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NASDAQ:DUNEU

Dune Acquisition Corporation

  • Stock

USD

Last Close

4.62

21/12 18:28

Market Cap

22.25M

Beta: 0.05

Volume Today

41.81K

Avg: 163

PE Ratio

−3.65

PFCF: 56.51

Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
net income
-768
-
-138.38K
17,918.75%
6.05M
4,472.71%
-2.71M
144.74%
1.83M
167.67%
372.36K
79.67%
3.26M
776.14%
7.37M
125.83%
-1.44M
119.59%
-2.62M
81.85%
1.21M
146.04%
-557.92K
146.17%
-1.34M
139.78%
depreciation and amortization
deferred income tax
stock based compensation
change in working capital
768
-
121.41K
15,707.94%
-307.71K
353.46%
139.71K
145.40%
123.06K
11.92%
1.68M
1,266.24%
236.94K
85.91%
1.03M
333.84%
1.49M
45.40%
-2.50M
267.57%
-1.69M
32.38%
645.11K
138.09%
1.02M
57.88%
accounts receivables
inventory
accounts payables
216
-
332.05K
153,625.46%
-281.84K
184.88%
-16.43K
94.17%
-7.80K
52.53%
105.66K
1,454.75%
43.69K
58.65%
215.04K
392.24%
1.24M
476.63%
234.31K
81.10%
-1.69M
821.56%
1.50K
100.09%
53.53K
3,480.47%
other working capital
552
-
-210.64K
38,259.78%
-25.88K
87.72%
156.14K
703.38%
130.86K
16.19%
1.58M
1,104.07%
193.26K
87.73%
812.90K
320.63%
254.61K
68.68%
-2.74M
1,175.69%
1.69M
161.73%
643.61K
61.93%
964.97K
49.93%
other non cash items
-10.25K
-
-6.27M
61,040.72%
2.48M
139.53%
-2.12M
185.55%
-2.18M
2.73%
-3.70M
69.72%
-8.49M
129.83%
-57.49K
99.32%
5.13M
9,020.68%
581.03K
88.67%
-377.42K
164.96%
286.93K
176.02%
net cash provided by operating activities
-27.23K
-
-525.34K
1,829.12%
-89.44K
82.97%
-164.83K
84.30%
-124.01K
24.77%
-196.74K
58.65%
-99.53K
49.41%
-6.00K
93.97%
620.65K
10,447.67%
95.70K
84.58%
-290.23K
403.28%
-32.34K
88.86%
investments in property plant and equipment
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
-1
-
100K
10,000,100%
160.84M
160,735.90%
-1
100.00%
208K
-
net cash used for investing activites
-1
-
100K
10,000,100%
160.84M
160,735.90%
-1
100.00%
208K
-
debt repayment
common stock issued
25K
-
177.35M
709,300%
common stock repurchased
dividends paid
other financing activites
-24.41K
-
-3.88M
15,807.07%
-160.75M
-
net cash used provided by financing activities
595
-
173.47M
29,154,165.38%
-160.75M
-
20K
-
effect of forex changes on cash
net change in cash
595
-
940.65K
157,991.93%
-525.34K
155.85%
-89.44K
82.97%
-86.31K
3.49%
-124.01K
43.67%
-96.74K
21.99%
-13.09K
86.47%
-6.00K
54.17%
303.70K
-
-290.23K
195.56%
-12.34K
95.75%
cash at beginning of period
595
-
941.24K
158,091.93%
415.90K
55.81%
326.46K
21.50%
240.15K
26.44%
116.14K
51.64%
19.40K
83.30%
6.31K
67.47%
313
95.04%
313
0%
304.01K
97,027.48%
13.78K
95.47%
cash at end of period
595
-
941.24K
158,091.93%
415.90K
55.81%
326.46K
21.50%
240.15K
26.44%
116.14K
51.64%
19.40K
83.30%
6.31K
67.47%
313
95.04%
313
0%
304.01K
97,027.48%
13.78K
95.47%
1.44K
89.55%
operating cash flow
-27.23K
-
-525.34K
1,829.12%
-89.44K
82.97%
-164.83K
84.30%
-124.01K
24.77%
-196.74K
58.65%
-99.53K
49.41%
-6.00K
93.97%
620.65K
10,447.67%
95.70K
84.58%
-290.23K
403.28%
-32.34K
88.86%
capital expenditure
free cash flow
-27.23K
-
-525.34K
1,829.12%
-89.44K
82.97%
-164.83K
84.30%
-124.01K
24.77%
-196.74K
58.65%
-99.53K
49.41%
-6.00K
93.97%
620.65K
10,447.67%
95.70K
84.58%
-290.23K
403.28%
-32.34K
88.86%

All numbers in USD (except ratios and percentages)