Mexco Energy Corporation

AMEX:MXC

11.4 (USD) • At close November 17, 2023
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Operating Activities:
Net Income 1.3454.6632.8550.156-0.099-0.013-0.321-0.695-3.98-0.3410.301-0.1760.330.1560.4011.1710.7140.6080.7890.5780.430.6730.1891.5390.394-0.426-1.3240.3780.201
Depreciation & Amortization 01.8851.3450.9060.8810.830.9121.2134.5571.3631.1511.11.0481.0481.1130.53600000000002.8090.4780.262
Deferred Income Tax 0.312-1.885-1.345-0.906-0.881-0.8300-0.661-0.1970.005-0.032-0.0280.01-0.283-0.0110.218-0.0280.2910.1960.1370.1710.0710.18500-0.3410.0950.003
Stock Based Compensation 0.230.1430.0880.0560.0340.0230.0210.0530.1170.1530.1520.1380.120.0510.0260.0550000000000000
Change In Working Capital 0.569-0.106-0.569-0.3610.0550.187-0.145-0.2590.1070.2730.059-0.2530.1210.033-0.0921.048-0.347-0.054-0.1010.0430.143-0.1780.142-0.224-0.0980.0470.015-0.124-0.031
Accounts Receivables 0.363-0.064-0.658-0.3670.0650.483-0.437-0.1170.1710.197-0.091-0.1170.0630.186-0.0840.3560000000000000
Inventory 00.033-0.095-0.0030.0450.2840.0140.007-0.022-0.189-0.003-0.002-0.339-0.543-0.43300000000000000
Accounts Payables 0.016-0.0330.0950.003-0.045-0.2840.304-0.124-0.0660.0980.043-0.017-0.08-0.08-0.05300000000000000
Other Working Capital 0.19-0.0420.0890.006-0.01-0.296-0.026-0.0250.0230.1670.109-0.1160.4770.470.4780.692-0.347-0.054-0.1010.0430.143-0.1780.142-0.224-0.0980000
Other Non Cash Items 1.9791.8161.3710.8590.8760.8160.8861.2130.035-0.0740.1440.034-0.0180.037-0.002-0.0040.8910.7980.9210.6350.8070.7030.4970.4020.4260.911-0.040.04-0.038
Operating Cash Flow 4.4346.5163.7440.710.8651.0120.4410.3120.1761.1771.8130.8121.5731.3351.1632.7941.4751.3251.9011.4521.5171.370.91.9030.7220.5321.1190.8670.396
Investing Activities:
Investments In Property Plant And Equipment -3.349-5.312-1.889-1.595-1.696-0.818-1.093-0.802-1.139-4.79-2.153-1.314-1.642-2.438-0.916-2.938-3.07-1.557-0.68-1.571-0.984-1.634-2.253-0.937-0.804-0.645-2.103-1.298-0.969
Acquisitions Net 000.0120.1210.1050.1623.1623.2311.32300-1.15-0.478-0.478000000000000000
Purchases Of Investments -0.4-0.425-0.075-0.05-0.15000000000000000000000000
Sales Maturities Of Investments 00-0.012-0.121-0.10500000000000.0190000000000000
Other Investing Activites 0.3330.2960.2540.2580.1050.1623.2713.211.2710.0330.8460.0690.950.0030.1050.0030.040.0280.066-0.20100000.6680.0060-1.3370.024
Investing Cash Flow -3.416-5.441-1.71-1.388-1.742-0.6552.1782.4070.132-4.757-1.307-2.395-1.171-2.913-0.811-2.917-3.03-1.529-0.614-1.772-0.984-1.634-2.253-0.937-0.137-0.639-2.103-2.635-0.945
Financing Activities:
Debt Repayment 00-1.180.4540.795-0.7-2.2-2.68-0.373.525-0.5251.25-0.11.1-0.7-1.21.90.1-1.390.29-0.5110.4151.11-0.6-0.584-0.0380.1851.6370
Common Stock Issued 0000.24700.018000000-0.023-0.012000.0040.1970.05300.00300000100.5
Common Stock Repurchased -0.585-0.2440000000-0.0050-0.016-0.023-0.01200-0.119-0.0930-0.017-0.001-0.128-0.091-0.08500000
Dividends Paid -0.2140000000000000000000000000000
Other Financing Activities 0.0190.03500.247-0.012-0.02100000.0090.0160.040.5080.2851.2420.0050.0190.0180.04000000000
Financing Cash Flow -0.78-0.21-0.7210.7010.783-0.721-2.2-2.68-0.373.52-0.5161.251-0.0831.596-0.4150.0421.7860.223-1.3190.313-0.510.2881.019-0.685-0.584-0.0381.1851.6370.5
Other Information:
Effect Of Forex Changes On Cash 02.879000000000000000000000000000
Net Change In Cash 0.2380.8651.3130.023-0.094-0.3640.4190.039-0.062-0.06-0.01-0.3320.320.019-0.063-0.080.2310.02-0.032-0.0080.0240.024-0.3340.2810.002-0.1450.201-0.131-0.049
Cash At End Of Period 2.4732.2361.3710.0580.0340.1280.4930.0730.0340.0960.1560.1660.4990.1790.160.2240.3040.0730.0530.0850.0930.0690.0450.3790.0980.0960.2410.0410.172