US Stock MarketDetailed Quotes

International Money Express (IMXI)

Watchlist
  • 15.940
  • +0.060+0.38%
Close Apr 24 16:00 ET
  • 15.940
  • 0.0000.00%
Post 17:31 ET
480.38MMarket Cap14.76P/E (TTM)

International Money Express (IMXI) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-30.51%36.89M
-219.93%-15.62M
-197.86%-28.68M
303.89%39.9M
-14.42%41.28M
-63.01%53.09M
-107.99%-4.88M
-64.45%29.3M
-1,601.74%-19.57M
4,065.46%48.24M
Net income from continuing operations
-44.46%32.67M
-41.94%8.93M
-71.31%4.96M
-21.56%11.01M
-35.83%7.77M
-1.17%58.82M
-12.08%15.39M
16.62%17.3M
-9.01%14.03M
2.92%12.11M
Operating gains losses
-8.04%1.46M
6,960.00%353K
15.71%604K
-61.20%258K
-37.75%249K
-10.81%1.59M
-98.37%5K
-18.31%522K
50.45%665K
0.50%400K
Depreciation and amortization
25.77%17.16M
27.40%4.67M
30.40%4.41M
32.13%4.45M
12.42%3.63M
6.05%13.65M
9.21%3.66M
-2.62%3.38M
7.53%3.37M
11.20%3.23M
Deferred tax
1,260.49%5.2M
629.76%4.83M
534.55%1.75M
-25.59%-1.11M
46.61%-268K
82.92%-448K
139.78%662K
228.50%275K
-623.77%-883K
19.42%-502K
Other non cash items
34.17%11.33M
133.04%5.34M
-2.07%1.99M
-0.94%2M
-4.85%2M
2.79%8.44M
48.57%2.29M
-7.53%2.03M
-6.82%2.02M
-8.96%2.1M
Change In working capital
-16.30%-49.34M
-58.39%-45.06M
-2,695.77%-47.3M
144.93%19.3M
-12.63%23.72M
-183.74%-42.42M
-177.05%-28.45M
-96.83%1.82M
-67.77%-42.95M
250.22%27.15M
-Change in receivables
-116.96%-7.05M
-32.58%11.92M
-71.65%20.33M
74.39%-13.39M
-677.73%-25.91M
242.25%41.6M
154.48%17.68M
272.75%71.7M
-147.49%-52.26M
-83.03%4.49M
-Change in prepaid assets
11.58%-16.59M
-114.20%-39.78M
71.29%-4.05M
131.54%9.36M
81.22%17.88M
-130.50%-18.76M
-135.15%-18.57M
-144.50%-14.1M
137.49%4.04M
180.75%9.87M
-Change in payables and accrued expense
70.05%-17.79M
40.33%-15.36M
-13.21%-61.63M
284.54%25.45M
138.39%33.75M
-341.26%-59.41M
-16.80%-25.74M
-179.49%-54.44M
-17.19%6.62M
147.48%14.16M
-Change in other current liabilities
-35.03%-7.9M
-1.38%-1.84M
-45.25%-1.94M
-58.18%-2.13M
-47.08%-1.99M
6.14%-5.85M
-123.92%-1.82M
-5.86%-1.34M
20.38%-1.34M
45.21%-1.36M
Cash from discontinued investing activities
Operating cash flow
-30.51%36.89M
-219.93%-15.62M
-197.86%-28.68M
303.89%39.9M
-14.42%41.28M
-63.01%53.09M
-107.99%-4.88M
-64.45%29.3M
-1,601.74%-19.57M
4,065.46%48.24M
Investing cash flow
Cash flow from continuing investing activities
49.79%-22.07M
71.65%-4.56M
3.07%-7.47M
29.24%-4.72M
60.59%-5.31M
-140.40%-43.95M
-215.93%-16.09M
-143.96%-7.71M
15.67%-6.67M
-536.15%-13.48M
Net PPE purchase and sale
29.75%-21.07M
-10.77%-4.36M
-16.21%-6.87M
31.48%-4.57M
60.87%-5.28M
-134.30%-30M
22.68%-3.94M
-87.03%-5.91M
-174.26%-6.67M
-536.15%-13.48M
Net intangibles purchase and sale
----
----
----
----
---38K
----
----
----
----
--0
Net business purchase and sale
89.97%-1.4M
98.35%-200K
43.80%-1.01M
----
----
-154.68%-13.95M
---12.15M
---1.8M
----
----
Cash from discontinued investing activities
Investing cash flow
49.79%-22.07M
71.65%-4.56M
3.07%-7.47M
29.24%-4.72M
60.59%-5.31M
-140.40%-43.95M
-215.93%-16.09M
-143.96%-7.71M
15.67%-6.67M
-536.15%-13.48M
Financing cash flow
Cash flow from continuing financing activities
118.21%20.8M
1,343.54%36.93M
114.03%13.63M
-135.67%-14.62M
72.50%-15.15M
-207.66%-114.2M
92.57%-2.97M
-2,512.75%-97.17M
-41.71%41M
13.68%-55.06M
Net issuance payments of debt
216.26%38.21M
100.54%36.9M
118.66%13.81M
-106.16%-3.26M
69.36%-9.24M
-201.04%-32.87M
258.06%18.4M
-1,263.33%-73.99M
-43.71%52.86M
46.27%-30.14M
Net common stock issuance
78.26%-16.33M
--0
--0
-1.38%-11.35M
78.73%-4.98M
-13.38%-75.13M
21.26%-20.19M
-101.05%-20.32M
51.16%-11.2M
-208.85%-23.42M
Proceeds from stock option exercised by employees
106.88%46K
-63.64%56K
-30.45%932K
98.04%-13K
38.07%-929K
-151.54%-669K
-54.97%154K
33.20%1.34M
-1,186.89%-663K
-1,251.35%-1.5M
Net other financing activities
79.56%-1.13M
98.27%-23K
----
----
----
-18.12%-5.53M
55.67%-1.33M
----
----
----
Cash from discontinued financing activities
Financing cash flow
118.21%20.8M
1,343.54%36.93M
114.03%13.63M
-135.67%-14.62M
72.50%-15.15M
-207.66%-114.2M
92.57%-2.97M
-2,512.75%-97.17M
-41.71%41M
13.68%-55.06M
Net cash flow
Beginning cash position
-45.44%130.5M
-3.21%151.59M
-25.08%174.72M
-30.64%151.76M
-45.44%130.5M
60.01%239.2M
-29.60%156.61M
58.25%233.21M
156.04%218.8M
60.01%239.2M
Current changes in cash
133.90%35.62M
169.97%16.75M
70.20%-22.52M
39.31%20.56M
202.54%20.82M
-219.22%-105.07M
-249.20%-23.94M
-200.03%-75.58M
-75.92%14.76M
68.64%-20.31M
Effect of exchange rate changes
170.51%2.56M
115.82%343K
39.78%-616K
797.38%2.4M
537.00%437K
-329.34%-3.64M
-405.35%-2.17M
-114.02%-1.02M
-153.50%-344K
-114.08%-100K
End cash Position
29.26%168.68M
29.26%168.68M
-3.21%151.59M
-25.08%174.72M
-30.64%151.76M
-45.44%130.5M
-45.44%130.5M
-29.60%156.61M
58.25%233.21M
156.04%218.8M
Free cash flow
-31.51%15.81M
-126.56%-19.98M
-251.95%-35.54M
234.79%35.37M
3.49%35.97M
-82.34%23.09M
-115.75%-8.82M
-70.49%23.39M
-632.55%-26.24M
3,716.65%34.76M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -30.51%36.89M-219.93%-15.62M-197.86%-28.68M303.89%39.9M-14.42%41.28M-63.01%53.09M-107.99%-4.88M-64.45%29.3M-1,601.74%-19.57M4,065.46%48.24M
Net income from continuing operations -44.46%32.67M-41.94%8.93M-71.31%4.96M-21.56%11.01M-35.83%7.77M-1.17%58.82M-12.08%15.39M16.62%17.3M-9.01%14.03M2.92%12.11M
Operating gains losses -8.04%1.46M6,960.00%353K15.71%604K-61.20%258K-37.75%249K-10.81%1.59M-98.37%5K-18.31%522K50.45%665K0.50%400K
Depreciation and amortization 25.77%17.16M27.40%4.67M30.40%4.41M32.13%4.45M12.42%3.63M6.05%13.65M9.21%3.66M-2.62%3.38M7.53%3.37M11.20%3.23M
Deferred tax 1,260.49%5.2M629.76%4.83M534.55%1.75M-25.59%-1.11M46.61%-268K82.92%-448K139.78%662K228.50%275K-623.77%-883K19.42%-502K
Other non cash items 34.17%11.33M133.04%5.34M-2.07%1.99M-0.94%2M-4.85%2M2.79%8.44M48.57%2.29M-7.53%2.03M-6.82%2.02M-8.96%2.1M
Change In working capital -16.30%-49.34M-58.39%-45.06M-2,695.77%-47.3M144.93%19.3M-12.63%23.72M-183.74%-42.42M-177.05%-28.45M-96.83%1.82M-67.77%-42.95M250.22%27.15M
-Change in receivables -116.96%-7.05M-32.58%11.92M-71.65%20.33M74.39%-13.39M-677.73%-25.91M242.25%41.6M154.48%17.68M272.75%71.7M-147.49%-52.26M-83.03%4.49M
-Change in prepaid assets 11.58%-16.59M-114.20%-39.78M71.29%-4.05M131.54%9.36M81.22%17.88M-130.50%-18.76M-135.15%-18.57M-144.50%-14.1M137.49%4.04M180.75%9.87M
-Change in payables and accrued expense 70.05%-17.79M40.33%-15.36M-13.21%-61.63M284.54%25.45M138.39%33.75M-341.26%-59.41M-16.80%-25.74M-179.49%-54.44M-17.19%6.62M147.48%14.16M
-Change in other current liabilities -35.03%-7.9M-1.38%-1.84M-45.25%-1.94M-58.18%-2.13M-47.08%-1.99M6.14%-5.85M-123.92%-1.82M-5.86%-1.34M20.38%-1.34M45.21%-1.36M
Cash from discontinued investing activities
Operating cash flow -30.51%36.89M-219.93%-15.62M-197.86%-28.68M303.89%39.9M-14.42%41.28M-63.01%53.09M-107.99%-4.88M-64.45%29.3M-1,601.74%-19.57M4,065.46%48.24M
Investing cash flow
Cash flow from continuing investing activities 49.79%-22.07M71.65%-4.56M3.07%-7.47M29.24%-4.72M60.59%-5.31M-140.40%-43.95M-215.93%-16.09M-143.96%-7.71M15.67%-6.67M-536.15%-13.48M
Net PPE purchase and sale 29.75%-21.07M-10.77%-4.36M-16.21%-6.87M31.48%-4.57M60.87%-5.28M-134.30%-30M22.68%-3.94M-87.03%-5.91M-174.26%-6.67M-536.15%-13.48M
Net intangibles purchase and sale -------------------38K------------------0
Net business purchase and sale 89.97%-1.4M98.35%-200K43.80%-1.01M---------154.68%-13.95M---12.15M---1.8M--------
Cash from discontinued investing activities
Investing cash flow 49.79%-22.07M71.65%-4.56M3.07%-7.47M29.24%-4.72M60.59%-5.31M-140.40%-43.95M-215.93%-16.09M-143.96%-7.71M15.67%-6.67M-536.15%-13.48M
Financing cash flow
Cash flow from continuing financing activities 118.21%20.8M1,343.54%36.93M114.03%13.63M-135.67%-14.62M72.50%-15.15M-207.66%-114.2M92.57%-2.97M-2,512.75%-97.17M-41.71%41M13.68%-55.06M
Net issuance payments of debt 216.26%38.21M100.54%36.9M118.66%13.81M-106.16%-3.26M69.36%-9.24M-201.04%-32.87M258.06%18.4M-1,263.33%-73.99M-43.71%52.86M46.27%-30.14M
Net common stock issuance 78.26%-16.33M--0--0-1.38%-11.35M78.73%-4.98M-13.38%-75.13M21.26%-20.19M-101.05%-20.32M51.16%-11.2M-208.85%-23.42M
Proceeds from stock option exercised by employees 106.88%46K-63.64%56K-30.45%932K98.04%-13K38.07%-929K-151.54%-669K-54.97%154K33.20%1.34M-1,186.89%-663K-1,251.35%-1.5M
Net other financing activities 79.56%-1.13M98.27%-23K-------------18.12%-5.53M55.67%-1.33M------------
Cash from discontinued financing activities
Financing cash flow 118.21%20.8M1,343.54%36.93M114.03%13.63M-135.67%-14.62M72.50%-15.15M-207.66%-114.2M92.57%-2.97M-2,512.75%-97.17M-41.71%41M13.68%-55.06M
Net cash flow
Beginning cash position -45.44%130.5M-3.21%151.59M-25.08%174.72M-30.64%151.76M-45.44%130.5M60.01%239.2M-29.60%156.61M58.25%233.21M156.04%218.8M60.01%239.2M
Current changes in cash 133.90%35.62M169.97%16.75M70.20%-22.52M39.31%20.56M202.54%20.82M-219.22%-105.07M-249.20%-23.94M-200.03%-75.58M-75.92%14.76M68.64%-20.31M
Effect of exchange rate changes 170.51%2.56M115.82%343K39.78%-616K797.38%2.4M537.00%437K-329.34%-3.64M-405.35%-2.17M-114.02%-1.02M-153.50%-344K-114.08%-100K
End cash Position 29.26%168.68M29.26%168.68M-3.21%151.59M-25.08%174.72M-30.64%151.76M-45.44%130.5M-45.44%130.5M-29.60%156.61M58.25%233.21M156.04%218.8M
Free cash flow -31.51%15.81M-126.56%-19.98M-251.95%-35.54M234.79%35.37M3.49%35.97M-82.34%23.09M-115.75%-8.82M-70.49%23.39M-632.55%-26.24M3,716.65%34.76M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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