Catalyst Media Group plc (CMX)

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CMXLondon Stock Exchange
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Net income

Free cash flow

No reported data

Total cash / debt

CashTotal debt

Financial statements

4 annual periodsNewest to oldest
2025202420232022
Revenue£25,000£25,000£25,000£25,000
Operating expenses£145,955£169,942£179,447£137,859
Operating income−£120,955−£144,942−£154,447−£112,859
Operating margin−483.82%−579.77%−617.79%−451.44%
EBITDA£358,912£251,685£2.6M£24.4M
EBITDA margin1,435.65%1,006.74%10,336.98%97,731.26%
Net income£387,120£283,185£2.6M£24.5M
Net profit margin1,548.48%1,132.74%10,458.18%97,827.09%
Basic EPSper basic share£0.02£0.01£0.12£1.16
Diluted EPSper diluted share£0.02£0.01£0.12£1.16

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