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MARK OTC

Remark Holdings, Inc.
1W: +0.0% 1M: +50.0% 3M: -80.0% YTD: -91.4% 1Y: -94.1% 3Y: -99.9% 5Y: -100.0%
$0.00
+0.00 (+0.00%)
 
Weekly Expected Move ±52.1%
$-0 $0 $0 $0 $0
OTC · Technology · Software - Infrastructure · Tech Score Neutral · Power 50 · $18571 mcap · 61M float · 0.030% daily turnover · Short 26% of daily vol

Cash Flow Trends

Operating Cash Flow
-$10M +37.1% ▲
Capital Expenditures
$51K +96.6% ▲
5Y CAGR: -56.0%
Free Cash Flow
-$11M +42.0% ▲
Dividends Paid
$0 +0.0% ▲
Buybacks
$0 +0.0% ▲
Net Change in Cash
$93K +100.7% ▲

Cash Flow Composition

Year-over-Year Growth

View Full Cash Flow Statement
Line ItemFY2019FY2020FY2021FY2022FY2023
— Operating Activities —
Net Income-$23M-$14M$27M-$55M-$29M
Depreciation & Amort.$982K$308K$191K$166K$285K
Stock-Based Comp.$319K$797K$4M$2M$157K
Change in Working Capital$5M-$5M-$9M$4M$5M
Other Non-Cash Items$2M$269K$954K$33M$13M
Operating Cash Flow-$20M-$18M-$20M-$17M-$10M
— Investing Activities —
Capital Expenditures-$135K-$290K-$223K-$2M-$51K
Acquisitions (Net)$30M-$860K$0$0$0
Investment Purchases$0$0$0$0$0
Investment Sales$0$0$2M$6M$0
Other Investing-$18M$860K$0$0$0
Investing Cash Flow$11M-$290K$2M$5M-$51K
— Financing Activities —
Net Debt Issuance-$26M-$12M$26M-$4M$11M
Stock Repurchased$0$0$0$0$0
Dividends Paid$0$0$0$0$0
Other Financing-$2M-$860K$0$1M-$11M
Financing Cash Flow-$17M$19M$31M-$2M$11M
Net Change in Cash-$25M$582K$13M-$14M$93K
Cash End of Period$272K$854K$14M$52K$145K
Free Cash Flow-$20M-$18M-$20M-$18M-$11M

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms