US Stock MarketDetailed Quotes

The Marygold Companies (MGLD)

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  • 1.150
  • +0.060+5.50%
Close May 14 16:00 ET
  • 1.160
  • +0.010+0.87%
Post 18:41 ET
49.23MMarket Cap-23.00P/E (TTM)

The Marygold Companies (MGLD) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Mar 31, 2026
(Q2)Dec 31, 2025
(Q1)Sep 30, 2025
(FY)Jun 30, 2025
(Q4)Jun 30, 2025
(Q3)Mar 31, 2025
(Q2)Dec 31, 2024
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
12.81%-1.01M
-17.92%-908K
40.31%-533K
-73.68%-3.32M
27.29%-501K
-77.42%-1.16M
10.67%-770K
-406.87%-893K
-201.97%-1.91M
-165.31%-689K
Net income from continuing operations
121.94%222K
67.01%-576K
77.55%-356K
-43.03%-5.82M
20.52%-1.48M
-91.67%-1.01M
-47.47%-1.75M
-217.20%-1.59M
-449.27%-4.07M
-657.66%-1.86M
Operating gains losses
36.02%-286K
-94.58%60K
-3,454.55%-738K
3,120.00%906K
217.37%223K
-40.13%-447K
48.13%1.11M
108.18%22K
-123.81%-30K
---190K
Depreciation and amortization
-8.33%132K
-60.56%56K
-40.88%94K
0.85%590K
-0.68%145K
3.60%144K
-2.74%142K
3.25%159K
-2.50%585K
-10.43%146K
Deferred tax
----
----
----
-34.62%-1.61M
----
----
----
----
-3,132.43%-1.2M
----
Other non cash items
-43.77%185K
-54.23%173K
36.96%252K
91.05%1.32M
165.64%433K
77.84%329K
74.19%378K
43.75%184K
9.31%693K
-19.31%163K
Change In working capital
-398.50%-1.33M
16.10%-688K
212.12%148K
61.25%466K
126.04%1.68M
-9.02%-266K
8.58%-820K
-119.27%-132K
140.08%289K
161.40%745K
-Change in receivables
-5,177.27%-1.16M
-115.65%-23K
-215.70%-199K
-7.85%317K
112.99%20K
-140.74%-22K
486.84%147K
-64.32%172K
135.62%344K
22.22%-154K
-Change in inventory
-203.57%-58K
181.29%113K
-361.70%-123K
239.29%190K
470.49%226K
-73.08%56K
-11.20%-139K
38.24%47K
171.79%56K
-157.01%-61K
-Change in prepaid assets
82.55%-56K
68.71%-153K
49.64%-209K
260.40%555K
188.03%1.78M
5.87%-321K
-85.23%-489K
-15.60%-415K
-301.16%-346K
1,407.32%618K
-Change in payables and accrued expense
216.13%144K
-116.53%-537K
782.19%644K
-115.08%-190K
-75.51%109K
-146.27%-124K
-45.88%-248K
-89.82%73K
1,565.12%1.26M
31.27%445K
-Change in other current assets
-101.14%-3K
-11.82%97K
104.52%317K
175.08%247K
-568.33%-281K
208.68%263K
242.86%110K
321.43%155K
-61.27%-329K
-74.36%60K
-Change in other current liabilities
-62.71%-192K
7.96%-185K
-71.95%-282K
6.18%-653K
-4.29%-170K
38.22%-118K
9.87%-201K
-37.82%-164K
-3.73%-696K
31.51%-163K
Cash from discontinued investing activities
Operating cash flow
12.81%-1.01M
-17.92%-908K
40.31%-533K
-73.68%-3.32M
27.29%-501K
-75.53%-1.16M
9.94%-770K
-406.87%-893K
-203.24%-1.91M
-166.76%-689K
Investing cash flow
Cash flow from continuing investing activities
88.85%-181K
-58.15%77K
211.47%1.48M
229.91%1.2M
116.95%3.97M
-19.85%-1.62M
35.29%184K
13.74%-1.33M
87.30%-926K
163.18%1.83M
Net PPE purchase and sale
--0
--0
38.30%-29K
0.00%-54K
95.83%-1K
--0
-20.00%-6K
-88.00%-47K
43.16%-54K
-14.29%-24K
Net business purchase and sale
--0
--0
--1.07M
278.66%720K
--720K
--0
--0
--0
---403K
----
Net investment purchase and sale
88.85%-181K
-83.51%77K
134.43%440K
408.75%814K
44.02%3.25M
-123.69%-1.62M
231.21%467K
15.42%-1.28M
102.43%160K
178.69%2.26M
Net other investing changes
----
----
----
55.96%-277K
--0
--0
----
----
-0.96%-629K
--0
Cash from discontinued investing activities
Investing cash flow
88.85%-181K
-58.15%77K
211.47%1.48M
229.91%1.2M
116.95%3.97M
-19.85%-1.62M
35.29%184K
13.74%-1.33M
87.30%-926K
163.18%1.83M
Financing cash flow
Cash flow from continuing financing activities
0
90.27%-25K
-138.99%-1.32M
6,200.00%1.83M
-14,231.58%-2.72M
35,775.00%1.44M
-1,876.92%-257K
168,850.00%3.38M
-50.00%-30K
-375.00%-19K
Net issuance payments of debt
--0
--0
-138.99%-1.32M
1,136.67%311K
-13,921.05%-2.66M
-10,100.00%-400K
--0
168,850.00%3.38M
-50.00%-30K
-375.00%-19K
Net common stock issuance
--0
----
----
--1.81M
--230K
--1.84M
----
----
--0
--0
Net other financing activities
----
----
----
---289K
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
--0
90.27%-25K
-138.99%-1.32M
6,200.00%1.83M
-14,231.58%-2.72M
35,775.00%1.44M
-1,876.92%-257K
168,850.00%3.38M
-50.00%-30K
-375.00%-19K
Net cash flow
Beginning cash position
-27.95%4.13M
-26.84%4.92M
-8.24%5.07M
-35.67%5.52M
-2.69%4.38M
-13.69%5.74M
-9.08%6.73M
-35.67%5.52M
-38.36%8.59M
-56.17%4.5M
Current changes in cash
11.61%-1.19M
-1.54%-856K
-132.15%-372K
90.02%-286K
-33.63%744K
33.10%-1.34M
-15.16%-843K
192.78%1.16M
47.50%-2.87M
160.04%1.12M
Effect of exchange rate changes
481.82%42K
145.27%67K
363.27%227K
13.78%-169K
42.16%-59K
91.85%-11K
-604.76%-148K
-20.97%49K
-266.10%-196K
-157.63%-102K
End cash Position
-32.12%2.98M
-27.95%4.13M
-26.84%4.92M
-8.24%5.07M
-8.24%5.07M
-2.69%4.38M
-13.69%5.74M
-9.08%6.73M
-35.67%5.52M
-35.67%5.52M
Free cash flow
12.81%-1.01M
-17.01%-908K
40.21%-562K
-71.65%-3.37M
29.59%-502K
-75.53%-1.16M
9.77%-776K
-453.38%-940K
-211.90%-1.97M
-170.52%-713K
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
--
(Q3)Mar 31, 2026(Q2)Dec 31, 2025(Q1)Sep 30, 2025(FY)Jun 30, 2025(Q4)Jun 30, 2025(Q3)Mar 31, 2025(Q2)Dec 31, 2024(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 12.81%-1.01M-17.92%-908K40.31%-533K-73.68%-3.32M27.29%-501K-77.42%-1.16M10.67%-770K-406.87%-893K-201.97%-1.91M-165.31%-689K
Net income from continuing operations 121.94%222K67.01%-576K77.55%-356K-43.03%-5.82M20.52%-1.48M-91.67%-1.01M-47.47%-1.75M-217.20%-1.59M-449.27%-4.07M-657.66%-1.86M
Operating gains losses 36.02%-286K-94.58%60K-3,454.55%-738K3,120.00%906K217.37%223K-40.13%-447K48.13%1.11M108.18%22K-123.81%-30K---190K
Depreciation and amortization -8.33%132K-60.56%56K-40.88%94K0.85%590K-0.68%145K3.60%144K-2.74%142K3.25%159K-2.50%585K-10.43%146K
Deferred tax -------------34.62%-1.61M-----------------3,132.43%-1.2M----
Other non cash items -43.77%185K-54.23%173K36.96%252K91.05%1.32M165.64%433K77.84%329K74.19%378K43.75%184K9.31%693K-19.31%163K
Change In working capital -398.50%-1.33M16.10%-688K212.12%148K61.25%466K126.04%1.68M-9.02%-266K8.58%-820K-119.27%-132K140.08%289K161.40%745K
-Change in receivables -5,177.27%-1.16M-115.65%-23K-215.70%-199K-7.85%317K112.99%20K-140.74%-22K486.84%147K-64.32%172K135.62%344K22.22%-154K
-Change in inventory -203.57%-58K181.29%113K-361.70%-123K239.29%190K470.49%226K-73.08%56K-11.20%-139K38.24%47K171.79%56K-157.01%-61K
-Change in prepaid assets 82.55%-56K68.71%-153K49.64%-209K260.40%555K188.03%1.78M5.87%-321K-85.23%-489K-15.60%-415K-301.16%-346K1,407.32%618K
-Change in payables and accrued expense 216.13%144K-116.53%-537K782.19%644K-115.08%-190K-75.51%109K-146.27%-124K-45.88%-248K-89.82%73K1,565.12%1.26M31.27%445K
-Change in other current assets -101.14%-3K-11.82%97K104.52%317K175.08%247K-568.33%-281K208.68%263K242.86%110K321.43%155K-61.27%-329K-74.36%60K
-Change in other current liabilities -62.71%-192K7.96%-185K-71.95%-282K6.18%-653K-4.29%-170K38.22%-118K9.87%-201K-37.82%-164K-3.73%-696K31.51%-163K
Cash from discontinued investing activities
Operating cash flow 12.81%-1.01M-17.92%-908K40.31%-533K-73.68%-3.32M27.29%-501K-75.53%-1.16M9.94%-770K-406.87%-893K-203.24%-1.91M-166.76%-689K
Investing cash flow
Cash flow from continuing investing activities 88.85%-181K-58.15%77K211.47%1.48M229.91%1.2M116.95%3.97M-19.85%-1.62M35.29%184K13.74%-1.33M87.30%-926K163.18%1.83M
Net PPE purchase and sale --0--038.30%-29K0.00%-54K95.83%-1K--0-20.00%-6K-88.00%-47K43.16%-54K-14.29%-24K
Net business purchase and sale --0--0--1.07M278.66%720K--720K--0--0--0---403K----
Net investment purchase and sale 88.85%-181K-83.51%77K134.43%440K408.75%814K44.02%3.25M-123.69%-1.62M231.21%467K15.42%-1.28M102.43%160K178.69%2.26M
Net other investing changes ------------55.96%-277K--0--0---------0.96%-629K--0
Cash from discontinued investing activities
Investing cash flow 88.85%-181K-58.15%77K211.47%1.48M229.91%1.2M116.95%3.97M-19.85%-1.62M35.29%184K13.74%-1.33M87.30%-926K163.18%1.83M
Financing cash flow
Cash flow from continuing financing activities 090.27%-25K-138.99%-1.32M6,200.00%1.83M-14,231.58%-2.72M35,775.00%1.44M-1,876.92%-257K168,850.00%3.38M-50.00%-30K-375.00%-19K
Net issuance payments of debt --0--0-138.99%-1.32M1,136.67%311K-13,921.05%-2.66M-10,100.00%-400K--0168,850.00%3.38M-50.00%-30K-375.00%-19K
Net common stock issuance --0----------1.81M--230K--1.84M----------0--0
Net other financing activities ---------------289K------------------------
Cash from discontinued financing activities
Financing cash flow --090.27%-25K-138.99%-1.32M6,200.00%1.83M-14,231.58%-2.72M35,775.00%1.44M-1,876.92%-257K168,850.00%3.38M-50.00%-30K-375.00%-19K
Net cash flow
Beginning cash position -27.95%4.13M-26.84%4.92M-8.24%5.07M-35.67%5.52M-2.69%4.38M-13.69%5.74M-9.08%6.73M-35.67%5.52M-38.36%8.59M-56.17%4.5M
Current changes in cash 11.61%-1.19M-1.54%-856K-132.15%-372K90.02%-286K-33.63%744K33.10%-1.34M-15.16%-843K192.78%1.16M47.50%-2.87M160.04%1.12M
Effect of exchange rate changes 481.82%42K145.27%67K363.27%227K13.78%-169K42.16%-59K91.85%-11K-604.76%-148K-20.97%49K-266.10%-196K-157.63%-102K
End cash Position -32.12%2.98M-27.95%4.13M-26.84%4.92M-8.24%5.07M-8.24%5.07M-2.69%4.38M-13.69%5.74M-9.08%6.73M-35.67%5.52M-35.67%5.52M
Free cash flow 12.81%-1.01M-17.01%-908K40.21%-562K-71.65%-3.37M29.59%-502K-75.53%-1.16M9.77%-776K-453.38%-940K-211.90%-1.97M-170.52%-713K
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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