MJ Holdings, Inc. (MJNE) Cash flow

Market cap
$11.65K
P/E ratio
2011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/12
Depreciation & amortization--23,40538,173102,526667----293,937230,616
Stock-based compensation---862,476139,134----41,122136,57931,910
Cash from operations -15,016-17,741-22,731-227,295110,353164,379-122,453-5,792,542-4,622,155-186,365-4,657,679-3,655,467
Capital expenditures---27,193--2,000--17,535--1,116,643-35,477-322,574-146,638
Cash from investing -5,256-1,494-27,193-2,993,439-897,143-3,974-317,535-2,734,672-1,516,643-35,47711185,743
Cash from financing 113,864138,333151,7703914,366-366316,446-1,532,675110,861
Free cash flow-----
FCF margin (%)------
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