US Stock MarketDetailed Quotes

TRNR Interactive Strength

Watchlist
  • 3.120
  • -0.880-22.00%
Close Nov 22 16:00 ET
  • 3.180
  • +0.060+1.92%
Post 20:01 ET
1.95MMarket Cap-1320P/E (TTM)

Interactive Strength Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-58.79%-3.75M
65.94%-2.2M
37.55%-2.96M
56.60%-15.43M
69.17%-1.87M
63.04%-2.36M
47.65%-6.46M
55.97%-4.74M
7.09%-35.55M
51.89%-6.05M
Net income from continuing operations
31.39%-7.14M
21.80%-10.64M
28.61%-11.39M
11.77%-51.37M
39.38%-11.4M
29.46%-10.41M
-13.63%-13.6M
-25.77%-15.96M
-77.30%-58.23M
-44.26%-18.81M
Operating gains losses
-898.17%-1.64M
65.25%1.17M
89.98%-491K
-230.35%-4.02M
-87.98%335K
-54.72%-164K
119.88%708K
-6,074.39%-4.9M
5,811.11%3.08M
2,703.74%2.79M
Depreciation and amortization
-18.10%1.39M
10.25%1.77M
19.43%1.94M
-1.89%6.61M
-18.93%1.67M
-2.47%1.7M
7.99%1.61M
13.07%1.63M
207.26%6.73M
77.10%2.07M
Other non cash items
1,041.32%1.91M
5.18%1.75M
2,196.88%2.68M
124.14%1.89M
158.67%194K
-9.73%167K
865.70%1.66M
-130.99%-128K
121.32%845K
-72.83%75K
Change In working capital
-203.37%-1.56M
161.89%820K
1,161.36%934K
-71.96%699K
-82.18%599K
-26.01%1.51M
50.80%-1.33M
60.18%-88K
140.71%2.49M
254.93%3.36M
-Change in receivables
-14,528.57%-1.01M
-2,633.33%-82K
-281.82%-42K
---1K
--6K
--7K
---3K
---11K
--0
--0
-Change in inventory
132.27%511K
147.27%303K
-519.05%-130K
26.45%-1.79M
-297.22%-1.35M
113.81%220K
-23.03%-641K
97.91%-21K
28.59%-2.44M
139.77%684K
-Change in prepaid assets
-134.03%-179K
3,620.00%176K
-8.27%244K
2,365.00%1.97M
144.33%1.19M
-43.50%526K
99.51%-5K
182.35%266K
102.61%80K
150.16%485K
-Change in payables and accrued expense
-192.86%-702K
178.93%502K
436.19%1.06M
-89.60%563K
-53.58%758K
-80.30%756K
45.13%-636K
-128.53%-315K
12,209.09%5.42M
513.91%1.63M
-Change in other current assets
-285.71%-13K
86.11%-5K
-73.68%5K
-400.00%-9K
-75.00%1K
--7K
---36K
2,000.00%19K
-98.97%3K
-98.32%4K
-Change in other current liabilities
-618.18%-79K
-188.89%-78K
-75.00%-56K
85.81%-83K
97.78%-13K
---11K
---27K
---32K
---585K
---585K
-Change in other working capital
-1,250.00%-92K
-82.61%4K
-2,533.33%-146K
242.86%48K
-99.04%11K
100.71%8K
--23K
50.00%6K
-6.67%14K
8,676.92%1.14M
Cash from discontinued investing activities
Operating cash flow
-58.79%-3.75M
65.94%-2.2M
37.55%-2.96M
56.60%-15.43M
69.17%-1.87M
63.04%-2.36M
47.65%-6.46M
55.97%-4.74M
7.09%-35.55M
51.89%-6.05M
Investing cash flow
Cash flow from continuing investing activities
0
167.04%303K
-311.06%-1.71M
81.32%-1.42M
-146.14%-275K
87.24%-278K
86.48%-452K
84.49%-416K
38.45%-7.61M
120.88%596K
Net PPE purchase and sale
----
----
----
--0
----
----
----
----
78.00%-577K
-154.68%-76K
Net intangibles purchase and sale
--0
167.04%303K
36.78%-263K
79.79%-1.42M
-140.92%-275K
85.77%-278K
86.27%-452K
83.05%-416K
27.79%-7.03M
122.44%672K
Net business purchase and sale
--0
--0
---1.45M
----
----
--0
--0
--0
----
----
Cash from discontinued investing activities
Investing cash flow
--0
167.04%303K
-311.06%-1.71M
81.32%-1.42M
-146.14%-275K
87.24%-278K
86.48%-452K
84.49%-416K
38.45%-7.61M
120.88%596K
Financing cash flow
Cash flow from continuing financing activities
547.47%6.27M
-72.58%2.06M
-25.34%4.62M
-59.05%17.11M
-51.41%2.45M
2,407.14%969K
215.64%7.51M
-82.03%6.18M
-20.36%41.77M
-55.17%5.04M
Net issuance payments of debt
-94.25%64K
137.94%761K
125.37%4.29M
-52.00%4.39M
-24.50%3.37M
6,652.94%1.11M
-189.05%-2.01M
-64.61%1.9M
-36.32%9.14M
23,621.05%4.47M
Net common stock issuance
--7.32M
-88.18%1.28M
-92.37%324K
473.76%15.07M
--0
--0
--10.82M
105.87%4.25M
-35.95%2.63M
--566K
Net preferred stock issuance
----
----
----
--0
----
----
----
----
-1.57%30M
-100.01%-1K
Proceeds from stock option exercised by employees
--0
--92K
--0
150.00%30K
--0
--0
--0
20.00%30K
-75.51%12K
400.00%6K
Net other financing activities
88.97%-16K
----
----
---2.38M
---925K
---145K
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
547.47%6.27M
-72.58%2.06M
-25.34%4.62M
-59.05%17.11M
-51.41%2.45M
2,407.14%969K
215.64%7.51M
-82.03%6.18M
-20.36%41.77M
-55.17%5.04M
Net cash flow
Beginning cash position
-88.88%156K
--0
--0
-86.68%226K
-95.45%30K
-84.86%1.4M
-95.37%1.05M
-86.68%226K
15,327.27%1.7M
-88.75%660K
Current changes in cash
251.20%2.53M
-72.97%160K
-105.26%-54K
118.62%257K
173.86%308K
80.60%-1.67M
104.45%592K
-95.10%1.03M
-175.12%-1.38M
90.06%-417K
Effect of exchange rate changes
-238.72%-412K
98.33%-4K
126.60%54K
-430.77%-483K
-1,888.24%-338K
5,840.00%297K
-146.39%-239K
-1,227.78%-203K
39.74%-91K
-173.91%-17K
End cash Position
7,463.33%2.27M
-88.88%156K
--0
--0
--0
-95.45%30K
-84.86%1.4M
-95.37%1.05M
-86.68%226K
-86.68%226K
Free cash flow
-42.06%-3.75M
71.97%-1.94M
37.49%-3.22M
60.96%-16.85M
60.77%-2.14M
69.20%-2.64M
55.92%-6.91M
61.66%-5.15M
14.74%-43.15M
64.65%-5.46M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -58.79%-3.75M65.94%-2.2M37.55%-2.96M56.60%-15.43M69.17%-1.87M63.04%-2.36M47.65%-6.46M55.97%-4.74M7.09%-35.55M51.89%-6.05M
Net income from continuing operations 31.39%-7.14M21.80%-10.64M28.61%-11.39M11.77%-51.37M39.38%-11.4M29.46%-10.41M-13.63%-13.6M-25.77%-15.96M-77.30%-58.23M-44.26%-18.81M
Operating gains losses -898.17%-1.64M65.25%1.17M89.98%-491K-230.35%-4.02M-87.98%335K-54.72%-164K119.88%708K-6,074.39%-4.9M5,811.11%3.08M2,703.74%2.79M
Depreciation and amortization -18.10%1.39M10.25%1.77M19.43%1.94M-1.89%6.61M-18.93%1.67M-2.47%1.7M7.99%1.61M13.07%1.63M207.26%6.73M77.10%2.07M
Other non cash items 1,041.32%1.91M5.18%1.75M2,196.88%2.68M124.14%1.89M158.67%194K-9.73%167K865.70%1.66M-130.99%-128K121.32%845K-72.83%75K
Change In working capital -203.37%-1.56M161.89%820K1,161.36%934K-71.96%699K-82.18%599K-26.01%1.51M50.80%-1.33M60.18%-88K140.71%2.49M254.93%3.36M
-Change in receivables -14,528.57%-1.01M-2,633.33%-82K-281.82%-42K---1K--6K--7K---3K---11K--0--0
-Change in inventory 132.27%511K147.27%303K-519.05%-130K26.45%-1.79M-297.22%-1.35M113.81%220K-23.03%-641K97.91%-21K28.59%-2.44M139.77%684K
-Change in prepaid assets -134.03%-179K3,620.00%176K-8.27%244K2,365.00%1.97M144.33%1.19M-43.50%526K99.51%-5K182.35%266K102.61%80K150.16%485K
-Change in payables and accrued expense -192.86%-702K178.93%502K436.19%1.06M-89.60%563K-53.58%758K-80.30%756K45.13%-636K-128.53%-315K12,209.09%5.42M513.91%1.63M
-Change in other current assets -285.71%-13K86.11%-5K-73.68%5K-400.00%-9K-75.00%1K--7K---36K2,000.00%19K-98.97%3K-98.32%4K
-Change in other current liabilities -618.18%-79K-188.89%-78K-75.00%-56K85.81%-83K97.78%-13K---11K---27K---32K---585K---585K
-Change in other working capital -1,250.00%-92K-82.61%4K-2,533.33%-146K242.86%48K-99.04%11K100.71%8K--23K50.00%6K-6.67%14K8,676.92%1.14M
Cash from discontinued investing activities
Operating cash flow -58.79%-3.75M65.94%-2.2M37.55%-2.96M56.60%-15.43M69.17%-1.87M63.04%-2.36M47.65%-6.46M55.97%-4.74M7.09%-35.55M51.89%-6.05M
Investing cash flow
Cash flow from continuing investing activities 0167.04%303K-311.06%-1.71M81.32%-1.42M-146.14%-275K87.24%-278K86.48%-452K84.49%-416K38.45%-7.61M120.88%596K
Net PPE purchase and sale --------------0----------------78.00%-577K-154.68%-76K
Net intangibles purchase and sale --0167.04%303K36.78%-263K79.79%-1.42M-140.92%-275K85.77%-278K86.27%-452K83.05%-416K27.79%-7.03M122.44%672K
Net business purchase and sale --0--0---1.45M----------0--0--0--------
Cash from discontinued investing activities
Investing cash flow --0167.04%303K-311.06%-1.71M81.32%-1.42M-146.14%-275K87.24%-278K86.48%-452K84.49%-416K38.45%-7.61M120.88%596K
Financing cash flow
Cash flow from continuing financing activities 547.47%6.27M-72.58%2.06M-25.34%4.62M-59.05%17.11M-51.41%2.45M2,407.14%969K215.64%7.51M-82.03%6.18M-20.36%41.77M-55.17%5.04M
Net issuance payments of debt -94.25%64K137.94%761K125.37%4.29M-52.00%4.39M-24.50%3.37M6,652.94%1.11M-189.05%-2.01M-64.61%1.9M-36.32%9.14M23,621.05%4.47M
Net common stock issuance --7.32M-88.18%1.28M-92.37%324K473.76%15.07M--0--0--10.82M105.87%4.25M-35.95%2.63M--566K
Net preferred stock issuance --------------0-----------------1.57%30M-100.01%-1K
Proceeds from stock option exercised by employees --0--92K--0150.00%30K--0--0--020.00%30K-75.51%12K400.00%6K
Net other financing activities 88.97%-16K-----------2.38M---925K---145K----------------
Cash from discontinued financing activities
Financing cash flow 547.47%6.27M-72.58%2.06M-25.34%4.62M-59.05%17.11M-51.41%2.45M2,407.14%969K215.64%7.51M-82.03%6.18M-20.36%41.77M-55.17%5.04M
Net cash flow
Beginning cash position -88.88%156K--0--0-86.68%226K-95.45%30K-84.86%1.4M-95.37%1.05M-86.68%226K15,327.27%1.7M-88.75%660K
Current changes in cash 251.20%2.53M-72.97%160K-105.26%-54K118.62%257K173.86%308K80.60%-1.67M104.45%592K-95.10%1.03M-175.12%-1.38M90.06%-417K
Effect of exchange rate changes -238.72%-412K98.33%-4K126.60%54K-430.77%-483K-1,888.24%-338K5,840.00%297K-146.39%-239K-1,227.78%-203K39.74%-91K-173.91%-17K
End cash Position 7,463.33%2.27M-88.88%156K--0--0--0-95.45%30K-84.86%1.4M-95.37%1.05M-86.68%226K-86.68%226K
Free cash flow -42.06%-3.75M71.97%-1.94M37.49%-3.22M60.96%-16.85M60.77%-2.14M69.20%-2.64M55.92%-6.91M61.66%-5.15M14.74%-43.15M64.65%-5.46M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

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Price Target

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