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MYSEWMyseum Inc.
$0.04$173793
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HomeStocksMYSEWQuarterly Cash Flow

Myseum Inc. (MYSEW) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Myseum Inc. (MYSEW) quarterly cash flow statement — complete operating, investing & financing history

MYSEW Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations-1.25M-751.64K-904.46K-1.21M-1.41M-881.18K-956.82K-1.07M-1.48M-1.37M-1.98M-1.42M
Operating CF Margin %-1713878.08%-1232196.72%-275748.78%-1545626.92%-1693239.76%-957807.61%-1543254.84%-710691.39%-1127664.12%-801033.33%-1131081.14%-825904.65%
Operating CF Growth %10.98%14.7%5.47%-12.34%4.86%35.67%51.66%24.46%16.05%10.54%2.66%2.92%
Net Income-2.86M1.17M-1.2M-1.36M-1.62M-1.08M-1.18M-983.25K-1.14M-1.35M-2.36M-2.29M
Depreciation & Amortization16.5K27.77K25.72K15.99K5.54K25.69K24.72K23.79K22.91K24.53K23.24K21.91K
Stock-Based Compensation225.86K230.88K0157.12K155.05K25.89K3.39K-1.96K12K70.24K624.36K0
Deferred Taxes0000000000-177.4K0
Other Non-Cash Items1.4M-2.83M186.91K1.49K0-12.62K237.82K-161.23K-364.12K-159.28K85.11K796.11K
Working Capital Changes-33.34K655.73K84.39K-23K53.13K155.49K-39.28K49.49K-10.21K48.68K-170.11K48.66K
Change in Receivables0141-427-40-11-48-17-41-35315
Change in Inventory000000000037.98K0
Change in Payables-2K324.97K201.27K069.09K0123.67K-23.1K61.79K0-37.98K-22.25K
Cash from Investing1.35M1.34M944.19K372.03K-2.91M967.18K741.8K1.18M-648.45K1.66M1.58M1.82M
Capital Expenditures0-72.63K-16.2K-4.47K-72.63K00000-17.3K-32.19K
CapEx % of Revenue-119057.38%4938.11%5737.18%87500%3.26%3.23%2.65%-1.75%9885.71%18712.21%
Acquisitions0000000000-1.6M0
Investments------------
Other Investing053.1K0-102.02K0000001.6M0
Cash from Financing-67.59K127.88K10K-24.03K4.38M478.2K260K236K1.42M01K-86.8K
Debt Issued (Net)0040K000000000
Equity Issued (Net)-67.59K127.88K-30K-24.03K4.38M478.2K260K236K559.25K01K-86.8K
Dividends Paid000000000000
Share Repurchases000000000000
Other Financing00000000861.52K000
Net Change in Cash28.12K291.4K49.74K-857.59K68.78K564.2K44.98K337.54K-703.38K281.28K-395.51K311.05K
Free Cash Flow-1.25M-824.26K-904.46K-1.21M-1.41M-881.18K-956.82K-1.07M-1.48M-1.37M-2M-1.45M
FCF Margin %-1713878.08%-1351254.1%-275750%-1551364.1%-1693239.76%-957804.35%-1543258.06%-710688.74%-1127664.12%-801035.09%-1140966.86%-844616.28%
FCF Growth %10.98%6.46%5.47%-12.76%4.86%35.67%52.08%26.13%19.02%97.02%2.71%2.88%
FCF per Share-0.29-0.20-0.21-0.29-0.47-0.30-0.32-0.36-0.53-0.67-0.96-0.70
FCF Conversion (FCF/Net Income)0.44x-0.59x0.75x0.99x0.95x1.04x0.75x1.09x1.30x1.01x0.84x0.62x
Interest Paid000000000000
Taxes Paid000000000000