IMAX Financial Analysis

FY2024Q4FY2024Q3FY2024Q2FY2024Q1FY2023Q4FY2023Q3FY2023Q2FY2023Q1FY2022Q4FY2022Q3FY2022Q2FY2022Q1FY2021Q4FY2021Q3FY2021Q2FY2021Q1FY2020Q4FY2020Q3FY2020Q2FY2020Q1
Net Cash Flow from Operating Activities
11.49M
186.62%
35.28M
22.71%
35.04M
655.62%
-10.97M
-151.69%
4.01M
-76.21%
28.75M
397.97%
4.64M
-407.09%
21.22M
-660.88%
16.84M
-34.34%
5.77M
-325.02%
-1.51M
-75.10%
-3.78M
-65.46%
25.65M
228.51%
-2.57M
-74.18%
-6.07M
-77.41%
-10.95M
-283.56%
7.81M
-66.23%
-9.94M
-153.03%
-26.85M
-154.58%
5.97M
Funds from Operations
30.27M
12.45%
35.52M
-11.38%
25.50M
-14.07%
26.58M
8.87%
26.92M
-9.83%
40.08M
218.52%
29.67M
22.28%
24.41M
57.21%
29.85M
-31.14%
12.58M
5.59%
24.26M
100.39%
15.53M
350.35%
43.35M
563.45%
11.92M
37.77%
12.11M
-160.02%
3.45M
-124.09%
6.53M
-85.40%
8.65M
-67.36%
-20.17M
-152.25%
-14.31M
Change in Working Capital
-18.78M
-18.01%
-233.00K
-97.94%
9.54M
-138.12%
-37.55M
1075.49%
-22.91M
76.09%
-11.32M
66.32%
-25.03M
-2.88%
-3.19M
-83.46%
-13.01M
-26.52%
-6.81M
-52.99%
-25.77M
41.82%
-19.31M
34.11%
-17.70M
-1490.65%
-14.48M
-22.09%
-18.17M
172.38%
-14.40M
-171.01%
1.27M
-105.88%
-18.59M
139.62%
-6.67M
-163.09%
20.28M
Net Cash Flow from Investing Activities
-10.87M
-17.19%
-14.71M
44.99%
-8.50M
100.47%
-7.14M
66.78%
-13.13M
1.88%
-10.14M
-54.74%
-4.24M
-42.71%
-4.28M
-59.60%
-12.88M
93.37%
-22.41M
374.81%
-7.40M
156.91%
-10.60M
-174.33%
-6.66M
304.55%
-4.72M
150.40%
-2.88M
-4.32%
14.26M
-625.47%
-1.65M
-86.65%
-1.89M
-82.82%
-3.01M
-79.98%
-2.71M
Capital Expenditures - Net
8.26M
20.08%
2.74M
-21.17%
3.18M
34.70%
2.70M
27.02%
6.88M
59.02%
3.47M
-10.52%
2.36M
-29.15%
2.12M
66.07%
4.32M
124.04%
3.88M
120.96%
3.34M
64.85%
1.28M
-35.17%
1.93M
584.40%
1.76M
248.41%
2.02M
196.63%
1.97M
74.14%
282.00K
-90.44%
504.00K
-76.07%
682.00K
-72.93%
1.13M
Acquisition & Disposal of Business Sold/(Acquired)
0.00
0.00
0.00
0.00
0.00
-100.00%
0.00
-100.00%
0.00
0.00
-3.30M
-12.64M
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Investments - Associated Co & JVs - Sold/(Purchased)
-2.61M
-64.18%
-11.97M
79.42%
-5.32M
183.32%
-4.44M
105.93%
-7.30M
38.69%
-6.67M
13.24%
-1.88M
-53.84%
-2.16M
-52.98%
-5.26M
11.13%
-5.89M
98.79%
-4.06M
374.21%
-4.59M
197.86%
-4.73M
246.74%
-2.96M
114.63%
-857.00K
-63.19%
-1.54M
-2.53%
-1.37M
-85.46%
-1.38M
-84.42%
-2.33M
-81.40%
-1.58M
Net Cash Flow from Financing Activities
-5.09M
-78.95%
-7.56M
64.78%
-16.19M
242.61%
22.79M
-251.59%
-24.18M
-497.65%
-4.59M
-35.24%
-4.72M
-89.38%
-15.04M
15.36%
6.08M
-127.35%
-7.09M
-49.09%
-44.48M
1.25%
-13.04M
-75.24%
-22.23M
-415.00%
-13.92M
542.82%
-43.93M
1158.96%
-52.65M
-122.01%
7.06M
-288.41%
-2.17M
-82.12%
-3.49M
-93.14%
239.16M
Stock - Total - Issuance/(Retirement) - Net
5.08M
-122.49%
98.00K
-138.89%
-246.00K
-30.70%
-17.86M
388.40%
-22.58M
-14.95%
-252.00K
-95.35%
-355.00K
-99.18%
-3.66M
-54.95%
-26.54M
85.11%
-5.43M
-43.64%
-43.08M
-73122.03%
-8.12M
-1084.95%
-14.34M
-5615.00%
-9.63M
-17289.29%
59.00K
-86.86%
824.00K
-102.12%
260.00K
-110.58%
56.00K
-101.50%
449.00K
-103.24%
-38.93M
Minority Interests & Joint Ventures - Net
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
-100.00%
0.00
Debt - LT & ST - Issuance/(Retirement)
-10.41M
571.01%
-7.66M
76.61%
-15.16M
460.05%
44.84M
-971.10%
-1.55M
-104.71%
-4.34M
-436.12%
-2.71M
204.04%
-5.15M
32.92M
-546.96%
1.29M
-890.00K
-97.86%
0.00
-100.00%
-7.37M
-200.00%
0.00
-41.64M
-17166.80%
-31.33M
-111.19%
7.37M
0.00
-100.00%
244.00K
-100.70%
280.00M
Net Change in Cash
-3.91M
-88.29%
12.95M
-9.66%
10.54M
-364.70%
4.82M
161.08%
-33.40M
-425.88%
14.34M
-162.44%
-3.98M
-92.37%
1.85M
-106.73%
10.25M
-410.89%
-22.96M
8.73%
-52.19M
-2.76%
-27.41M
-44.72%
-3.30M
-127.06%
-21.12M
53.14%
-53.67M
61.21%
-49.59M
-120.42%
12.18M
75.63%
-13.79M
253.29%
-33.29M
100.15%
242.79M
Free Cash Flow
3.23M
-212.51%
32.55M
28.73%
31.86M
1300.84%
-13.67M
-171.57%
-2.87M
-122.92%
25.28M
1234.79%
2.27M
-146.93%
19.09M
-477.20%
12.52M
-47.23%
1.89M
-143.82%
-4.85M
-40.10%
-5.06M
-60.83%
23.72M
215.18%
-4.32M
-58.61%
-8.09M
-70.62%
-12.92M
-367.41%
7.53M
-62.69%
-10.44M
-162.78%
-27.53M
-158.99%
4.83M

IMAX FAQs

What is IMAX's PE Ratio in 2025/4/15?

IMAX's PE ratio in April 15, 2025 is 45.12. This indicates the price investors are willing to pay for $1 of earnings.

What is IMAX's PS Ratio in 2025/4/15?

What is IMAX's Dividend Yield in 2024/Q4?

What is IMAX's Gross Margin in 2024/Q4?

Free Financial AI Agent for Investment

Ask any investment related question and get answer instantly

Is IMAX earnings result positive or negative?How should I trade on IMAX earnings?