Reported Q: Q4 2024 Rev YoY: -6.9% EPS YoY: -647.6% Move: -3.73%
The Marygold Companies
MGLD
$0.982 -3.73%
Exchange AMEX Sector Financial Services Industry Asset Management
Q4 2024
Published: Sep 18, 2024

Company Status Snapshot

Fast view of the latest quarter outcome for MGLD

Reported

Report Date

Sep 18, 2024

Quarter Q4 2024

Revenue

8.27M

YoY: -6.9%

EPS

-0.05

YoY: -647.6%

Market Move

-3.73%

Previous quarter: N/A

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Earnings Highlights

  • Revenue of $8.27M down 6.9% year-over-year
  • EPS of $-0.05 decreased by 647.6% from previous year
  • Gross margin of 72.5%
  • Net income of -1.86M
  • "Not available in the provided transcript data." - N/A
MGLD
Company MGLD

Executive Summary

The Marygold Companies Inc (MGLD) reported QQ4 2024 results with revenue of $8.265 million and a robust gross margin of 72.5%, highlighting the strength of its underlying business model. However, the quarter delivered a material bottom-line shortfall, with a net loss of $1.857 million and EBITDA of $(2.246) million, driven by a high operating expense base of $11.017 million that overwhelmed gross profit. On a per-share basis, earnings were negative at $(0.046) per share, with YoY declines in profitability, though topline declined more modestly than earnings, evidenced by a YoY revenue change of -6.9% and a QoQ revenue increase of +4.9%.

The balance sheet remains meaningfully liquid, supported by cash and short-term investments totaling roughly $15.0 million and a net cash position (net debt of approximately $(4.07) million). The company carries minimal debt, a strong current ratio of 4.63x, and a liquidity cushion that provides flexibility to pursue strategic opportunities, including potential monetization of non-core assets or fintech initiatives. Cash burn is evident in operating activities at $(0.695) million for the quarter and free cash flow of $(0.719) million, underscoring the need for sustainable margin expansion or revenue growth to return to positive cash flow generation.

Overall, MGLD presents a bifurcated investment narrative: a solid liquidity position and a diversified asset base that could unlock future value, contrasted with a near-term profitability challenge that requires operational discipline and a clearer path to sustainable earnings. Absent a specified forward-looking guidance, the near-term catalyst will likely hinge on cost optimization, execution in fee-based revenue streams, and the potential monetization of non-core ventures, including fintech initiatives.

Key Performance Indicators

Revenue
Decreasing
8.27M
QoQ: 4.89% | YoY: -6.86%
Gross Profit
Decreasing
5.99M
72.52% margin
QoQ: 45.13% | YoY: -8.81%
Operating Income
Decreasing
-2.75M
QoQ: -87.08% | YoY: -837.65%
Net Income
Decreasing
-1.86M
QoQ: -251.04% | YoY: -658.04%
EPS
Decreasing
-0.05
QoQ: -251.15% | YoY: -647.62%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 6.96 -0.01 -15.8% View
Q3 2025 7.03 -0.02 -10.8% View
Q2 2025 8.00 -0.04 -5.4% View
Q1 2025 7.91 -0.04 -4.0% View
Q4 2024 8.27 -0.05 -6.9% View