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FBYDP FALCONS BEYOND GLOBAL INC COM USD0.0001 CLASS A

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  • 14.320
  • 0.0000.00%
Close Nov 6 16:00 ET
0Market Cap0.00P/E (TTM)

FALCONS BEYOND GLOBAL INC COM USD0.0001 CLASS A Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-71.98%-6.11M
-123.22%-6.5M
-155.16%-19.29M
-233.68%-10.9M
-1.93M
-3.55M
-2.91M
-7.56M
-3.27M
Net income from continuing operations
-82.73%-8.8M
-223.06%-9.85M
-84.11%-17.43M
-28.28%-4.41M
---5.16M
---4.82M
---3.05M
---9.47M
---3.43M
Operating gains losses
-14.09%994K
280.89%857K
-142.58%-1.19M
-483.25%-2.29M
---288K
--1.16M
--225K
--2.8M
--597K
Depreciation and amortization
-4.92%174K
501.79%1.34M
26.20%737K
-24.43%167K
--164K
--183K
--223K
--584K
--221K
Deferred tax
---16K
---3K
----
----
----
--0
--0
----
----
Change In working capital
2,097.40%1.54M
390.97%902K
5.20%-1.41M
-576.78%-4.37M
--3.35M
---77K
---310K
---1.48M
---646K
-Change in receivables
79.74%-625K
-4,144.34%-4.29M
-86.54%-3.21M
-363.44%-2.94M
--2.71M
---3.09M
--106K
---1.72M
--1.12M
-Change in inventory
--1K
---107K
--203K
--0
--203K
--0
--0
--0
--0
-Change in payables and accrued expense
-26.57%2.5M
418.57%5.59M
1,158.38%6.53M
199.41%1.18M
--880K
--3.4M
--1.08M
--519K
---1.18M
-Change in other current assets
64.52%-55K
85.02%-123K
-131.81%-1.83M
-197.39%-1.26M
--402K
---155K
---821K
---789K
---422K
-Change in other working capital
-18.22%-279K
75.30%-166K
-705.87%-3.1M
-755.70%-1.35M
---836K
---236K
---672K
--511K
---158K
Cash from discontinued investing activities
Operating cash flow
-71.98%-6.11M
-123.22%-6.5M
-155.16%-19.29M
-233.68%-10.9M
---1.93M
---3.55M
---2.91M
---7.56M
---3.27M
Investing cash flow
Cash flow from continuing investing activities
-128.89%-1.53M
98.32%-133K
-216.13%-26.26M
11.28%-6.73M
-10.93M
-668K
-7.94M
-8.31M
-7.58M
Net PPE purchase and sale
-80.72%-150K
-37.11%-133K
-178.26%-320K
44.74%-21K
---119K
---83K
---97K
---115K
---38K
Net business purchase and sale
-135.73%-1.38M
--0
-214.82%-25.79M
2.68%-7.68M
---10.19M
---585K
---7.34M
---8.19M
---7.89M
Net other investing changes
----
----
---151K
--0
--349K
--0
---500K
----
----
Cash from discontinued investing activities
Investing cash flow
-128.89%-1.53M
98.32%-133K
-216.13%-26.26M
11.28%-6.73M
---10.93M
---668K
---7.94M
---8.31M
---7.58M
Financing cash flow
Cash flow from continuing financing activities
134.17%7.28M
-101.80%-178K
184.95%50.88M
202.11%22.45M
15.42M
3.11M
9.91M
17.86M
7.43M
Net issuance payments of debt
76.54%5.49M
-101.80%-178K
-26.68%12.67M
-51.43%6.6M
---6.95M
--3.11M
--9.91M
--17.28M
--13.6M
Net common stock issuance
----
----
6,556.62%38.21M
--22.21M
--16M
----
----
--574K
--0
Cash from discontinued financing activities
Financing cash flow
134.17%7.28M
-101.80%-178K
184.95%50.88M
202.11%22.45M
--15.42M
--3.11M
--9.91M
--17.86M
--7.43M
Net cash flow
Beginning cash position
-27.46%1.55M
170.66%8.37M
165.09%3.09M
-45.56%3.29M
--997K
--2.14M
--3.09M
--1.17M
--6.04M
Current changes in cash
67.41%-363K
-620.53%-6.81M
167.97%5.33M
241.21%4.83M
--2.56M
---1.11M
---945K
--1.99M
---3.42M
Effect of exchange rate changes
92.59%-2K
25.00%-6K
14.06%-55K
-45.96%254K
---274K
---27K
---8K
---64K
--470K
End cash Position
18.96%1.19M
-27.46%1.55M
170.66%8.37M
170.66%8.37M
--3.29M
--997K
--2.14M
--3.09M
--3.09M
Free cash flow
-72.17%-6.26M
-120.45%-6.63M
-155.50%-19.61M
-236.00%-9.95M
---3.02M
---3.64M
---3.01M
---7.68M
---2.96M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -71.98%-6.11M-123.22%-6.5M-155.16%-19.29M-233.68%-10.9M-1.93M-3.55M-2.91M-7.56M-3.27M
Net income from continuing operations -82.73%-8.8M-223.06%-9.85M-84.11%-17.43M-28.28%-4.41M---5.16M---4.82M---3.05M---9.47M---3.43M
Operating gains losses -14.09%994K280.89%857K-142.58%-1.19M-483.25%-2.29M---288K--1.16M--225K--2.8M--597K
Depreciation and amortization -4.92%174K501.79%1.34M26.20%737K-24.43%167K--164K--183K--223K--584K--221K
Deferred tax ---16K---3K--------------0--0--------
Change In working capital 2,097.40%1.54M390.97%902K5.20%-1.41M-576.78%-4.37M--3.35M---77K---310K---1.48M---646K
-Change in receivables 79.74%-625K-4,144.34%-4.29M-86.54%-3.21M-363.44%-2.94M--2.71M---3.09M--106K---1.72M--1.12M
-Change in inventory --1K---107K--203K--0--203K--0--0--0--0
-Change in payables and accrued expense -26.57%2.5M418.57%5.59M1,158.38%6.53M199.41%1.18M--880K--3.4M--1.08M--519K---1.18M
-Change in other current assets 64.52%-55K85.02%-123K-131.81%-1.83M-197.39%-1.26M--402K---155K---821K---789K---422K
-Change in other working capital -18.22%-279K75.30%-166K-705.87%-3.1M-755.70%-1.35M---836K---236K---672K--511K---158K
Cash from discontinued investing activities
Operating cash flow -71.98%-6.11M-123.22%-6.5M-155.16%-19.29M-233.68%-10.9M---1.93M---3.55M---2.91M---7.56M---3.27M
Investing cash flow
Cash flow from continuing investing activities -128.89%-1.53M98.32%-133K-216.13%-26.26M11.28%-6.73M-10.93M-668K-7.94M-8.31M-7.58M
Net PPE purchase and sale -80.72%-150K-37.11%-133K-178.26%-320K44.74%-21K---119K---83K---97K---115K---38K
Net business purchase and sale -135.73%-1.38M--0-214.82%-25.79M2.68%-7.68M---10.19M---585K---7.34M---8.19M---7.89M
Net other investing changes -----------151K--0--349K--0---500K--------
Cash from discontinued investing activities
Investing cash flow -128.89%-1.53M98.32%-133K-216.13%-26.26M11.28%-6.73M---10.93M---668K---7.94M---8.31M---7.58M
Financing cash flow
Cash flow from continuing financing activities 134.17%7.28M-101.80%-178K184.95%50.88M202.11%22.45M15.42M3.11M9.91M17.86M7.43M
Net issuance payments of debt 76.54%5.49M-101.80%-178K-26.68%12.67M-51.43%6.6M---6.95M--3.11M--9.91M--17.28M--13.6M
Net common stock issuance --------6,556.62%38.21M--22.21M--16M----------574K--0
Cash from discontinued financing activities
Financing cash flow 134.17%7.28M-101.80%-178K184.95%50.88M202.11%22.45M--15.42M--3.11M--9.91M--17.86M--7.43M
Net cash flow
Beginning cash position -27.46%1.55M170.66%8.37M165.09%3.09M-45.56%3.29M--997K--2.14M--3.09M--1.17M--6.04M
Current changes in cash 67.41%-363K-620.53%-6.81M167.97%5.33M241.21%4.83M--2.56M---1.11M---945K--1.99M---3.42M
Effect of exchange rate changes 92.59%-2K25.00%-6K14.06%-55K-45.96%254K---274K---27K---8K---64K--470K
End cash Position 18.96%1.19M-27.46%1.55M170.66%8.37M170.66%8.37M--3.29M--997K--2.14M--3.09M--3.09M
Free cash flow -72.17%-6.26M-120.45%-6.63M-155.50%-19.61M-236.00%-9.95M---3.02M---3.64M---3.01M---7.68M---2.96M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSD

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