bf/NYSE:NOTE_icon.png

NYSE:NOTE

FiscalNote Holdings, Inc.

  • Stock

USD

Last Close

1.28

30/08 20:00

Market Cap

247.26M

Beta: −0.25

Volume Today

294.75K

Avg: 2.18M

PE Ratio

−1.76

PFCF: −3.43

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Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
-13.30M
-
3.50M
126.32%
1.96M
43.96%
-93.92M
4,888.44%
-20.96M
77.69%
-28.35M
35.27%
32.93M
216.15%
-180.29M
647.51%
-42.54M
76.40%
-19.27M
54.70%
-30.97M
60.71%
-14.47M
53.29%
-50.75M
250.78%
50.60M
199.71%
-12.76M
125.23%
depreciation and amortization
2.81M
-
2.22M
21.09%
2.49M
12.35%
2.51M
0.76%
4.78M
90.37%
4.72M
1.36%
2.61M
44.69%
15.37K
99.41%
5.41M
35,082.78%
5.75M
6.25%
6.30M
9.57%
8.03M
27.54%
14.43M
79.62%
5.42M
62.45%
8.80M
62.51%
deferred income tax
-1.46M
-
-992K
-
-1.33M
34.17%
-386K
71.00%
-127K
67.10%
-2.71K
97.87%
-368K
13,489.36%
-218K
40.76%
432K
298.17%
-294K
168.06%
152.19K
151.76%
-71.00K
146.65%
-490.10K
590.28%
stock based compensation
192K
-
-34K
117.71%
394K
1,258.82%
187K
52.54%
463K
147.59%
260K
43.84%
565K
117.31%
30.87K
94.54%
7.18M
23,157.09%
6.51M
9.37%
5.48M
15.74%
6.22M
13.54%
8.85M
42.11%
6.17M
30.19%
3.53M
42.85%
change in working capital
-162K
-
162.16K
200.10%
1.91M
1,077.30%
-472.30K
124.74%
-2.45M
418.32%
-2.11M
13.77%
5.54M
362.25%
-14.08M
354.32%
-6.45M
54.19%
-1.64M
74.52%
1.31M
179.79%
-7.63M
681.85%
-2.23M
70.76%
7.54M
438.12%
-3.01M
139.88%
accounts receivables
-490K
-
-3.35M
583.88%
4.31M
228.74%
-727K
-
-3.63M
398.90%
834K
122.99%
-4.21K
100.50%
270K
6,511.78%
-696K
357.78%
2.34M
436.21%
916K
60.85%
-2.85M
411.04%
1.32M
146.33%
619.33K
53.08%
inventory
2.41M
-
-74.74K
-
-834K
1,015.88%
1.69M
-
1.48M
12.41%
3.27M
120.74%
accounts payables
-730K
-
95.67K
113.11%
1.58M
1,554.79%
-2.75M
273.87%
74.74K
-
8.95K
88.02%
3.56K
60.27%
627.18
82.37%
-3.23M
514,303.21%
-1.69M
47.63%
-1.48M
12.41%
-45.18K
96.95%
460K
1,118.15%
-3.12M
778.79%
other working capital
-1.35M
-
66.49K
104.91%
325.93K
390.21%
2.28M
599.67%
-1.72M
175.47%
1.52M
188.09%
5.53M
264.58%
-14.08M
354.72%
-6.72M
52.27%
2.28M
133.90%
-1.03M
145.17%
-8.54M
730.32%
-2.60M
69.56%
5.76M
321.49%
-504.11K
108.75%
other non cash items
6.81M
-
-3.85M
156.46%
-5.49M
42.73%
68.63M
1,350.20%
6.63M
90.35%
15.67M
136.46%
-31.91M
303.68%
137.43M
530.65%
21.65M
84.25%
-3.94M
118.22%
10.07M
355.29%
-3.60M
135.75%
25.95M
820.97%
-51.69M
299.16%
23.84M
146.12%
net cash provided by operating activities
-5.10M
-
-88.20K
98.27%
-36.06K
59.12%
-24.05M
66,609.21%
-12.87M
46.51%
-10.20M
20.70%
9.60M
194.09%
-56.90M
692.69%
-15.13M
73.41%
-12.83M
15.21%
-7.38M
42.46%
-11.73M
59.00%
-3.60M
69.31%
2.74M
176.11%
-3.73M
236.05%
investments in property plant and equipment
-3.35M
-
-1.19M
64.56%
-1.40M
18.01%
-1.64M
-
-2.13M
29.84%
-3.91M
83.88%
-8.86K
99.77%
-2.51M
28,210.19%
-1.87M
25.48%
-2.22M
18.62%
-1.87M
15.61%
-1.99M
6.48%
-1.69M
15.07%
-2.74M
62.04%
acquisitions net
-35K
-
-3.64M
10,308.57%
-21.56M
491.87%
-17.25M
-
1.13K
-
1.12K
0.10%
-5.01M
445,879.11%
210.21
100.00%
-3.30K
1,669.83%
-6.36K
92.73%
90.88M
1,429,147.69%
515.48K
99.43%
purchases of investments
-7.37M
-
-9.35K
99.87%
sales maturities of investments
7.38M
-
-0.00
100.00%
other investing activites
-23K
-
23K
200%
-1.12K
-
-210.21
-
-7.37M
3,505,490.00%
0.07
100.00%
90.88M
139,511,308,045.31%
500K
99.45%
net cash used for investing activites
-3.39M
-
-4.85M
43.31%
-22.94M
372.62%
-18.89M
-
-2.13M
88.73%
-3.91M
83.88%
-7.73K
99.80%
-2.51M
32,328.24%
-6.88M
174.28%
-2.22M
67.77%
-9.24M
316.78%
-2.01M
78.27%
89.19M
4,541.81%
-2.23M
102.50%
debt repayment
-144.82M
-
-175.63K
99.88%
-84.97
99.95%
-175.63K
206,603.91%
-30K
-
-189.02M
629,976.67%
-82K
99.96%
-27K
67.07%
-26K
3.70%
-27K
3.85%
-5.49M
20,236.43%
-71.99M
1,211.17%
-39.20K
99.95%
common stock issued
-45.24K
-
-45.20K
0.10%
264K
684.11%
352.97K
33.70%
33.43K
90.53%
34.89K
4.38%
196K
461.78%
33.20
99.98%
common stock repurchased
-88
-
-87.91
0.10%
dividends paid
-0.00
-
other financing activites
163.00M
-
411.69K
99.75%
-88.36K
121.46%
46.02M
52,180.95%
-19.66M
-
300.58M
1,628.67%
142.28K
99.95%
6M
4,116.92%
26
100.00%
-426
1,738.46%
-7.07M
-
net cash used provided by financing activities
18.18M
-
236.07K
98.70%
-88.28K
137.40%
45.84M
52,032.15%
28.32M
38.24%
19.69M
30.45%
-19.69M
200%
111.52M
666.27%
15K
99.99%
6.24M
41,480%
327K
94.76%
6K
98.17%
5.53M
91,995.43%
-71.80M
1,399.34%
-39.16K
99.95%
effect of forex changes on cash
-103K
-
126K
222.33%
-190K
250.79%
-116K
-
153K
231.90%
-505K
430.07%
-451
99.91%
2K
543.46%
-251K
12,650%
-132K
47.41%
199K
250.76%
-33.13M
16,749.98%
-119K
99.64%
8K
106.72%
net change in cash
9.59M
-
-44.87M
567.86%
-52.30M
16.55%
36.54M
169.87%
-3.56M
109.73%
7.51M
311.39%
-40.51M
639.05%
78.83M
294.59%
-17.62M
122.35%
-13.72M
22.13%
-9.40M
31.47%
-20.77M
120.90%
-33K
99.84%
20.02M
60,754.55%
-5.99M
129.92%
cash at beginning of period
35.43M
-
45.02M
27.07%
52.32M
16.22%
23.53K
99.96%
36.56M
155,266.70%
33.01M
9.72%
40.52M
22.77%
14.69K
99.96%
78.84M
536,628.16%
61.22M
22.35%
47.50M
22.41%
38.10M
19.79%
17.33M
54.51%
17.30M
0.19%
37.32M
115.70%
cash at end of period
45.02M
-
147.86K
99.67%
23.53K
84.08%
36.56M
155,266.70%
33.01M
9.72%
40.52M
22.77%
14.69K
99.96%
78.84M
536,628.16%
61.22M
22.35%
47.50M
22.41%
38.10M
19.79%
17.33M
54.51%
17.30M
0.19%
37.32M
115.70%
31.33M
16.05%
operating cash flow
-5.10M
-
-88.20K
98.27%
-36.06K
59.12%
-24.05M
66,609.21%
-12.87M
46.51%
-10.20M
20.70%
9.60M
194.09%
-56.90M
692.69%
-15.13M
73.41%
-12.83M
15.21%
-7.38M
42.46%
-11.73M
59.00%
-3.60M
69.31%
2.74M
176.11%
-3.73M
236.05%
capital expenditure
-3.35M
-
-1.19M
64.56%
-1.40M
18.01%
-1.64M
-
-2.13M
29.84%
-3.91M
83.88%
-8.86K
99.77%
-2.51M
28,210.19%
-1.87M
25.48%
-2.22M
18.62%
-1.87M
15.61%
-1.99M
6.48%
-1.69M
15.07%
-2.74M
62.04%
free cash flow
-8.46M
-
-1.28M
84.91%
-1.44M
12.68%
-24.05M
1,572.72%
-14.51M
39.70%
-12.33M
14.99%
5.69M
146.12%
-56.90M
1,100.68%
-17.63M
69.01%
-14.70M
16.67%
-9.60M
34.69%
-13.61M
41.76%
-5.59M
58.89%
1.05M
118.75%
-6.47M
716.87%

All numbers in USD (except ratios and percentages)