cache/09fa514087b966fccdc9244f6b9526ecbbfa87a87bb72c45223d04e2c32fb2ab

COM:CRACKLE

Crackle

  • Privately Held

Company Overview

Metric
Company NameCrackleCineverse Corp.Rumble Inc.Viaplay
SymbolCNVSRUM
MSH IDCOM:CRACKLECOM:CINEVERSECOM:RUMBLECOM:VIAPLAY
MarketPRIVATESTOCKSSTOCKSPRIVATE
SectorConsumer ServicesCommunication ServicesTechnologyConsumer Services
IndustryEntertainmentEntertainmentSoftware - ApplicationMedia & Entertainment
CountryUSUSUSSE
StagePost-IPO DebtCorporate Round
Employee Count176158
Websitecrackle.comcineverse.comrumble.comviaplay.com
LinkedIncinedigmviaplaygroup
Founders

Market Metrics

Metric
Market Cap13.84M2.18B
Enterprise Value
Monthly Web Traffic37.71K65.56K
Web Traffic Growth-0.57-0.44
Valuation
Raised Capital7.50M

Financial Performance

Metric
Revenue49.13M80.96M
Revenue (LTM)
Revenue (NTM)
Gross Profit26.23M-70.04M
EBITDA3.43M-123.68M
Operating Income-340K-136.32M
Net Income-21.41M-116.42M
EPS-1.75-0.58
Diluted EPS-1.75-0.58
Revenue 2022
Revenue 2023
Revenue 2024
Revenue 2025
Revenue 2026

Growth Metrics

Metric
Revenue Growth (LTM)
Revenue Growth (NTM)
Gross Profit Growth (LTM)
EBITDA Growth (LTM)
Net Income Growth (LTM)
14-Day Growth Score
28-Day Growth Score
90-Day Growth Score
365-Day Growth Score

Profitability Ratios

Metric
Gross Profit Margin0.55-0.50
Operating Profit Margin-0.01-1.31
EBITDA Margin0.07-1.53
Net Profit Margin-0.44-1.08
Return on Equity-0.50-0.29
Return on Assets-0.33-0.27
Return on Capital Employed-0.01-0.41

Valuation Multiples

Metric
P/E Ratio-0.52-16.38
P/B Ratio0.335.24
Revenue Multiple (LTM)
Revenue Multiple (NTM)
EBITDA Multiple (LTM)
EBITDA Multiple (NTM)
Price to Sales Ratio0.7936.13
EV Multiple9.08-15.40

Operational Metrics

Metric
Days Sales Outstanding124.6427.89
Days Payables Outstanding250.1193.99
Days Inventory Outstanding0.00
Operating Cycle124.6446.89
Cash Conversion Cycle-125.4746.89
Asset Turnover0.760.35

Cash Flow Metrics

Metric
Operating Cash Flow-10.79M
Free Cash Flow-11.86M
Cash Flow to Debt-1.08-28.55
Operating Cash Flow/Sales-0.20-0.93
Free Cash Flow Yield-0.93-0.03

Balance Sheet Metrics

Metric
Cash & Equivalents5.17M218.34M
Accounts Receivable7.57M
Inventory
Goodwill6.80M10.66M
Debt to Capitalization0.220.01
Debt to Assets0.110.01
Current Ratio1.056.47
Quick Ratio1.0523.03

Efficiency Metrics

Metric
Rule of 40 (LTM)
Rule of 40 (NTM)
Stock Comp to Revenue0.030.15
R&D to Revenue0.18
SG&A to Revenue0.430.47