US Stock MarketDetailed Quotes

MTEX Mannatech

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  • 7.790
  • -0.435-5.29%
Close Nov 7 16:00 ET
14.68MMarket Cap-12365P/E (TTM)

Mannatech 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
0.78%-2.67M
38.71%1.87M
8.81%-2.37M
56.80%-1.32M
128.30%287K
-400.90%-2.69M
132.93%1.35M
-124.12%-2.6M
-4,147.22%-3.06M
-140.22%-1.01M
Net income from continuing operations
43.53%-624K
95.36%1.18M
50.13%-2.24M
73.02%-1.76M
-98.49%18K
-259.22%-1.11M
350.75%604K
-145.62%-4.49M
-351.41%-6.51M
-59.35%1.19M
Operating gains losses
----
----
135.00%7K
--0
----
----
----
-155.56%-20K
-1,600.00%-17K
----
Depreciation and amortization
0.00%387K
7.49%416K
0.06%1.63M
45.32%404K
-37.15%450K
28.57%387K
16.57%387K
-5.35%1.63M
-22.56%278K
75.49%716K
Deferred tax
15.00%-85K
-98.63%6K
-90.13%121K
-113.27%-182K
80.79%-34K
-88.68%-100K
414.12%437K
170.95%1.23M
173.39%1.37M
-591.67%-177K
Other non cash items
-5.15%387K
-3.13%402K
1.93%1.9M
111.32%672K
-18.04%409K
-29.41%408K
-12.26%415K
-15.13%1.87M
-30.26%318K
-44.06%499K
Change In working capital
48.73%-1.29M
67.18%-299K
-37.85%-5.05M
-165.01%-836K
76.68%-790K
-231.66%-2.51M
-13.31%-911K
-50.16%-3.66M
151.46%1.29M
-187.12%-3.39M
-Change in receivables
110.14%51K
-162.26%-139K
-136.61%-433K
-48.62%-162K
338.46%285K
-365.74%-503K
-70.97%-53K
-135.47%-183K
-23.86%-109K
-79.94%65K
-Change in inventory
57.78%-304K
223.54%824K
91.63%-272K
37.14%613K
131.24%502K
48.28%-720K
4.30%-667K
-2,022.49%-3.25M
-58.38%447K
-2,214.47%-1.61M
-Change in prepaid assets
-22.02%935K
-80.36%-909K
4.48%1.35M
242.16%408K
-72.48%251K
13.87%1.2M
-31.94%-504K
800.00%1.3M
-358.56%-287K
496.52%912K
-Change in payables and accrued expense
22.89%-1.4M
47.95%432K
-126.52%-5.5M
-238.53%-2.6M
61.02%-1.38M
-3,454.90%-1.81M
141.54%292K
22.28%-2.43M
144.29%1.87M
-679.78%-3.55M
-Change in other current assets
-20,000.00%-201K
28.46%158K
-129.43%-226K
-491.96%-439K
-78.64%91K
-100.30%-1K
223.00%123K
58.02%768K
5,700.00%112K
350.59%426K
-Change in other current liabilities
-38.86%-243K
9.53%-408K
----
----
3.39%-228K
-219.86%-175K
-584.95%-451K
----
----
52.32%-236K
-Change in other working capital
74.25%-129K
-173.64%-257K
-80.30%26K
164.97%486K
-151.33%-308K
31.93%-501K
-65.65%349K
120.92%132K
26.23%-748K
360.87%600K
Cash from discontinued investing activities
Operating cash flow
0.78%-2.67M
38.71%1.87M
8.81%-2.37M
56.80%-1.32M
128.30%287K
-400.90%-2.69M
132.93%1.35M
-124.12%-2.6M
-4,147.22%-3.06M
-140.22%-1.01M
Investing cash flow
Cash flow from continuing investing activities
67.20%-82K
41.35%-61K
29.73%-747K
-19.54%-208K
47.59%-185K
27.54%-250K
45.55%-104K
-63.54%-1.06M
-27.01%-174K
-44.08%-353K
Net PPE purchase and sale
67.20%-82K
41.35%-61K
29.63%-748K
-19.54%-208K
47.31%-186K
27.54%-250K
45.55%-104K
-63.54%-1.06M
-27.01%-174K
-44.08%-353K
Net other investing changes
----
----
--1K
--0
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
67.20%-82K
41.35%-61K
29.73%-747K
-19.54%-208K
47.59%-185K
27.54%-250K
45.55%-104K
-63.54%-1.06M
-27.01%-174K
-44.08%-353K
Financing cash flow
Cash flow from continuing financing activities
565.24%3.36M
55.20%-250K
56.06%-1.9M
73.06%-274K
77.43%-349K
41.11%-722K
-2.95%-558K
53.37%-4.33M
68.02%-1.02M
-1,940.48%-1.55M
Net issuance payments of debt
1,432.94%3.36M
-28.87%-250K
-21.30%-991K
-17.09%-274K
-13.87%-271K
---252K
---194K
-87.82%-817K
-108.93%-234K
-168.79%-238K
Net common stock issuance
----
----
91.12%-176K
--0
91.59%-78K
----
----
60.77%-1.98M
---411K
-385.86%-928K
Cash dividends paid
--0
--0
51.17%-748K
--0
--0
4.36%-373K
3.85%-375K
64.76%-1.53M
88.72%-372K
1.30%-380K
Proceeds from stock option exercised by employees
--0
--0
--12K
--0
--0
--1K
--11K
--0
--0
--0
Cash from discontinued financing activities
Financing cash flow
565.24%3.36M
55.20%-250K
56.06%-1.9M
73.06%-274K
77.43%-349K
41.11%-722K
-2.95%-558K
53.37%-4.33M
68.02%-1.02M
-1,940.48%-1.55M
Net cash flow
Beginning cash position
-36.77%9.54M
-38.23%9.39M
-40.71%15.2M
-41.19%9.69M
-51.01%10.77M
-39.16%15.09M
-40.71%15.2M
-6.78%25.63M
-43.60%16.47M
-21.73%21.99M
Current changes in cash
116.70%611K
126.85%1.56M
37.20%-5.02M
57.57%-1.8M
91.52%-247K
-439.68%-3.66M
550.33%689K
-1,057.25%-7.99M
-25.38%-4.25M
-223.43%-2.91M
Effect of exchange rate changes
199.55%657K
-77.11%-1.41M
67.65%-790K
-49.48%1.5M
67.79%-838K
69.19%-660K
-18.13%-795K
9.56%-2.44M
1,734.62%2.98M
-108.66%-2.6M
End cash Position
0.35%10.81M
-36.77%9.54M
-38.23%9.39M
-38.23%9.39M
-41.19%9.69M
-51.01%10.77M
-39.16%15.09M
-40.71%15.2M
-40.71%15.2M
-43.60%16.47M
Free cash flow
6.44%-2.75M
45.39%1.81M
14.86%-3.12M
52.69%-1.53M
107.39%101K
-635.95%-2.94M
220.57%1.25M
-136.17%-3.66M
-1,446.41%-3.23M
-160.06%-1.37M
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
--
--
(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 0.78%-2.67M38.71%1.87M8.81%-2.37M56.80%-1.32M128.30%287K-400.90%-2.69M132.93%1.35M-124.12%-2.6M-4,147.22%-3.06M-140.22%-1.01M
Net income from continuing operations 43.53%-624K95.36%1.18M50.13%-2.24M73.02%-1.76M-98.49%18K-259.22%-1.11M350.75%604K-145.62%-4.49M-351.41%-6.51M-59.35%1.19M
Operating gains losses --------135.00%7K--0-------------155.56%-20K-1,600.00%-17K----
Depreciation and amortization 0.00%387K7.49%416K0.06%1.63M45.32%404K-37.15%450K28.57%387K16.57%387K-5.35%1.63M-22.56%278K75.49%716K
Deferred tax 15.00%-85K-98.63%6K-90.13%121K-113.27%-182K80.79%-34K-88.68%-100K414.12%437K170.95%1.23M173.39%1.37M-591.67%-177K
Other non cash items -5.15%387K-3.13%402K1.93%1.9M111.32%672K-18.04%409K-29.41%408K-12.26%415K-15.13%1.87M-30.26%318K-44.06%499K
Change In working capital 48.73%-1.29M67.18%-299K-37.85%-5.05M-165.01%-836K76.68%-790K-231.66%-2.51M-13.31%-911K-50.16%-3.66M151.46%1.29M-187.12%-3.39M
-Change in receivables 110.14%51K-162.26%-139K-136.61%-433K-48.62%-162K338.46%285K-365.74%-503K-70.97%-53K-135.47%-183K-23.86%-109K-79.94%65K
-Change in inventory 57.78%-304K223.54%824K91.63%-272K37.14%613K131.24%502K48.28%-720K4.30%-667K-2,022.49%-3.25M-58.38%447K-2,214.47%-1.61M
-Change in prepaid assets -22.02%935K-80.36%-909K4.48%1.35M242.16%408K-72.48%251K13.87%1.2M-31.94%-504K800.00%1.3M-358.56%-287K496.52%912K
-Change in payables and accrued expense 22.89%-1.4M47.95%432K-126.52%-5.5M-238.53%-2.6M61.02%-1.38M-3,454.90%-1.81M141.54%292K22.28%-2.43M144.29%1.87M-679.78%-3.55M
-Change in other current assets -20,000.00%-201K28.46%158K-129.43%-226K-491.96%-439K-78.64%91K-100.30%-1K223.00%123K58.02%768K5,700.00%112K350.59%426K
-Change in other current liabilities -38.86%-243K9.53%-408K--------3.39%-228K-219.86%-175K-584.95%-451K--------52.32%-236K
-Change in other working capital 74.25%-129K-173.64%-257K-80.30%26K164.97%486K-151.33%-308K31.93%-501K-65.65%349K120.92%132K26.23%-748K360.87%600K
Cash from discontinued investing activities
Operating cash flow 0.78%-2.67M38.71%1.87M8.81%-2.37M56.80%-1.32M128.30%287K-400.90%-2.69M132.93%1.35M-124.12%-2.6M-4,147.22%-3.06M-140.22%-1.01M
Investing cash flow
Cash flow from continuing investing activities 67.20%-82K41.35%-61K29.73%-747K-19.54%-208K47.59%-185K27.54%-250K45.55%-104K-63.54%-1.06M-27.01%-174K-44.08%-353K
Net PPE purchase and sale 67.20%-82K41.35%-61K29.63%-748K-19.54%-208K47.31%-186K27.54%-250K45.55%-104K-63.54%-1.06M-27.01%-174K-44.08%-353K
Net other investing changes ----------1K--0------------------------
Cash from discontinued investing activities
Investing cash flow 67.20%-82K41.35%-61K29.73%-747K-19.54%-208K47.59%-185K27.54%-250K45.55%-104K-63.54%-1.06M-27.01%-174K-44.08%-353K
Financing cash flow
Cash flow from continuing financing activities 565.24%3.36M55.20%-250K56.06%-1.9M73.06%-274K77.43%-349K41.11%-722K-2.95%-558K53.37%-4.33M68.02%-1.02M-1,940.48%-1.55M
Net issuance payments of debt 1,432.94%3.36M-28.87%-250K-21.30%-991K-17.09%-274K-13.87%-271K---252K---194K-87.82%-817K-108.93%-234K-168.79%-238K
Net common stock issuance --------91.12%-176K--091.59%-78K--------60.77%-1.98M---411K-385.86%-928K
Cash dividends paid --0--051.17%-748K--0--04.36%-373K3.85%-375K64.76%-1.53M88.72%-372K1.30%-380K
Proceeds from stock option exercised by employees --0--0--12K--0--0--1K--11K--0--0--0
Cash from discontinued financing activities
Financing cash flow 565.24%3.36M55.20%-250K56.06%-1.9M73.06%-274K77.43%-349K41.11%-722K-2.95%-558K53.37%-4.33M68.02%-1.02M-1,940.48%-1.55M
Net cash flow
Beginning cash position -36.77%9.54M-38.23%9.39M-40.71%15.2M-41.19%9.69M-51.01%10.77M-39.16%15.09M-40.71%15.2M-6.78%25.63M-43.60%16.47M-21.73%21.99M
Current changes in cash 116.70%611K126.85%1.56M37.20%-5.02M57.57%-1.8M91.52%-247K-439.68%-3.66M550.33%689K-1,057.25%-7.99M-25.38%-4.25M-223.43%-2.91M
Effect of exchange rate changes 199.55%657K-77.11%-1.41M67.65%-790K-49.48%1.5M67.79%-838K69.19%-660K-18.13%-795K9.56%-2.44M1,734.62%2.98M-108.66%-2.6M
End cash Position 0.35%10.81M-36.77%9.54M-38.23%9.39M-38.23%9.39M-41.19%9.69M-51.01%10.77M-39.16%15.09M-40.71%15.2M-40.71%15.2M-43.60%16.47M
Free cash flow 6.44%-2.75M45.39%1.81M14.86%-3.12M52.69%-1.53M107.39%101K-635.95%-2.94M220.57%1.25M-136.17%-3.66M-1,446.41%-3.23M-160.06%-1.37M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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