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MRD Melcor Developments Ltd

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  • 13.250
  • -0.010-0.08%
15min DelayMarket Closed Nov 15 16:00 ET
402.71MMarket Cap34.87P/E (TTM)

Melcor Developments Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-16.24%29.41M
132.07%25.38M
136.69%1.86M
165.97%48.81M
-28.01%7.83M
306.74%35.12M
609.74%10.93M
-613.36%-5.07M
-74.80%18.35M
-58.71%10.87M
Net income from continuing operations
-221.12%-34.98M
7.89%23.34M
493.96%12.79M
-29.52%62.98M
-72.28%10.31M
21.49%28.88M
-16.50%21.63M
-12.83%2.15M
58.68%89.35M
-16.90%37.2M
Operating gains losses
405.35%17.64M
-118.19%-868K
253.70%8.79M
213.02%24.41M
205.14%22.93M
-86.41%-5.78M
506.48%4.77M
-1.51%2.48M
-10.62%-21.59M
-133.10%-21.8M
Depreciation and amortization
0.61%494K
-0.70%423K
-2.07%142K
-6.67%1.26M
-5.26%198K
-7.88%491K
-5.75%426K
-7.05%145K
1.20%1.35M
-7.93%209K
Remuneration paid in stock
13.65%333K
14.92%285K
28.70%296K
25.68%1.06M
4,866.67%286K
-43.00%293K
14.81%248K
96.58%230K
-25.71%841K
-101.62%-6K
Deferred tax
-298.75%-318K
339.82%1.63M
220.36%881K
-104.09%-336K
-88.87%914K
226.98%160K
-313.21%-678K
-304.42%-732K
75.60%8.23M
55.33%8.21M
Other non cashItems
934.53%30.74M
44.70%-5.38M
-376.90%-12.41M
40.84%-23.21M
36.86%-7.18M
70.13%-3.68M
48.84%-9.74M
-173.96%-2.6M
-254.14%-39.22M
-161.10%-11.38M
Change In working capital
5.10%15.51M
203.86%5.95M
-27.75%-8.62M
15.77%-17.35M
-1,153.87%-19.62M
2,445.31%14.75M
46.90%-5.73M
11.35%-6.75M
-699.45%-20.6M
85.25%-1.57M
-Change in receivables
1,041.18%18.24M
117.41%8.42M
-100.69%-77K
-194.53%-28.84M
-1,580.46%-41.97M
-111.02%-1.94M
-50.23%3.87M
384.18%11.2M
156.08%30.51M
104.32%2.84M
-Change in inventory
-1,445.35%-16.76M
81.07%-2.28M
107.47%515K
127.05%12.08M
430.95%29.77M
104.64%1.25M
-157.25%-12.05M
-68.01%-6.9M
-227.25%-44.65M
-116.21%-9M
-Change in other working capital
-9.17%14.03M
-107.53%-184K
18.03%-9.06M
90.86%-591K
-261.53%-7.42M
78.44%15.44M
117.59%2.44M
-89.83%-11.05M
-128.41%-6.46M
972.11%4.6M
Cash from discontinued investing activities
Operating cash flow
-16.24%29.41M
132.07%25.38M
136.69%1.86M
165.97%48.81M
-28.01%7.83M
306.74%35.12M
609.74%10.93M
-613.36%-5.07M
-74.80%18.35M
-58.71%10.87M
Investing cash flow
Cash flow from continuing investing activities
14.67%-5.5M
102.16%57K
-109.07%-1.49M
-74.71%4.64M
-110.46%-2.74M
-14.59%-6.45M
-353.70%-2.64M
1,082.81%16.46M
203.69%18.33M
1,014.37%26.22M
Net PPE purchase and sale
65.56%-114K
-0.61%-165K
-323.26%-364K
2.31%-718K
4.20%-137K
-70.62%-331K
42.25%-164K
24.56%-86K
39.66%-735K
66.67%-143K
Net investment property transactions
2.81%-5.95M
4.13%-2.37M
54.42%-1.13M
-172.35%-13.74M
-110.17%-2.67M
-12.59%-6.12M
-732.32%-2.47M
-58.68%-2.48M
213.43%18.99M
1,065.97%26.28M
Net investment purchase and sale
--557K
---4.89M
----
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----
--0
--0
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Net other investing changes
----
--7.48M
----
25,701.35%19.09M
--68K
----
----
--19.03M
-73.85%74K
----
Cash from discontinued investing activities
Investing cash flow
14.67%-5.5M
102.16%57K
-109.07%-1.49M
-74.71%4.64M
-110.46%-2.74M
-14.59%-6.45M
-353.70%-2.64M
1,082.81%16.46M
203.69%18.33M
1,014.37%26.22M
Financing cash flow
Cash flow from continuing financing activities
-83.49%-23.27M
-20.52%-16.31M
89.43%-4.27M
-473.42%-98.97M
16.84%-32.37M
-293.69%-12.68M
-283.50%-13.53M
-621.26%-40.38M
29.72%-17.26M
-125.55%-38.93M
Net issuance payments of debt
-336.95%-18.87M
-140.53%-11.82M
100.24%86K
-411.42%-71.11M
-7.00%-26.5M
-123.52%-4.32M
-132.89%-4.92M
-347.51%-35.38M
458.74%22.83M
-109.04%-24.77M
Net common stock issuance
69.53%-1.06M
69.11%-1.13M
---990K
62.17%-8.1M
89.78%-968K
50.56%-3.46M
-22.27%-3.67M
--0
-584.71%-21.4M
-550.82%-9.48M
Cash dividends paid
31.76%-3.35M
32.22%-3.36M
32.74%-3.36M
-5.87%-19.76M
-4.69%-4.91M
-1.89%-4.9M
-8.32%-4.95M
-8.79%-5M
-28.43%-18.66M
-18.48%-4.69M
Net other financing activities
----
----
----
----
----
----
----
----
95.31%-25K
--0
Cash from discontinued financing activities
Financing cash flow
-83.49%-23.27M
-20.52%-16.31M
89.43%-4.27M
-473.42%-98.97M
16.84%-32.37M
-293.69%-12.68M
-283.50%-13.53M
-621.26%-40.38M
29.72%-17.26M
-125.55%-38.93M
Net cash flow
Beginning cash position
-14.57%39.4M
-39.92%30.91M
-56.89%34.69M
34.29%80.47M
-24.35%62.38M
-36.10%46.11M
-22.48%51.45M
34.29%80.47M
105.20%59.92M
53.60%82.45M
Current changes in cash
-96.01%638K
274.25%9.12M
86.55%-3.9M
-334.39%-45.52M
-1,383.74%-27.29M
67.33%15.99M
-212.60%-5.24M
-510.64%-28.99M
-36.50%19.42M
-129.63%-1.84M
Effect of exchange rate changes
-285.05%-520K
-510.48%-641K
592.00%123K
-122.44%-252K
-170.47%-403K
-61.82%281K
-109.19%-105K
95.88%-25K
757.25%1.12M
-580.65%-149K
End cash Position
-36.66%39.51M
-14.57%39.4M
-39.92%30.91M
-56.89%34.69M
-56.89%34.69M
-24.35%62.38M
-36.10%46.11M
-22.48%51.45M
34.29%80.47M
34.29%80.47M
Free cash from
-15.63%29.3M
134.19%25.2M
126.64%1.37M
172.99%48.09M
-28.19%7.76M
314.29%34.73M
540.70%10.76M
-690.16%-5.16M
-75.40%17.62M
-58.70%10.8M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
--
--
--
Unqualified Opinion
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -16.24%29.41M132.07%25.38M136.69%1.86M165.97%48.81M-28.01%7.83M306.74%35.12M609.74%10.93M-613.36%-5.07M-74.80%18.35M-58.71%10.87M
Net income from continuing operations -221.12%-34.98M7.89%23.34M493.96%12.79M-29.52%62.98M-72.28%10.31M21.49%28.88M-16.50%21.63M-12.83%2.15M58.68%89.35M-16.90%37.2M
Operating gains losses 405.35%17.64M-118.19%-868K253.70%8.79M213.02%24.41M205.14%22.93M-86.41%-5.78M506.48%4.77M-1.51%2.48M-10.62%-21.59M-133.10%-21.8M
Depreciation and amortization 0.61%494K-0.70%423K-2.07%142K-6.67%1.26M-5.26%198K-7.88%491K-5.75%426K-7.05%145K1.20%1.35M-7.93%209K
Remuneration paid in stock 13.65%333K14.92%285K28.70%296K25.68%1.06M4,866.67%286K-43.00%293K14.81%248K96.58%230K-25.71%841K-101.62%-6K
Deferred tax -298.75%-318K339.82%1.63M220.36%881K-104.09%-336K-88.87%914K226.98%160K-313.21%-678K-304.42%-732K75.60%8.23M55.33%8.21M
Other non cashItems 934.53%30.74M44.70%-5.38M-376.90%-12.41M40.84%-23.21M36.86%-7.18M70.13%-3.68M48.84%-9.74M-173.96%-2.6M-254.14%-39.22M-161.10%-11.38M
Change In working capital 5.10%15.51M203.86%5.95M-27.75%-8.62M15.77%-17.35M-1,153.87%-19.62M2,445.31%14.75M46.90%-5.73M11.35%-6.75M-699.45%-20.6M85.25%-1.57M
-Change in receivables 1,041.18%18.24M117.41%8.42M-100.69%-77K-194.53%-28.84M-1,580.46%-41.97M-111.02%-1.94M-50.23%3.87M384.18%11.2M156.08%30.51M104.32%2.84M
-Change in inventory -1,445.35%-16.76M81.07%-2.28M107.47%515K127.05%12.08M430.95%29.77M104.64%1.25M-157.25%-12.05M-68.01%-6.9M-227.25%-44.65M-116.21%-9M
-Change in other working capital -9.17%14.03M-107.53%-184K18.03%-9.06M90.86%-591K-261.53%-7.42M78.44%15.44M117.59%2.44M-89.83%-11.05M-128.41%-6.46M972.11%4.6M
Cash from discontinued investing activities
Operating cash flow -16.24%29.41M132.07%25.38M136.69%1.86M165.97%48.81M-28.01%7.83M306.74%35.12M609.74%10.93M-613.36%-5.07M-74.80%18.35M-58.71%10.87M
Investing cash flow
Cash flow from continuing investing activities 14.67%-5.5M102.16%57K-109.07%-1.49M-74.71%4.64M-110.46%-2.74M-14.59%-6.45M-353.70%-2.64M1,082.81%16.46M203.69%18.33M1,014.37%26.22M
Net PPE purchase and sale 65.56%-114K-0.61%-165K-323.26%-364K2.31%-718K4.20%-137K-70.62%-331K42.25%-164K24.56%-86K39.66%-735K66.67%-143K
Net investment property transactions 2.81%-5.95M4.13%-2.37M54.42%-1.13M-172.35%-13.74M-110.17%-2.67M-12.59%-6.12M-732.32%-2.47M-58.68%-2.48M213.43%18.99M1,065.97%26.28M
Net investment purchase and sale --557K---4.89M--------------0--0------------
Net other investing changes ------7.48M----25,701.35%19.09M--68K----------19.03M-73.85%74K----
Cash from discontinued investing activities
Investing cash flow 14.67%-5.5M102.16%57K-109.07%-1.49M-74.71%4.64M-110.46%-2.74M-14.59%-6.45M-353.70%-2.64M1,082.81%16.46M203.69%18.33M1,014.37%26.22M
Financing cash flow
Cash flow from continuing financing activities -83.49%-23.27M-20.52%-16.31M89.43%-4.27M-473.42%-98.97M16.84%-32.37M-293.69%-12.68M-283.50%-13.53M-621.26%-40.38M29.72%-17.26M-125.55%-38.93M
Net issuance payments of debt -336.95%-18.87M-140.53%-11.82M100.24%86K-411.42%-71.11M-7.00%-26.5M-123.52%-4.32M-132.89%-4.92M-347.51%-35.38M458.74%22.83M-109.04%-24.77M
Net common stock issuance 69.53%-1.06M69.11%-1.13M---990K62.17%-8.1M89.78%-968K50.56%-3.46M-22.27%-3.67M--0-584.71%-21.4M-550.82%-9.48M
Cash dividends paid 31.76%-3.35M32.22%-3.36M32.74%-3.36M-5.87%-19.76M-4.69%-4.91M-1.89%-4.9M-8.32%-4.95M-8.79%-5M-28.43%-18.66M-18.48%-4.69M
Net other financing activities --------------------------------95.31%-25K--0
Cash from discontinued financing activities
Financing cash flow -83.49%-23.27M-20.52%-16.31M89.43%-4.27M-473.42%-98.97M16.84%-32.37M-293.69%-12.68M-283.50%-13.53M-621.26%-40.38M29.72%-17.26M-125.55%-38.93M
Net cash flow
Beginning cash position -14.57%39.4M-39.92%30.91M-56.89%34.69M34.29%80.47M-24.35%62.38M-36.10%46.11M-22.48%51.45M34.29%80.47M105.20%59.92M53.60%82.45M
Current changes in cash -96.01%638K274.25%9.12M86.55%-3.9M-334.39%-45.52M-1,383.74%-27.29M67.33%15.99M-212.60%-5.24M-510.64%-28.99M-36.50%19.42M-129.63%-1.84M
Effect of exchange rate changes -285.05%-520K-510.48%-641K592.00%123K-122.44%-252K-170.47%-403K-61.82%281K-109.19%-105K95.88%-25K757.25%1.12M-580.65%-149K
End cash Position -36.66%39.51M-14.57%39.4M-39.92%30.91M-56.89%34.69M-56.89%34.69M-24.35%62.38M-36.10%46.11M-22.48%51.45M34.29%80.47M34.29%80.47M
Free cash from -15.63%29.3M134.19%25.2M126.64%1.37M172.99%48.09M-28.19%7.76M314.29%34.73M540.70%10.76M-690.16%-5.16M-75.40%17.62M-58.70%10.8M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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