employee benefits
--9.62M
31.73%8.77M
--7.87M
94.83%6.65M
--6.65M
--3.42M
--3.33M
Derivative product liabilities
----
----
----
----
----
--7.95M
--83.79M
Other non current liabilities
--61.11M
--62.5M
--34.02M
----
----
----
----
Total non current liabilities
--9.32B
42.27%9.01B
--6.96B
4.14%6.33B
--6.33B
--6.08B
--3.92B
Total liabilities
--12.08B
11.88%11.64B
--10.84B
60.16%10.4B
--10.4B
--6.5B
--5.51B
Shareholders'equity
Share capital
--900.05M
0.00%902.61M
--902.61M
-24.84%902.61M
--902.61M
--1.2B
--1.24B
-common stock
--900.05M
0.00%902.61M
--902.61M
-24.84%902.61M
--902.61M
--1.2B
--1.24B
Retained earnings
---1.35B
4.67%-1.18B
---825.08M
16.61%-1.24B
---1.24B
---1.49B
---1.4B
Gains losses not affecting retained earnings
--8.11B
-7.13%8.11B
--8.74B
92.79%8.74B
--8.74B
--4.53B
--4.36B
Total stockholders'equity
--7.66B
-6.73%7.83B
--8.81B
97.80%8.4B
--8.4B
--4.25B
--4.2B
Total equity
--7.66B
-6.73%7.83B
--8.81B
97.80%8.4B
--8.4B
--4.25B
--4.2B
Currency Unit
MXN
MXN
MXN
MXN
MXN
MXN
MXN
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(FY)Dec 31, 2021(FY)Jan 1, 2021
Assets
Current assets
Cash, cash equivalents and short term investments --83.51M-62.33%81.26M--217.8M55.69%215.7M--215.7M--138.54M--409.31M
-Cash and cash equivalents --83.51M-54.09%81.26M--217.8M27.74%176.98M--176.98M--138.54M--409.31M
-Short-term investments --------------38.72M--38.72M--------
Receivables --453.37M69.49%430.8M--286.3M36.16%254.18M--254.18M--186.67M--141.28M
-Accounts receivable --10.23M--16.83M--6.93M--0--0--------
-Loans receivable --172.06M--143.55M--66.26M--0--0--2.1M--0
-Taxes receivable --243.04M5.82%242.08M--182.72M33.22%228.77M--228.77M--171.72M--129.61M
-Other receivables --28.05M11.55%28.34M--30.39M97.79%25.41M--25.41M--12.84M--11.66M
Inventory --3.62M-25.98%1.42M--638.43K--1.91M--1.91M--0--0
Prepaid assets --12.6M-17.94%18.79M--11.87M-8.27%22.9M--22.9M--24.97M--9.08M
Restricted cash --72.4M159.88%65.11M--107.2M-44.19%25.06M--25.06M--44.9M----
Total current assets --625.49M14.94%597.38M--623.81M31.56%519.74M--519.74M--395.07M--559.67M
Non current assets
Net PPE --17.87B4.47%17.64B--17.66B78.89%16.88B--16.88B--9.44B--8.32B
-Gross PPE --18.05B5.22%17.78B--17.69B78.79%16.9B--16.9B--9.45B--8.33B
-Accumulated depreciation ---176.45M-870.77%-143.5M---29.26M-9.38%-14.78M---14.78M---13.51M---11.95M
Financial assets --121.73M-39.35%116.92M--168.89M--192.79M--192.79M--0--0
Non current prepaid assets --23.78M6.34%21.48M--12.84M0.00%20.2M--20.2M--20.2M--0
Other non current assets --1100.00%2-----100.00%1--1--73.36K--1
Total non current assets --19.12B3.24%18.88B--19.03B76.70%18.28B--18.28B--10.35B--9.15B
Total assets --19.74B3.57%19.47B--19.65B75.04%18.8B--18.8B--10.74B--9.71B
Liabilities
Current liabilities
Payables --602.1M157.14%544.3M--272.47M11.75%211.67M--211.67M--189.41M--473.76M
-accounts payable --409.42M220.39%399.16M--149.99M10.08%124.59M--124.59M--113.18M--177.31M
-Total tax payable --19.69M-35.26%12.14M--26.7M1,177.27%18.74M--18.74M--1.47M--344.87K
-Due to related parties current --172.99M94.61%133M--95.78M-8.59%68.34M--68.34M--74.77M--296.1M
Current debt and capital lease obligation --2.14B-45.49%2.07B--3.61B1,918.26%3.8B--3.8B--188.09M--1.09B
-Current debt --2.1B-46.27%2.04B--3.61B1,924.25%3.8B--3.8B--187.52M--1.09B
-Current capital lease obligation --37.92M7,641.35%30.01M--175.02K-32.71%387.62K--387.62K--576.05K--269.57K
Current deferred liabilities --6.46M--8.26M------0--0--------
Other current liabilities --3.5M-94.11%3.5M--3.5M68.30%59.44M--59.44M--35.32M--29.51M
Current liabilities --2.75B-35.43%2.63B--3.88B883.97%4.07B--4.07B--413.57M--1.59B
Non current liabilities
Long term debt and capital lease obligation --5.17B172.75%4.82B--2.45B-51.01%1.77B--1.77B--3.61B--1.57B
-Long term debt --5.01B162.72%4.64B--2.45B-51.01%1.77B--1.77B--3.61B--1.56B
-Long term capital lease obligation --163.86M75,122.23%177.95M-----59.55%236.57K--236.57K--584.84K--1.16M
Non current deferred liabilities --4.03B-7.40%4.03B--4.32B87.11%4.35B--4.35B--2.33B--2.17B
Due to related parties non current --47.21M-57.65%87.3M--150.84M52.06%206.15M--206.15M--135.57M--94.91M
Employee benefits --9.62M31.73%8.77M--7.87M94.83%6.65M--6.65M--3.42M--3.33M
Derivative product liabilities ----------------------7.95M--83.79M
Other non current liabilities --61.11M--62.5M--34.02M----------------
Total non current liabilities --9.32B42.27%9.01B--6.96B4.14%6.33B--6.33B--6.08B--3.92B
Total liabilities --12.08B11.88%11.64B--10.84B60.16%10.4B--10.4B--6.5B--5.51B
Shareholders'equity
Share capital --900.05M0.00%902.61M--902.61M-24.84%902.61M--902.61M--1.2B--1.24B
-common stock --900.05M0.00%902.61M--902.61M-24.84%902.61M--902.61M--1.2B--1.24B
Retained earnings ---1.35B4.67%-1.18B---825.08M16.61%-1.24B---1.24B---1.49B---1.4B
Gains losses not affecting retained earnings --8.11B-7.13%8.11B--8.74B92.79%8.74B--8.74B--4.53B--4.36B
Total stockholders'equity --7.66B-6.73%7.83B--8.81B97.80%8.4B--8.4B--4.25B--4.2B
Total equity --7.66B-6.73%7.83B--8.81B97.80%8.4B--8.4B--4.25B--4.2B
Currency Unit MXNMXNMXNMXNMXNMXNMXN
Audit Opinions --Unqualified Opinion with Explanatory Notes----------

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