US Stock MarketDetailed Quotes

RUM Rumble

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  • 6.965
  • -0.145-2.04%
Close Jul 17 16:00 ET
  • 7.029
  • +0.064+0.92%
Post 19:55 ET
1.96BMarket Cap-10715P/E (TTM)

Rumble Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-43.66%183.83M
-35.12%219.47M
-35.12%219.47M
-25.14%267.02M
784.78%296.66M
688.58%326.3M
622.07%338.27M
622.07%338.27M
1,363.69%356.68M
--33.53M
-Cash and cash equivalents
-43.82%182.7M
-35.24%218.34M
-35.24%218.34M
-25.46%265.88M
781.50%295.56M
685.92%325.2M
619.72%337.17M
619.72%337.17M
1,363.69%356.68M
--33.53M
-Short-term investments
3.20%1.14M
3.20%1.14M
3.20%1.14M
--1.14M
--1.1M
--1.1M
--1.1M
--1.1M
----
----
Receivables
8.61%5.99M
14.58%5.44M
14.58%5.44M
-21.71%6.15M
224.65%6.86M
137.69%5.51M
253.12%4.75M
253.12%4.75M
948.17%7.86M
--2.11M
-Accounts receivable
8.61%5.99M
14.58%5.44M
14.58%5.44M
-21.73%6.15M
224.65%6.86M
137.69%5.51M
253.12%4.75M
253.12%4.75M
948.17%7.86M
--2.11M
-Taxes receivable
----
----
----
--1.36K
----
----
----
----
----
----
Prepaid assets
----
----
----
----
----
----
----
----
1,044.35%3.44M
--3.71M
Other current assets
121.11%15.47M
40.11%13.09M
40.11%13.09M
--13.19M
--15.65M
--7M
1,104.60%9.34M
1,104.60%9.34M
----
----
Total current assets
-39.41%205.29M
-32.45%238M
-32.45%238M
-22.18%286.36M
711.12%319.17M
649.14%338.81M
619.58%352.36M
619.58%352.36M
1,347.65%367.98M
--39.35M
Non current assets
Net PPE
92.35%21.78M
117.28%22.16M
117.28%22.16M
145.43%19.72M
145.96%16.37M
140.66%11.32M
263.96%10.2M
263.96%10.2M
1,450.97%8.04M
--6.66M
-Gross PPE
111.87%28.84M
135.58%27.84M
135.58%27.84M
157.86%23.83M
162.68%19.49M
164.15%13.61M
288.38%11.82M
288.38%11.82M
1,300.28%9.24M
--7.42M
-Accumulated depreciation
-208.40%-7.06M
-251.21%-5.67M
-251.21%-5.67M
-240.72%-4.11M
-307.88%-3.12M
-410.42%-2.29M
-573.97%-1.61M
-573.97%-1.61M
-749.99%-1.21M
---766.1K
Goodwill and other intangible assets
780.54%34.06M
775.48%33.92M
775.48%33.92M
550.67%23.46M
526.99%23.32M
0.87%3.87M
-1.88%3.87M
-1.88%3.87M
488.90%3.61M
--3.72M
-Goodwill
1,507.39%10.66M
1,507.39%10.66M
1,507.39%10.66M
1,807.99%12.65M
1,786.31%12.5M
0.00%662.9K
0.00%662.9K
0.00%662.9K
--662.9K
--662.9K
-Other intangible assets
630.19%23.4M
624.39%23.26M
624.39%23.26M
267.46%10.81M
253.93%10.82M
1.05%3.2M
-2.26%3.21M
-2.26%3.21M
380.64%2.94M
--3.06M
Other non current assets
203.29%1.88M
197.08%1.63M
197.08%1.63M
--1.86M
--1.12M
--619.81K
564.53%547.59K
564.53%547.59K
----
----
Total non current assets
265.06%57.71M
294.66%57.71M
294.66%57.71M
286.91%45.04M
293.38%40.81M
85.12%15.81M
113.98%14.62M
113.98%14.62M
929.86%11.64M
--10.38M
Total assets
-25.83%263.01M
-19.42%295.71M
-19.42%295.71M
-12.70%331.4M
623.96%359.99M
559.55%354.62M
557.66%366.98M
557.66%366.98M
1,329.86%379.62M
--49.72M
Liabilities
Current liabilities
Payables
----
72.51%24.71M
72.51%24.71M
163.14%33.51M
199.87%26.51M
109.40%17.59M
109.00%14.33M
109.00%14.33M
216.57%12.74M
--8.84M
-accounts payable
----
72.52%24.71M
72.52%24.71M
168.56%33.51M
199.91%26.51M
109.41%17.59M
109.02%14.32M
109.02%14.32M
210.21%12.48M
--8.84M
-Total tax payable
----
--0
--0
--0
-245.50%-1.36K
0.00%934
0.00%934
0.00%934
73,758.62%257.03K
--934
Current debt and capital lease obligation
152.99%1.23M
67.33%975.84K
67.33%975.84K
15.78%670.79K
-30.16%410.62K
-16.32%485.23K
85.05%583.19K
85.05%583.19K
2,567.70%579.35K
--587.97K
-Current capital lease obligation
152.99%1.23M
67.33%975.84K
67.33%975.84K
15.78%670.79K
-30.16%410.62K
-16.32%485.23K
85.05%583.19K
85.05%583.19K
2,567.70%579.35K
--587.97K
Current deferred liabilities
92.91%7.01M
573.05%7M
573.05%7M
2,372.42%9.12M
2,868.32%10.16M
12,140.01%3.64M
3,367.11%1.04M
3,367.11%1.04M
1,559.57%368.74K
--342.17K
Other current liabilities
--1.64M
--863.64K
--863.64K
--980.98K
--1.72M
----
----
----
----
----
Current liabilities
40.16%30.43M
110.39%33.56M
110.39%33.56M
223.61%44.28M
297.03%38.79M
140.98%21.71M
121.54%15.95M
121.54%15.95M
-25.64%13.68M
--9.77M
Non current liabilities
Long term debt and capital lease obligation
125.77%1.68M
95.09%1.63M
95.09%1.63M
27.02%1.25M
-39.70%671.67K
-40.41%742.83K
-30.06%835.92K
-30.06%835.92K
4,064.14%985.11K
--1.11M
-Long term capital lease obligation
125.77%1.68M
95.09%1.63M
95.09%1.63M
27.02%1.25M
-39.70%671.67K
-40.41%742.83K
-30.06%835.92K
-30.06%835.92K
--985.11K
--1.11M
Derivative product liabilities
0.22%18.43M
-23.51%7.7M
-23.51%7.7M
-62.85%9.42M
--16.91M
--18.39M
--10.06M
--10.06M
--25.36M
----
Preferred securities outside stock equity
----
----
----
----
----
----
----
----
--0
--16.79M
Other non current liabilities
254.00%1.77M
141.14%1.21M
141.14%1.21M
160.32%1.3M
660.80%1.9M
100.00%500K
100.00%500K
100.00%500K
104.28%500K
--250K
Total non current liabilities
11.43%21.88M
-7.59%10.53M
-7.59%10.53M
-55.40%11.97M
7.30%19.48M
7.39%19.64M
-37.49%11.4M
-37.49%11.4M
206.79%26.84M
--18.15M
Total liabilities
26.52%52.31M
61.22%44.09M
61.22%44.09M
38.81%56.25M
108.68%58.27M
51.48%41.35M
7.53%27.35M
7.53%27.35M
49.25%40.53M
--27.92M
Shareholders'equity
Share capital
0.02%768.52K
0.02%768.52K
0.02%768.52K
0.02%768.52K
-98.23%768.51K
-98.23%768.36K
-98.23%768.36K
-98.23%768.36K
27.70%768.36K
--43.35M
-common stock
0.02%768.52K
0.02%768.52K
0.02%768.52K
0.02%768.52K
-98.23%768.51K
-98.23%768.36K
-98.23%768.36K
-98.23%768.36K
27.70%768.36K
--43.35M
-Preferred stock
--0
--0
--0
--0
----
----
--0
--0
----
----
Retained earnings
-228.09%-188.49M
-404.48%-145.2M
-404.48%-145.2M
-316.43%-115.93M
-234.51%-86.9M
-169.84%-57.45M
-65.62%-28.78M
-65.62%-28.78M
-542.93%-27.84M
---25.98M
Paid-in capital
7.69%398.42M
7.73%396.06M
7.73%396.06M
6.59%390.3M
8,661.77%387.85M
8,289.74%369.96M
8,269.61%367.65M
8,269.61%367.65M
11,617.83%366.16M
--4.43M
Total stockholders'equity
-32.74%210.7M
-25.91%251.62M
-25.91%251.62M
-18.86%275.15M
1,283.99%301.72M
1,083.42%313.28M
1,018.42%339.63M
1,018.42%339.63M
56,304.06%339.09M
--21.8M
Total equity
-32.74%210.7M
-25.91%251.62M
-25.91%251.62M
-18.86%275.15M
1,283.99%301.72M
1,083.42%313.28M
1,018.42%339.63M
1,018.42%339.63M
56,304.06%339.09M
--21.8M
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
--
--
--
--
--
--
--
--
(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(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -43.66%183.83M-35.12%219.47M-35.12%219.47M-25.14%267.02M784.78%296.66M688.58%326.3M622.07%338.27M622.07%338.27M1,363.69%356.68M--33.53M
-Cash and cash equivalents -43.82%182.7M-35.24%218.34M-35.24%218.34M-25.46%265.88M781.50%295.56M685.92%325.2M619.72%337.17M619.72%337.17M1,363.69%356.68M--33.53M
-Short-term investments 3.20%1.14M3.20%1.14M3.20%1.14M--1.14M--1.1M--1.1M--1.1M--1.1M--------
Receivables 8.61%5.99M14.58%5.44M14.58%5.44M-21.71%6.15M224.65%6.86M137.69%5.51M253.12%4.75M253.12%4.75M948.17%7.86M--2.11M
-Accounts receivable 8.61%5.99M14.58%5.44M14.58%5.44M-21.73%6.15M224.65%6.86M137.69%5.51M253.12%4.75M253.12%4.75M948.17%7.86M--2.11M
-Taxes receivable --------------1.36K------------------------
Prepaid assets --------------------------------1,044.35%3.44M--3.71M
Other current assets 121.11%15.47M40.11%13.09M40.11%13.09M--13.19M--15.65M--7M1,104.60%9.34M1,104.60%9.34M--------
Total current assets -39.41%205.29M-32.45%238M-32.45%238M-22.18%286.36M711.12%319.17M649.14%338.81M619.58%352.36M619.58%352.36M1,347.65%367.98M--39.35M
Non current assets
Net PPE 92.35%21.78M117.28%22.16M117.28%22.16M145.43%19.72M145.96%16.37M140.66%11.32M263.96%10.2M263.96%10.2M1,450.97%8.04M--6.66M
-Gross PPE 111.87%28.84M135.58%27.84M135.58%27.84M157.86%23.83M162.68%19.49M164.15%13.61M288.38%11.82M288.38%11.82M1,300.28%9.24M--7.42M
-Accumulated depreciation -208.40%-7.06M-251.21%-5.67M-251.21%-5.67M-240.72%-4.11M-307.88%-3.12M-410.42%-2.29M-573.97%-1.61M-573.97%-1.61M-749.99%-1.21M---766.1K
Goodwill and other intangible assets 780.54%34.06M775.48%33.92M775.48%33.92M550.67%23.46M526.99%23.32M0.87%3.87M-1.88%3.87M-1.88%3.87M488.90%3.61M--3.72M
-Goodwill 1,507.39%10.66M1,507.39%10.66M1,507.39%10.66M1,807.99%12.65M1,786.31%12.5M0.00%662.9K0.00%662.9K0.00%662.9K--662.9K--662.9K
-Other intangible assets 630.19%23.4M624.39%23.26M624.39%23.26M267.46%10.81M253.93%10.82M1.05%3.2M-2.26%3.21M-2.26%3.21M380.64%2.94M--3.06M
Other non current assets 203.29%1.88M197.08%1.63M197.08%1.63M--1.86M--1.12M--619.81K564.53%547.59K564.53%547.59K--------
Total non current assets 265.06%57.71M294.66%57.71M294.66%57.71M286.91%45.04M293.38%40.81M85.12%15.81M113.98%14.62M113.98%14.62M929.86%11.64M--10.38M
Total assets -25.83%263.01M-19.42%295.71M-19.42%295.71M-12.70%331.4M623.96%359.99M559.55%354.62M557.66%366.98M557.66%366.98M1,329.86%379.62M--49.72M
Liabilities
Current liabilities
Payables ----72.51%24.71M72.51%24.71M163.14%33.51M199.87%26.51M109.40%17.59M109.00%14.33M109.00%14.33M216.57%12.74M--8.84M
-accounts payable ----72.52%24.71M72.52%24.71M168.56%33.51M199.91%26.51M109.41%17.59M109.02%14.32M109.02%14.32M210.21%12.48M--8.84M
-Total tax payable ------0--0--0-245.50%-1.36K0.00%9340.00%9340.00%93473,758.62%257.03K--934
Current debt and capital lease obligation 152.99%1.23M67.33%975.84K67.33%975.84K15.78%670.79K-30.16%410.62K-16.32%485.23K85.05%583.19K85.05%583.19K2,567.70%579.35K--587.97K
-Current capital lease obligation 152.99%1.23M67.33%975.84K67.33%975.84K15.78%670.79K-30.16%410.62K-16.32%485.23K85.05%583.19K85.05%583.19K2,567.70%579.35K--587.97K
Current deferred liabilities 92.91%7.01M573.05%7M573.05%7M2,372.42%9.12M2,868.32%10.16M12,140.01%3.64M3,367.11%1.04M3,367.11%1.04M1,559.57%368.74K--342.17K
Other current liabilities --1.64M--863.64K--863.64K--980.98K--1.72M--------------------
Current liabilities 40.16%30.43M110.39%33.56M110.39%33.56M223.61%44.28M297.03%38.79M140.98%21.71M121.54%15.95M121.54%15.95M-25.64%13.68M--9.77M
Non current liabilities
Long term debt and capital lease obligation 125.77%1.68M95.09%1.63M95.09%1.63M27.02%1.25M-39.70%671.67K-40.41%742.83K-30.06%835.92K-30.06%835.92K4,064.14%985.11K--1.11M
-Long term capital lease obligation 125.77%1.68M95.09%1.63M95.09%1.63M27.02%1.25M-39.70%671.67K-40.41%742.83K-30.06%835.92K-30.06%835.92K--985.11K--1.11M
Derivative product liabilities 0.22%18.43M-23.51%7.7M-23.51%7.7M-62.85%9.42M--16.91M--18.39M--10.06M--10.06M--25.36M----
Preferred securities outside stock equity ----------------------------------0--16.79M
Other non current liabilities 254.00%1.77M141.14%1.21M141.14%1.21M160.32%1.3M660.80%1.9M100.00%500K100.00%500K100.00%500K104.28%500K--250K
Total non current liabilities 11.43%21.88M-7.59%10.53M-7.59%10.53M-55.40%11.97M7.30%19.48M7.39%19.64M-37.49%11.4M-37.49%11.4M206.79%26.84M--18.15M
Total liabilities 26.52%52.31M61.22%44.09M61.22%44.09M38.81%56.25M108.68%58.27M51.48%41.35M7.53%27.35M7.53%27.35M49.25%40.53M--27.92M
Shareholders'equity
Share capital 0.02%768.52K0.02%768.52K0.02%768.52K0.02%768.52K-98.23%768.51K-98.23%768.36K-98.23%768.36K-98.23%768.36K27.70%768.36K--43.35M
-common stock 0.02%768.52K0.02%768.52K0.02%768.52K0.02%768.52K-98.23%768.51K-98.23%768.36K-98.23%768.36K-98.23%768.36K27.70%768.36K--43.35M
-Preferred stock --0--0--0--0----------0--0--------
Retained earnings -228.09%-188.49M-404.48%-145.2M-404.48%-145.2M-316.43%-115.93M-234.51%-86.9M-169.84%-57.45M-65.62%-28.78M-65.62%-28.78M-542.93%-27.84M---25.98M
Paid-in capital 7.69%398.42M7.73%396.06M7.73%396.06M6.59%390.3M8,661.77%387.85M8,289.74%369.96M8,269.61%367.65M8,269.61%367.65M11,617.83%366.16M--4.43M
Total stockholders'equity -32.74%210.7M-25.91%251.62M-25.91%251.62M-18.86%275.15M1,283.99%301.72M1,083.42%313.28M1,018.42%339.63M1,018.42%339.63M56,304.06%339.09M--21.8M
Total equity -32.74%210.7M-25.91%251.62M-25.91%251.62M-18.86%275.15M1,283.99%301.72M1,083.42%313.28M1,018.42%339.63M1,018.42%339.63M56,304.06%339.09M--21.8M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

Analysis

Analyst Rating

No Data

Price Target

No Data

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