US Stock MarketDetailed Quotes

TMGI MARQUIE GROUP INC

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  • 0.000
  • 0.000-99.00%
15min DelayClose Nov 27 16:00 ET
3.89KMarket Cap-1P/E (TTM)

MARQUIE GROUP INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Aug 31, 2024
(FY)May 31, 2024
(Q4)May 31, 2024
(Q3)Feb 29, 2024
(Q2)Nov 30, 2023
(Q1)Aug 31, 2023
(FY)May 31, 2023
(Q4)May 31, 2023
(Q3)Feb 28, 2023
(Q2)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
--0
--0
--0
4,704.44%2.16K
210.33%2.43K
--117
--0
--0
-99.79%45
--784
-Cash and cash equivalents
--0
--0
--0
4,704.44%2.16K
210.33%2.43K
--117
--0
--0
-99.79%45
--784
Total current assets
--0
--0
--0
4,704.44%2.16K
210.33%2.43K
--117
--0
--0
-99.79%45
--784
Non current assets
Goodwill and other intangible assets
7.72%11.17K
7.72%11.17K
7.72%11.17K
7.72%11.17K
0.00%10.37K
0.00%10.37K
0.00%10.37K
0.00%10.37K
-19.78%10.37K
0.00%10.37K
-Other intangible assets
7.72%11.17K
7.72%11.17K
7.72%11.17K
7.72%11.17K
0.00%10.37K
0.00%10.37K
0.00%10.37K
0.00%10.37K
-19.78%10.37K
0.00%10.37K
Investments and advances
0.00%6.2M
0.00%6.2M
0.00%6.2M
0.00%6.2M
0.00%6.2M
--6.2M
--6.2M
--6.2M
--6.2M
--6.2M
Long-term notes receivables
24.75%35.24K
24.75%35.24K
24.75%35.24K
51.58%35.24K
205.47%28.25K
--28.25K
--28.25K
--28.25K
--23.25K
--9.25K
Other non current assets
-8.15%642
-20.88%735
-20.88%735
-23.90%882
-65.23%483
-60.69%699
-57.13%929
-57.13%929
--1.16K
-52.84%1.39K
Total non current assets
0.12%6.25M
0.12%6.25M
0.12%6.25M
0.20%6.25M
0.29%6.24M
51,281.96%6.24M
49,688.87%6.24M
49,688.87%6.24M
48,153.01%6.23M
46,639.30%6.22M
Total assets
0.12%6.25M
0.12%6.25M
0.12%6.25M
0.23%6.25M
0.32%6.24M
51,282.92%6.24M
48,324.84%6.24M
48,324.84%6.24M
17,804.30%6.23M
46,645.19%6.22M
Liabilities
Current liabilities
Payables
13.95%77.07K
52.13%77.07K
52.13%77.07K
1.79%70.66K
-1.85%70K
21.16%67.64K
43.10%50.66K
43.10%50.66K
98.05%69.41K
113.23%71.32K
-accounts payable
13.95%77.07K
52.13%77.07K
52.13%77.07K
1.79%70.66K
-1.85%70K
21.16%67.64K
43.10%50.66K
43.10%50.66K
98.05%69.41K
113.23%71.32K
Current accrued expenses
26.98%2.38M
29.38%2.23M
29.38%2.23M
37.20%2.16M
40.05%2.01M
38.45%1.87M
36.78%1.72M
36.78%1.72M
26.52%1.57M
5.22%1.43M
Current debt and capital lease obligation
-1.20%3.54M
-1.09%3.52M
-1.09%3.52M
3.31%3.63M
2.26%3.57M
126.46%3.58M
128.73%3.56M
128.73%3.56M
147.47%3.51M
139.88%3.49M
-Current debt
-1.20%3.54M
-1.09%3.52M
-1.09%3.52M
3.31%3.63M
2.26%3.57M
126.46%3.58M
128.73%3.56M
128.73%3.56M
147.47%3.51M
139.88%3.49M
Other current liabilities
-50.62%243.35K
-80.10%206.11K
-80.10%206.11K
-60.75%603.14K
-86.84%370.3K
-82.51%492.78K
-63.22%1.04M
-63.22%1.04M
109.40%1.54M
-19.96%2.81M
Current liabilities
3.70%6.24M
-5.28%6.03M
-5.28%6.03M
-3.44%6.46M
-22.95%6.02M
3.56%6.01M
12.33%6.37M
12.33%6.37M
94.97%6.69M
22.63%7.81M
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
3.70%6.24M
-5.28%6.03M
-5.28%6.03M
-3.44%6.46M
-22.95%6.02M
3.56%6.01M
12.33%6.37M
12.33%6.37M
94.97%6.69M
22.63%7.81M
Shareholders'equity
Share capital
339.52%332.56K
339.52%332.56K
339.52%332.56K
86.46%141.08K
52.57%115.44K
4,567.67%75.66K
4,567.67%75.66K
4,567.67%75.66K
-94.60%75.66K
-92.64%75.66K
-common stock
339.52%332.56K
339.52%332.56K
339.52%332.56K
86.46%141.08K
52.57%115.44K
4,567.67%75.66K
4,567.67%75.66K
4,567.67%75.66K
-94.60%75.66K
-92.64%75.66K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-5.04%-15.07M
-1.13%-14.86M
-1.13%-14.86M
0.61%-14.94M
10.39%-14.48M
10.44%-14.34M
7.43%-14.7M
7.43%-14.7M
-14.53%-15.03M
-8.50%-16.16M
Paid-in capital
1.80%14.75M
1.74%14.75M
1.74%14.75M
0.61%14.58M
0.64%14.58M
41.84%14.49M
41.92%14.5M
41.92%14.5M
74.23%14.49M
93.14%14.49M
Other equity interest
----
----
----
0.00%8.46K
0.00%8.46K
0.00%8.46K
----
----
0.00%8.46K
0.00%8.46K
Total stockholders'equity
-94.92%11.49K
270.41%216.44K
270.41%216.44K
53.41%-213.46K
114.16%224.8K
103.90%226.07K
97.75%-127.01K
97.75%-127.01K
86.52%-458.17K
75.02%-1.59M
Total equity
-94.92%11.49K
270.41%216.44K
270.41%216.44K
53.41%-213.46K
114.16%224.8K
103.90%226.07K
97.75%-127.01K
97.75%-127.01K
86.52%-458.17K
75.02%-1.59M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Aug 31, 2024(FY)May 31, 2024(Q4)May 31, 2024(Q3)Feb 29, 2024(Q2)Nov 30, 2023(Q1)Aug 31, 2023(FY)May 31, 2023(Q4)May 31, 2023(Q3)Feb 28, 2023(Q2)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments --0--0--04,704.44%2.16K210.33%2.43K--117--0--0-99.79%45--784
-Cash and cash equivalents --0--0--04,704.44%2.16K210.33%2.43K--117--0--0-99.79%45--784
Total current assets --0--0--04,704.44%2.16K210.33%2.43K--117--0--0-99.79%45--784
Non current assets
Goodwill and other intangible assets 7.72%11.17K7.72%11.17K7.72%11.17K7.72%11.17K0.00%10.37K0.00%10.37K0.00%10.37K0.00%10.37K-19.78%10.37K0.00%10.37K
-Other intangible assets 7.72%11.17K7.72%11.17K7.72%11.17K7.72%11.17K0.00%10.37K0.00%10.37K0.00%10.37K0.00%10.37K-19.78%10.37K0.00%10.37K
Investments and advances 0.00%6.2M0.00%6.2M0.00%6.2M0.00%6.2M0.00%6.2M--6.2M--6.2M--6.2M--6.2M--6.2M
Long-term notes receivables 24.75%35.24K24.75%35.24K24.75%35.24K51.58%35.24K205.47%28.25K--28.25K--28.25K--28.25K--23.25K--9.25K
Other non current assets -8.15%642-20.88%735-20.88%735-23.90%882-65.23%483-60.69%699-57.13%929-57.13%929--1.16K-52.84%1.39K
Total non current assets 0.12%6.25M0.12%6.25M0.12%6.25M0.20%6.25M0.29%6.24M51,281.96%6.24M49,688.87%6.24M49,688.87%6.24M48,153.01%6.23M46,639.30%6.22M
Total assets 0.12%6.25M0.12%6.25M0.12%6.25M0.23%6.25M0.32%6.24M51,282.92%6.24M48,324.84%6.24M48,324.84%6.24M17,804.30%6.23M46,645.19%6.22M
Liabilities
Current liabilities
Payables 13.95%77.07K52.13%77.07K52.13%77.07K1.79%70.66K-1.85%70K21.16%67.64K43.10%50.66K43.10%50.66K98.05%69.41K113.23%71.32K
-accounts payable 13.95%77.07K52.13%77.07K52.13%77.07K1.79%70.66K-1.85%70K21.16%67.64K43.10%50.66K43.10%50.66K98.05%69.41K113.23%71.32K
Current accrued expenses 26.98%2.38M29.38%2.23M29.38%2.23M37.20%2.16M40.05%2.01M38.45%1.87M36.78%1.72M36.78%1.72M26.52%1.57M5.22%1.43M
Current debt and capital lease obligation -1.20%3.54M-1.09%3.52M-1.09%3.52M3.31%3.63M2.26%3.57M126.46%3.58M128.73%3.56M128.73%3.56M147.47%3.51M139.88%3.49M
-Current debt -1.20%3.54M-1.09%3.52M-1.09%3.52M3.31%3.63M2.26%3.57M126.46%3.58M128.73%3.56M128.73%3.56M147.47%3.51M139.88%3.49M
Other current liabilities -50.62%243.35K-80.10%206.11K-80.10%206.11K-60.75%603.14K-86.84%370.3K-82.51%492.78K-63.22%1.04M-63.22%1.04M109.40%1.54M-19.96%2.81M
Current liabilities 3.70%6.24M-5.28%6.03M-5.28%6.03M-3.44%6.46M-22.95%6.02M3.56%6.01M12.33%6.37M12.33%6.37M94.97%6.69M22.63%7.81M
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 3.70%6.24M-5.28%6.03M-5.28%6.03M-3.44%6.46M-22.95%6.02M3.56%6.01M12.33%6.37M12.33%6.37M94.97%6.69M22.63%7.81M
Shareholders'equity
Share capital 339.52%332.56K339.52%332.56K339.52%332.56K86.46%141.08K52.57%115.44K4,567.67%75.66K4,567.67%75.66K4,567.67%75.66K-94.60%75.66K-92.64%75.66K
-common stock 339.52%332.56K339.52%332.56K339.52%332.56K86.46%141.08K52.57%115.44K4,567.67%75.66K4,567.67%75.66K4,567.67%75.66K-94.60%75.66K-92.64%75.66K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -5.04%-15.07M-1.13%-14.86M-1.13%-14.86M0.61%-14.94M10.39%-14.48M10.44%-14.34M7.43%-14.7M7.43%-14.7M-14.53%-15.03M-8.50%-16.16M
Paid-in capital 1.80%14.75M1.74%14.75M1.74%14.75M0.61%14.58M0.64%14.58M41.84%14.49M41.92%14.5M41.92%14.5M74.23%14.49M93.14%14.49M
Other equity interest ------------0.00%8.46K0.00%8.46K0.00%8.46K--------0.00%8.46K0.00%8.46K
Total stockholders'equity -94.92%11.49K270.41%216.44K270.41%216.44K53.41%-213.46K114.16%224.8K103.90%226.07K97.75%-127.01K97.75%-127.01K86.52%-458.17K75.02%-1.59M
Total equity -94.92%11.49K270.41%216.44K270.41%216.44K53.41%-213.46K114.16%224.8K103.90%226.07K97.75%-127.01K97.75%-127.01K86.52%-458.17K75.02%-1.59M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion with Explanatory Notes------

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