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MIAX
Miami International Holdings, Inc.
39.05
100 x undefined
300 x undefined
bid
ask
+
1.89
5.09%
200 @ 07:37 AM
39.29 +0.24 (0.61%)
Ytd-12.01%
1y27.03%
37.62
day range
39.11
28.63
52 week range
57.14
Open37.72Prev Close37.16Low37.62High39.11Mkt Cap3.78B
Vol1.45MAvg Vol1.82MEPS1.29P/E30.27Forward P/E21.44
BetaN/AShort Ratio2.81Inst. Own57.44%DividendN/ADiv YieldN/A
Ex Div DateN/AEarning08-0550-d Avg45.17200-d Avg43.271yr Est51.20
Income Statement
Total Revenue369.69M
Revenues (USD)369.69M
Cost of Revenue241.10M
Gross Profit128.59M
Operating Expenses82.63M
Selling, General and Administrative Expense74.54M
Operating Income45.97M
Interest Expense45.00K
Income Tax Expense-70.18M
Net Income170.22M
Net Income Common Stock170.22M
Net Income Common Stock (USD)170.22M
Consolidated Income170.22M
Earnings per Basic Share1.85
Earnings per Basic Share (USD)1.85
Earnings per Diluted Share1.56
Earning Before Interest & Taxes (EBIT)100.09M
Earning Before Interest & Taxes (USD)100.09M
Weighted Average Shares91.79M
Weighted Average Shares Diluted109.15M
Balance Sheet
Cash and Equivalents592.00M
Cash and Equivalents (USD)592.00M
Investments33.89M
Investments Current4.71M
Investments Non-Current29.18M
Trade and Non-Trade Receivables256.15M
Current Assets971.37M
Property, Plant & Equipment Net53.46M
Total Assets1.44B
Debt Current1.51M
Total Debt1.51M
Current Liabilities350.90M
Total Liabilities378.62M
Accumulated Retained Earnings (Deficit)-462.11M
Accumulated Other Comprehensive Income-2.36M
Shareholders Equity1.07B
Shareholders Equity (USD)1.07B
Assets Non-Current472.81M
Total Debt (USD)1.51M
Deferred Revenue10.40M
Goodwill and Intangible Assets267.64M
Liabilities Non-Current27.73M
Trade and Non-Trade Payables241.15M
Tax Assets59.67M
Tax Liabilities10.87M
Cash Flow
Depreciation, Amortization & Accretion8.09M
Net Cash Flow from Financing7.11M
Net Cash Flow / Change in Cash & Cash Equivalents113.11M
Capital Expenditure-14.27M
Net Cash Flow - Business Acquisitions and Disposals59.84M
Issuance (Purchase) of Equity Shares7.15M
Issuance (Repayment) of Debt Securities -36.00K
Net Cash Flow from Investing45.56M
Net Cash Flow from Operations60.87M
Effect of Exchange Rate Changes on Cash -433.00K
Share Based Compensation8.67M