US Stock MarketDetailed Quotes

RMGC RMG Acquisition III

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  • 9.980
  • 0.0000.00%
Close Apr 22 16:00 ET
126.85MMarket Cap-20367P/E (TTM)

RMG Acquisition III Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2023
(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
Assets
Current assets
Cash, cash equivalents and short term investments
261.92%310.84K
-74.58%35.39K
-93.56%15.06K
-76.13%22.34K
-76.13%22.34K
-55.04%85.89K
-69.53%139.2K
-79.54%233.93K
--93.6K
--93.6K
-Cash and cash equivalents
261.92%310.84K
-74.58%35.39K
-93.56%15.06K
-76.13%22.34K
-76.13%22.34K
-55.04%85.89K
-69.53%139.2K
-79.54%233.93K
--93.6K
--93.6K
Prepaid assets
-76.09%51.37K
-87.55%47.08K
-78.18%118.32K
-91.04%50.89K
-91.04%50.89K
-71.60%214.89K
-58.37%378.14K
-48.75%542.14K
5,457.75%568.06K
--568.06K
Total current assets
20.43%362.21K
-84.06%82.47K
-82.81%133.37K
-88.93%73.23K
-88.93%73.23K
-68.26%300.78K
-62.11%517.34K
-64.74%776.07K
6,373.51%661.66K
--661.66K
Non current assets
Other non current assets
-98.63%6.66M
-97.89%10.19M
-97.79%10.68M
0.87%487.27M
0.87%487.27M
0.58%485.87M
0.13%483.69M
0.01%483.06M
--483.06M
--483.06M
Total non current assets
-98.63%6.66M
-97.89%10.19M
-97.79%10.68M
0.87%487.27M
0.87%487.27M
0.58%485.87M
0.13%483.69M
0.01%483.06M
1,932,137.58%483.06M
--483.06M
Total assets
-98.56%7.02M
-97.88%10.27M
-97.76%10.82M
0.75%487.34M
0.75%487.34M
0.45%486.17M
-0.04%484.2M
-0.28%483.84M
1,373,288.18%483.72M
--483.72M
Liabilities
Current liabilities
Payables
-75.49%33.37K
-7.42%132.24K
179.30%350.55K
109.21%153.57K
109.21%153.57K
531.55%136.15K
1,999.28%142.84K
463.98%125.51K
--73.41K
--73.41K
-accounts payable
-75.49%33.37K
-7.42%132.24K
179.30%350.55K
109.21%153.57K
109.21%153.57K
531.55%136.15K
1,999.28%142.84K
463.98%125.51K
--73.41K
--73.41K
Current accrued expenses
1,463.59%7.84M
1,494.62%6.66M
560.71%2.78M
1,029.56%1.02M
1,029.56%1.02M
455.38%501.44K
74.90%417.62K
371.33%420.13K
261.15%90.29K
--90.29K
Current liabilities
1,134.94%7.87M
1,111.82%6.79M
472.98%3.13M
616.84%1.17M
616.84%1.17M
470.07%637.59K
128.22%560.46K
389.84%545.64K
554.77%163.69K
--163.69K
Non current liabilities
Long term debt and capital lease obligation
70.43%850K
71.24%850K
103.19%750K
--500K
--500K
--498.73K
--496.39K
--369.11K
----
----
-Long term debt
70.43%850K
71.24%850K
103.19%750K
--500K
--500K
--498.73K
--496.39K
--369.11K
----
----
Non current deferred liabilities
-59.13%7.01M
-59.13%7.01M
0.00%17.16M
0.00%17.16M
0.00%17.16M
0.00%17.16M
0.00%17.16M
0.00%17.16M
--17.16M
--17.16M
Derivative product liabilities
9.25%2.32M
37.63%1.97M
-67.15%2.59M
-96.25%536.3K
-96.25%536.3K
-86.92%2.13M
-93.60%1.43M
-68.47%7.89M
--14.3M
--14.3M
Total non current liabilities
-48.51%10.19M
-48.48%9.83M
-19.35%20.5M
-42.17%18.19M
-42.17%18.19M
-40.82%19.78M
-51.69%19.08M
-39.75%25.41M
--31.46M
--31.46M
Total liabilities
-11.55%18.06M
-15.38%16.62M
-9.00%23.62M
-38.76%19.36M
-38.76%19.36M
-39.11%20.42M
-50.58%19.64M
-38.62%25.96M
126,379.17%31.62M
--31.62M
Shareholders'equity
Share capital
-98.69%6.36M
-98.10%9.19M
-97.81%10.58M
0.86%487.17M
0.86%487.17M
0.57%485.77M
9.99%483.59M
10.29%483M
39,983,443.71%483M
--483M
-common stock
-98.69%6.36M
-98.10%9.19M
-97.81%10.58M
0.86%487.17M
0.86%487.17M
0.57%485.77M
9.99%483.59M
10.29%483M
39,983,443.71%483M
--483M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-34.81%-26.99M
-32.67%-25.24M
6.90%-23.39M
37.89%-19.19M
37.89%-19.19M
38.49%-20.02M
-3,821.00%-19.03M
-1,034.96%-25.12M
-208,980.10%-30.9M
---30.9M
Paid-in capital
--9.59M
--9.7M
--0
--0
--0
--0
--0
--0
--0
--0
Total stockholders'equity
-102.37%-11.04M
-101.37%-6.35M
-102.80%-12.81M
3.51%467.98M
3.51%467.98M
3.40%465.75M
4.48%464.56M
3.38%457.88M
4,423,158.59%452.1M
--452.1M
Total equity
-102.37%-11.04M
-101.37%-6.35M
-102.80%-12.81M
3.51%467.98M
3.51%467.98M
3.40%465.75M
4.48%464.56M
3.38%457.88M
4,423,158.59%452.1M
--452.1M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Sep 30, 2023(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
Assets
Current assets
Cash, cash equivalents and short term investments 261.92%310.84K-74.58%35.39K-93.56%15.06K-76.13%22.34K-76.13%22.34K-55.04%85.89K-69.53%139.2K-79.54%233.93K--93.6K--93.6K
-Cash and cash equivalents 261.92%310.84K-74.58%35.39K-93.56%15.06K-76.13%22.34K-76.13%22.34K-55.04%85.89K-69.53%139.2K-79.54%233.93K--93.6K--93.6K
Prepaid assets -76.09%51.37K-87.55%47.08K-78.18%118.32K-91.04%50.89K-91.04%50.89K-71.60%214.89K-58.37%378.14K-48.75%542.14K5,457.75%568.06K--568.06K
Total current assets 20.43%362.21K-84.06%82.47K-82.81%133.37K-88.93%73.23K-88.93%73.23K-68.26%300.78K-62.11%517.34K-64.74%776.07K6,373.51%661.66K--661.66K
Non current assets
Other non current assets -98.63%6.66M-97.89%10.19M-97.79%10.68M0.87%487.27M0.87%487.27M0.58%485.87M0.13%483.69M0.01%483.06M--483.06M--483.06M
Total non current assets -98.63%6.66M-97.89%10.19M-97.79%10.68M0.87%487.27M0.87%487.27M0.58%485.87M0.13%483.69M0.01%483.06M1,932,137.58%483.06M--483.06M
Total assets -98.56%7.02M-97.88%10.27M-97.76%10.82M0.75%487.34M0.75%487.34M0.45%486.17M-0.04%484.2M-0.28%483.84M1,373,288.18%483.72M--483.72M
Liabilities
Current liabilities
Payables -75.49%33.37K-7.42%132.24K179.30%350.55K109.21%153.57K109.21%153.57K531.55%136.15K1,999.28%142.84K463.98%125.51K--73.41K--73.41K
-accounts payable -75.49%33.37K-7.42%132.24K179.30%350.55K109.21%153.57K109.21%153.57K531.55%136.15K1,999.28%142.84K463.98%125.51K--73.41K--73.41K
Current accrued expenses 1,463.59%7.84M1,494.62%6.66M560.71%2.78M1,029.56%1.02M1,029.56%1.02M455.38%501.44K74.90%417.62K371.33%420.13K261.15%90.29K--90.29K
Current liabilities 1,134.94%7.87M1,111.82%6.79M472.98%3.13M616.84%1.17M616.84%1.17M470.07%637.59K128.22%560.46K389.84%545.64K554.77%163.69K--163.69K
Non current liabilities
Long term debt and capital lease obligation 70.43%850K71.24%850K103.19%750K--500K--500K--498.73K--496.39K--369.11K--------
-Long term debt 70.43%850K71.24%850K103.19%750K--500K--500K--498.73K--496.39K--369.11K--------
Non current deferred liabilities -59.13%7.01M-59.13%7.01M0.00%17.16M0.00%17.16M0.00%17.16M0.00%17.16M0.00%17.16M0.00%17.16M--17.16M--17.16M
Derivative product liabilities 9.25%2.32M37.63%1.97M-67.15%2.59M-96.25%536.3K-96.25%536.3K-86.92%2.13M-93.60%1.43M-68.47%7.89M--14.3M--14.3M
Total non current liabilities -48.51%10.19M-48.48%9.83M-19.35%20.5M-42.17%18.19M-42.17%18.19M-40.82%19.78M-51.69%19.08M-39.75%25.41M--31.46M--31.46M
Total liabilities -11.55%18.06M-15.38%16.62M-9.00%23.62M-38.76%19.36M-38.76%19.36M-39.11%20.42M-50.58%19.64M-38.62%25.96M126,379.17%31.62M--31.62M
Shareholders'equity
Share capital -98.69%6.36M-98.10%9.19M-97.81%10.58M0.86%487.17M0.86%487.17M0.57%485.77M9.99%483.59M10.29%483M39,983,443.71%483M--483M
-common stock -98.69%6.36M-98.10%9.19M-97.81%10.58M0.86%487.17M0.86%487.17M0.57%485.77M9.99%483.59M10.29%483M39,983,443.71%483M--483M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -34.81%-26.99M-32.67%-25.24M6.90%-23.39M37.89%-19.19M37.89%-19.19M38.49%-20.02M-3,821.00%-19.03M-1,034.96%-25.12M-208,980.10%-30.9M---30.9M
Paid-in capital --9.59M--9.7M--0--0--0--0--0--0--0--0
Total stockholders'equity -102.37%-11.04M-101.37%-6.35M-102.80%-12.81M3.51%467.98M3.51%467.98M3.40%465.75M4.48%464.56M3.38%457.88M4,423,158.59%452.1M--452.1M
Total equity -102.37%-11.04M-101.37%-6.35M-102.80%-12.81M3.51%467.98M3.51%467.98M3.40%465.75M4.48%464.56M3.38%457.88M4,423,158.59%452.1M--452.1M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

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