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WBTN WEBTOON Entertainment

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  • 8.980
  • -1.050-10.47%
Close Feb 26 16:00 ET
  • 9.080
  • +0.100+1.11%
Post 19:12 ET
1.15BMarket Cap-8.03P/E (TTM)

WEBTOON Entertainment Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
20.80%17.88M
-218.82%-8.66M
-91.40%4.15M
91.19%-1.46M
199.10%23.86M
110.53%14.8M
7.29M
48.18M
-16.59M
-24.07M
Net income from continuing operations
-5.63%-152.91M
-7.66%-102.56M
274.53%19.99M
-287.69%-76.57M
134.08%6.23M
-9.23%-144.76M
---95.27M
---11.45M
---19.75M
---18.29M
Operating gains losses
-97.82%880K
-79.15%7.45M
-620.09%-5.54M
-131.83%-1.32M
157.91%282K
97.25%40.46M
--35.74M
--1.07M
--4.14M
---487K
Depreciation and amortization
4.47%40.07M
16.37%12.12M
8.98%10M
-4.04%8.92M
-4.63%9.04M
10.43%38.36M
--10.42M
--9.18M
--9.29M
--9.47M
Deferred tax
-57.55%-24.54M
93.93%-837K
-1,616.49%-16.24M
-321.44%-6.45M
-246.88%-1.01M
-117.96%-15.57M
---13.79M
---946K
---1.53M
--689K
Other non cash items
-39.87%5.07M
-96.11%115K
470.93%4.81M
-219.32%-3.35M
-11.99%3.49M
-12.67%8.43M
--2.96M
---1.3M
--2.81M
--3.97M
Change In working capital
-165.98%-13.85M
-353.52%-13.51M
-147.94%-24.11M
257.36%19.91M
117.54%3.85M
130.55%20.99M
--5.33M
--50.29M
---12.65M
---21.97M
-Change in receivables
-177.83%-24.06M
-93.33%1.64M
-93.06%2.56M
23.12%-16.55M
-28.56%-11.72M
-25.96%30.92M
--24.64M
--36.92M
---21.53M
---9.11M
-Change in prepaid assets
--2.44M
----
----
----
----
----
----
----
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-Change in payables and accrued expense
2,125.40%31.33M
95.19%-1.08M
-297.08%-14.55M
259.45%44.09M
-76.49%2.87M
97.63%-1.55M
---22.35M
---3.66M
--12.27M
--12.2M
-Change in other current assets
-450.79%-35.93M
287.27%10.41M
-1,768.54%-27.85M
-2,395.53%-12.85M
45.64%-5.63M
81.46%-6.52M
--2.69M
--1.67M
---515K
---10.36M
-Change in other current liabilities
-213.32%-9.22M
-188.88%-14.16M
1,057.89%9.68M
181.36%1.05M
68.54%-5.79M
77.86%-2.94M
--15.93M
--836K
---1.29M
---18.42M
-Change in other working capital
1,883.82%21.58M
18.11%-12.76M
-58.38%6.04M
364.62%4.17M
547.12%24.13M
-65.74%1.09M
---15.59M
--14.52M
---1.58M
--3.73M
Cash from discontinued investing activities
Operating cash flow
20.80%17.88M
-218.82%-8.66M
-91.40%4.15M
91.19%-1.46M
199.10%23.86M
110.53%14.8M
--7.29M
--48.18M
---16.59M
---24.07M
Investing cash flow
Cash flow from continuing investing activities
66.77%-17.28M
12.52%-6.05M
79.98%-3.92M
361.00%20.51M
7.04%-27.82M
-2.52%-51.98M
-6.91M
-19.6M
4.45M
-29.92M
Net PPE purchase and sale
142.88%4.09M
1,719.53%5.4M
-24.07%-634K
81.75%-207K
94.24%-472K
-356.90%-9.54M
--297K
---511K
---1.13M
---8.19M
Net intangibles purchase and sale
11.51%-10.75M
24.22%-3.07M
-2.80%-3.01M
37.40%-2.08M
-40.15%-2.59M
34.33%-12.14M
---4.05M
---2.93M
---3.32M
---1.85M
Net business purchase and sale
-151.07%-3.45M
-160.03%-3.26M
295.24%41K
256.33%5.61M
-2,448.47%-5.84M
145.98%6.75M
--5.42M
---21K
--1.57M
---229K
Net investment purchase and sale
71.66%-7.38M
53.19%-5.19M
97.12%-430K
117.93%17.11M
-140.33%-18.87M
-109.21%-26.05M
---11.1M
---14.95M
--7.85M
---7.85M
Net other investing changes
101.87%206K
-97.37%66K
109.13%108K
115.16%79K
99.60%-47K
-266.31%-10.99M
--2.51M
---1.18M
---521K
---11.8M
Cash from discontinued investing activities
Investing cash flow
66.77%-17.28M
12.52%-6.05M
79.98%-3.92M
361.00%20.51M
7.04%-27.82M
-2.52%-51.98M
---6.91M
---19.6M
--4.45M
---29.92M
Financing cash flow
Cash flow from continuing financing activities
5,544.95%353.87M
299.00%199K
651.17%17.62M
30,424.93%336.91M
88.77%-857K
-101.86%-6.5M
-100K
2.35M
-1.11M
-7.63M
Net issuance payments of debt
39.40%-3.61M
-96.51%27K
-71.43%8K
-2,715.50%-3.63M
99.77%-15K
80.52%-5.96M
--773K
--28K
---129K
---6.63M
Net common stock issuance
--342.95M
--0
--0
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----
--0
--0
--0
----
----
Proceeds from stock option exercised by employees
--27.53M
--172K
----
----
----
----
----
----
----
----
Net other financing activities
-2,312.43%-13M
--0
-520.93%-9.75M
-145.21%-2.41M
15.88%-842K
98.03%-539K
---873K
--2.32M
---982K
---1M
Cash from discontinued financing activities
Financing cash flow
5,544.95%353.87M
299.00%199K
651.17%17.62M
30,424.93%336.91M
88.77%-857K
-101.86%-6.5M
---100K
--2.35M
---1.11M
---7.63M
Net cash flow
Beginning cash position
-17.15%231.75M
161.11%585.52M
186.88%572.31M
0.01%218.67M
-17.15%231.75M
98.24%279.71M
--224.24M
--199.49M
--218.64M
--279.71M
Current changes in cash
911.58%354.47M
-5,393.07%-14.5M
-42.34%17.84M
2,785.87%355.96M
92.18%-4.82M
-127.46%-43.68M
--274K
--30.93M
---13.25M
---61.63M
Effect of exchange rate changes
-222.30%-13.82M
-80.78%1.39M
25.17%-4.63M
60.59%-2.32M
-1,572.01%-8.26M
79.00%-4.29M
--7.23M
---6.18M
---5.89M
--561K
End cash Position
147.00%572.4M
147.00%572.4M
161.11%585.52M
186.88%572.31M
0.01%218.67M
-17.15%231.75M
--231.75M
--224.24M
--199.49M
--218.64M
Free cash flow
162.80%4.73M
-545.55%-12.81M
-98.88%502K
82.19%-3.75M
160.96%20.79M
95.34%-7.54M
--2.88M
--44.74M
---21.05M
---34.11M
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
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 20.80%17.88M-218.82%-8.66M-91.40%4.15M91.19%-1.46M199.10%23.86M110.53%14.8M7.29M48.18M-16.59M-24.07M
Net income from continuing operations -5.63%-152.91M-7.66%-102.56M274.53%19.99M-287.69%-76.57M134.08%6.23M-9.23%-144.76M---95.27M---11.45M---19.75M---18.29M
Operating gains losses -97.82%880K-79.15%7.45M-620.09%-5.54M-131.83%-1.32M157.91%282K97.25%40.46M--35.74M--1.07M--4.14M---487K
Depreciation and amortization 4.47%40.07M16.37%12.12M8.98%10M-4.04%8.92M-4.63%9.04M10.43%38.36M--10.42M--9.18M--9.29M--9.47M
Deferred tax -57.55%-24.54M93.93%-837K-1,616.49%-16.24M-321.44%-6.45M-246.88%-1.01M-117.96%-15.57M---13.79M---946K---1.53M--689K
Other non cash items -39.87%5.07M-96.11%115K470.93%4.81M-219.32%-3.35M-11.99%3.49M-12.67%8.43M--2.96M---1.3M--2.81M--3.97M
Change In working capital -165.98%-13.85M-353.52%-13.51M-147.94%-24.11M257.36%19.91M117.54%3.85M130.55%20.99M--5.33M--50.29M---12.65M---21.97M
-Change in receivables -177.83%-24.06M-93.33%1.64M-93.06%2.56M23.12%-16.55M-28.56%-11.72M-25.96%30.92M--24.64M--36.92M---21.53M---9.11M
-Change in prepaid assets --2.44M------------------------------------
-Change in payables and accrued expense 2,125.40%31.33M95.19%-1.08M-297.08%-14.55M259.45%44.09M-76.49%2.87M97.63%-1.55M---22.35M---3.66M--12.27M--12.2M
-Change in other current assets -450.79%-35.93M287.27%10.41M-1,768.54%-27.85M-2,395.53%-12.85M45.64%-5.63M81.46%-6.52M--2.69M--1.67M---515K---10.36M
-Change in other current liabilities -213.32%-9.22M-188.88%-14.16M1,057.89%9.68M181.36%1.05M68.54%-5.79M77.86%-2.94M--15.93M--836K---1.29M---18.42M
-Change in other working capital 1,883.82%21.58M18.11%-12.76M-58.38%6.04M364.62%4.17M547.12%24.13M-65.74%1.09M---15.59M--14.52M---1.58M--3.73M
Cash from discontinued investing activities
Operating cash flow 20.80%17.88M-218.82%-8.66M-91.40%4.15M91.19%-1.46M199.10%23.86M110.53%14.8M--7.29M--48.18M---16.59M---24.07M
Investing cash flow
Cash flow from continuing investing activities 66.77%-17.28M12.52%-6.05M79.98%-3.92M361.00%20.51M7.04%-27.82M-2.52%-51.98M-6.91M-19.6M4.45M-29.92M
Net PPE purchase and sale 142.88%4.09M1,719.53%5.4M-24.07%-634K81.75%-207K94.24%-472K-356.90%-9.54M--297K---511K---1.13M---8.19M
Net intangibles purchase and sale 11.51%-10.75M24.22%-3.07M-2.80%-3.01M37.40%-2.08M-40.15%-2.59M34.33%-12.14M---4.05M---2.93M---3.32M---1.85M
Net business purchase and sale -151.07%-3.45M-160.03%-3.26M295.24%41K256.33%5.61M-2,448.47%-5.84M145.98%6.75M--5.42M---21K--1.57M---229K
Net investment purchase and sale 71.66%-7.38M53.19%-5.19M97.12%-430K117.93%17.11M-140.33%-18.87M-109.21%-26.05M---11.1M---14.95M--7.85M---7.85M
Net other investing changes 101.87%206K-97.37%66K109.13%108K115.16%79K99.60%-47K-266.31%-10.99M--2.51M---1.18M---521K---11.8M
Cash from discontinued investing activities
Investing cash flow 66.77%-17.28M12.52%-6.05M79.98%-3.92M361.00%20.51M7.04%-27.82M-2.52%-51.98M---6.91M---19.6M--4.45M---29.92M
Financing cash flow
Cash flow from continuing financing activities 5,544.95%353.87M299.00%199K651.17%17.62M30,424.93%336.91M88.77%-857K-101.86%-6.5M-100K2.35M-1.11M-7.63M
Net issuance payments of debt 39.40%-3.61M-96.51%27K-71.43%8K-2,715.50%-3.63M99.77%-15K80.52%-5.96M--773K--28K---129K---6.63M
Net common stock issuance --342.95M--0--0----------0--0--0--------
Proceeds from stock option exercised by employees --27.53M--172K--------------------------------
Net other financing activities -2,312.43%-13M--0-520.93%-9.75M-145.21%-2.41M15.88%-842K98.03%-539K---873K--2.32M---982K---1M
Cash from discontinued financing activities
Financing cash flow 5,544.95%353.87M299.00%199K651.17%17.62M30,424.93%336.91M88.77%-857K-101.86%-6.5M---100K--2.35M---1.11M---7.63M
Net cash flow
Beginning cash position -17.15%231.75M161.11%585.52M186.88%572.31M0.01%218.67M-17.15%231.75M98.24%279.71M--224.24M--199.49M--218.64M--279.71M
Current changes in cash 911.58%354.47M-5,393.07%-14.5M-42.34%17.84M2,785.87%355.96M92.18%-4.82M-127.46%-43.68M--274K--30.93M---13.25M---61.63M
Effect of exchange rate changes -222.30%-13.82M-80.78%1.39M25.17%-4.63M60.59%-2.32M-1,572.01%-8.26M79.00%-4.29M--7.23M---6.18M---5.89M--561K
End cash Position 147.00%572.4M147.00%572.4M161.11%585.52M186.88%572.31M0.01%218.67M-17.15%231.75M--231.75M--224.24M--199.49M--218.64M
Free cash flow 162.80%4.73M-545.55%-12.81M-98.88%502K82.19%-3.75M160.96%20.79M95.34%-7.54M--2.88M--44.74M---21.05M---34.11M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data. Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data.