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OTCM
WRIT
Market cap481kUSD
Jul 08, Last price  
0.00USD
1D
0.00%
1Q
-11.11%
Jan 2017
-96.48%
IPO
-99.20%
Name

WRIT Media Group Inc

Chart & Performance

D1W1MN
P/E
0.05
P/S
EPS
0.03
Div Yield, %
Shrs. gr., 5y
31.63%
Rev. gr., 5y
0.00%
Revenues
0k
-100.00%
009,4250160,000397,0008,85511,0000011,375046,16825,00016,0000
Net income
9m
P
-60,737-56,141-32,421-4,964,248-14,708-772,914-392,7691,044,284-2,203,576-1,402,141-691,739-3,005,502-2,297,953-1,405,831-1,372,4238,954,436
CFO
-1m
L+1,315.00%
-4,187-30,087-25,640-47,609-36,304-226,299-164,736-175,463-345,616-45,433-143,700-277,360-142,227-127,649-71,559-1,012,558

Profile

WRIT Media Group, Inc., through its subsidiaries, operates as a content creation company worldwide. It produces, acquires, licenses, and distributes music-related content in 3D and ultra-high definition for digital broadcast into digitally-enabled movie theaters, TV, and mobile streaming providers. The company also licenses pre-Windows computer game libraries, as well as adapts and republishes titles under the Amiga, Atari, and MS-DOS brands for smartphones, modern game consoles, PCs, tablets, and other television streaming devices; and publishes related merchandise and characters from the games. In addition, it develops digital currency, Blockchain technology, and digital currency trading software. The company was formerly known as Writers' Group Film Corp. and changed its name to WRIT Media Group, Inc. in January 2014. WRIT Media Group, Inc. headquartered in Las Vegas, Nevada.
IPO date
Sep 15, 2009
Employees
Domiciled in
US
Incorporated in
US

Valuation

Title
USD in thousands, except ratios and share amounts
FYFYFYFYFYFYFY
2024‑032023‑032022‑032021‑032020‑032017‑032016‑03
Income
Revenues
16
-36.00%
Cost of revenue
388
388
Unusual Expense (Income)
NOPBT
(388)
16
NOPBT Margin
97.58%
Operating Taxes
2
2
Tax Rate
0.01%
NOPAT
(390)
16
Net income
8,954
-752.45%
(1,372)
-2.38%
Dividends
Dividend yield
Proceeds from repurchase of equity
BB yield
Debt
Debt current
862
6,586
Long-term debt
Deferred revenue
Other long-term liabilities
Net debt
861
6,584
Cash flow
Cash from operating activities
(1,013)
(72)
CAPEX
Cash from investing activities
495
Cash from financing activities
516
74
FCF
(3,654)
1,365
Balance
Cash
1
3
Long term investments
Excess cash
1
2
Stockholders' equity
(7,528)
(16,483)
Invested Capital
10,955
16,257
ROIC
0.10%
ROCE
EV
Common stock shares outstanding
121,054
75,483
Price
0.01
3.90%
0.01
-40.77%
Market cap
968
66.62%
581
-41.05%
EV
1,829
7,165
EBITDA
16
EV/EBITDA
447.80
Interest
188
1,018
Interest/NOPBT
6,520.77%