Creative Media and Community Trust Corporation (CMCT)
NASDAQ
Quarter End | Déc 2022 | Mar 2023 | Juin 2023 | Sept 2023 | Déc 2023 | Mar 2024 | Juin 2024 | Sept 2024 |
---|---|---|---|---|---|---|---|---|
USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | |
Actif total | 690,25M | 957,56M | 919,7M | 898,06M | 891,2M | 887,5M | 891,23M | 868,05M |
Total de l'actif circulant | 90,53M | 80,67M | 85,79M | 69,64M | 70,95M | 72,82M | 77,9M | 60,17M |
Trésorerie et équivalents | 46,19M | 22,49M | 24,56M | 19,26M | 19,29M | 21,31M | 29,32M | 18,45M |
Total des actifs non courants | 599,72M | 876,89M | 833,91M | 828,42M | 820,26M | 814,69M | 813,32M | 807,88M |
Total des passifs | 312,52M | 572,04M | 538,37M | 522,8M | 514,43M | 515,42M | 529,77M | 524,39M |
Total des passifs courants | 110,4M | 35,56M | 36,3M | 39,07M | 29,89M | 28,97M | 32,72M | 35,45M |
Total des passifs non courants | 386,39M | 1,06B | 989,88M | 954,05M | 956,1M | 959,27M | 982,16M | 967,28M |
Capitaux propres ordinaire | 337,79M | 368,01M | 400,19M | 421,77M | 443,85M | 454,81M | 446,85M | 321,86M |
Bénéfices non distribués | -837,85M | -853,11M | -878,85M | -903,73M | -921,93M | -936,15M | -947,76M | -985,87M |
Fin d'année 31 Décembre 2023 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
---|---|---|---|---|---|---|---|---|
USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | |
Actif total | 2,02B | 1,34B | 1,34B | 667,59M | 685,62M | 660,87M | 690,25M | 891,2M |
Total de l'actif circulant | 189,7M | 169,95M | 84,08M | 39,47M | 45,39M | 66,37M | 90,53M | 70,95M |
Trésorerie et équivalents | 144,45M | 129,31M | 54,93M | 23,8M | 33,64M | 22,31M | 46,19M | 19,29M |
Total des actifs non courants | 966,59M | 626,71M | 617,28M | 278,2M | 278,11M | 373,55M | 362,03M | 376,77M |
Total des passifs | 1,06B | 709,68M | 689,39M | 352,56M | 361,67M | 249,54M | 312,52M | 514,43M |
Total des passifs courants | 54,99M | 35,74M | 55,45M | 38,28M | 29,31M | 31,53M | 110,4M | 29,89M |
Total des passifs non courants | 1,96B | 1,3B | 1,22B | 617,15M | 654,4M | 419,15M | 386,39M | 956,1M |
Total des capitaux propres | 966,59M | 626,71M | 617,28M | 278,2M | 278,11M | 373,55M | 362,03M | 376,77M |
Capitaux propres ordinaire | 84k | 230,8M | 261,16M | 223,48M | 262,05M | 310,69M | 337,79M | 443,85M |
Bénéfices non distribués | -599,97M | -399,25M | -436,88M | -740,62M | -778,52M | -804,23M | -837,85M | -921,93M |
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