CA Stock MarketDetailed Quotes

MRBL Marble Financial Inc

Watchlist
  • 0.060
  • 0.0000.00%
15min DelayMarket Closed Jan 29 16:00 ET
11.04MMarket Cap-3.53P/E (TTM)

Marble Financial Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
Assets
Cash, cash equivalents and federal funds sold
-86.93%18.01K
-81.76%30.29K
-48.80%88.9K
-96.02%44.01K
-96.02%44.01K
-23.81%137.77K
-68.41%166.1K
-87.73%173.62K
-16.56%1.11M
-16.56%1.11M
-Cash and cash equivalents
-86.93%18.01K
-81.76%30.29K
-48.80%88.9K
-96.02%44.01K
-96.02%44.01K
-23.81%137.77K
-68.41%166.1K
-87.73%173.62K
-16.56%1.11M
-16.56%1.11M
Net loan
-67.35%290.99K
-63.09%384.41K
-59.11%461.37K
-51.93%593.42K
-51.93%593.42K
-36.65%891.18K
-36.14%1.04M
-39.66%1.13M
-44.44%1.23M
-44.44%1.23M
-Gross loan
-63.10%408.14K
-59.46%502.47K
-56.80%572.93K
-46.39%750.16K
-46.39%750.16K
-29.35%1.11M
-30.33%1.24M
-36.29%1.33M
-43.53%1.4M
-43.53%1.4M
-Allowance for loans and lease losses
-17.90%107.59K
-10.92%108.23K
-16.87%102.12K
54.04%151.4K
54.04%151.4K
28.90%131.06K
22.42%121.5K
-26.25%122.84K
-55.32%98.29K
-55.32%98.29K
-Unearned income
88.61%-9.56K
87.16%-9.82K
87.43%-9.45K
91.97%-5.34K
91.97%-5.34K
-46.31%-83.94K
-55.88%-76.5K
-65.76%-75.13K
-84.43%-66.46K
-84.43%-66.46K
Receivables
-38.56%114.68K
-16.52%164.74K
-34.92%159.8K
-56.86%115.33K
-56.86%115.33K
-28.78%186.66K
-30.00%197.33K
63.35%245.53K
630.44%267.38K
630.44%267.38K
-Accounts receivable
-38.56%114.68K
-2.49%164.74K
-8.90%159.8K
-26.34%115.33K
-26.34%115.33K
57.18%186.66K
66.11%168.94K
16.71%175.42K
327.77%156.58K
327.77%156.58K
-Other receivables
----
----
----
----
----
----
-84.24%28.39K
--70.11K
--110.8K
--110.8K
Prepaid assets
1.47%57.13K
-1.97%59.29K
109.89%70.29K
-53.57%33.85K
-53.57%33.85K
-56.55%56.3K
-9.56%60.48K
-42.41%33.49K
4.42%72.92K
4.42%72.92K
Net PPE
-39.28%15.95K
-38.52%17.91K
-35.32%19.87K
-28.01%21.84K
-28.01%21.84K
-0.29%26.26K
54.52%29.13K
-87.65%30.73K
-89.55%30.33K
-89.55%30.33K
-Gross PPE
0.00%115.27K
0.00%115.27K
1.82%115.27K
5.44%115.27K
5.44%115.27K
17.26%115.27K
28.82%115.27K
-80.26%113.21K
-80.94%109.33K
-80.94%109.33K
-Accumulated depreciation
-11.59%-99.32K
-13.03%-97.36K
-15.65%-95.4K
-18.28%-93.43K
-18.28%-93.43K
-23.68%-89.01K
-21.96%-86.14K
74.60%-82.49K
72.09%-78.99K
72.09%-78.99K
Goodwill and other intangible assets
-20.52%2.5M
-17.04%2.65M
-17.69%2.69M
-17.83%2.73M
-17.83%2.73M
443.71%3.14M
437.62%3.19M
435.02%3.27M
429.47%3.32M
429.47%3.32M
-Goodwill
1.41%1.4M
1.41%1.4M
0.00%1.4M
0.00%1.4M
0.00%1.4M
--1.38M
--1.38M
--1.4M
--1.4M
--1.4M
-Other intangible assets
-37.71%1.1M
-31.08%1.25M
-30.95%1.29M
-30.82%1.33M
-30.82%1.33M
204.79%1.76M
205.29%1.81M
205.76%1.87M
206.21%1.92M
206.21%1.92M
Other assets
----
----
----
----
----
----
-100.00%1
----
---1
---1
Total assets
-32.57%2.99M
-29.48%3.31M
-28.48%3.49M
-41.37%3.54M
-41.37%3.54M
9.73%4.44M
2.35%4.69M
12.07%4.88M
31.92%6.03M
31.92%6.03M
Liabilities
Current debt and capital lease obligation
-21.17%1.51M
6.09%1.56M
-1.96%1.31M
-24.99%1.07M
-24.99%1.07M
30.32%1.92M
4.80%1.47M
572.31%1.33M
127.84%1.42M
127.84%1.42M
-Current debt
-21.17%1.51M
8.47%1.56M
4.26%1.31M
-17.76%1.07M
-17.76%1.07M
46.96%1.92M
17.47%1.43M
4,874.70%1.25M
190.09%1.3M
190.09%1.3M
-Current capital lease obligation
----
----
----
--0
--0
--0
-81.96%32.17K
-54.05%79.42K
-29.36%125.23K
-29.36%125.23K
Current accrued expenses
--546.59K
--492.1K
----
----
----
----
----
----
----
----
Payables
-15.34%1.29M
8.64%1.28M
117.82%2.13M
80.55%1.83M
80.55%1.83M
46.29%1.52M
57.11%1.17M
73.57%977.88K
78.74%1.01M
78.74%1.01M
-Accounts payable
-15.34%1.29M
8.64%1.28M
117.82%2.13M
80.55%1.83M
80.55%1.83M
46.29%1.52M
57.11%1.17M
73.57%977.88K
78.74%1.01M
78.74%1.01M
Current provisions
--0
--683.15K
74.62%681K
74.62%681K
74.62%681K
--592K
--0
--390K
--390K
--390K
Current deferred liabilities
-67.07%19.08K
-24.80%27.22K
66.38%44.28K
325.72%56.43K
325.72%56.43K
549.39%57.93K
39.71%36.2K
-70.02%26.61K
-93.33%13.26K
-93.33%13.26K
Long term debt and capital lease obligation
-99.94%3.01K
-99.92%4.3K
0.10%5.25M
0.93%5.23M
0.93%5.23M
0.34%5.28M
-0.43%5.26M
-0.80%5.24M
-3.56%5.18M
-3.56%5.18M
-Long term debt
-99.94%3.01K
-99.92%4.3K
0.10%5.25M
0.93%5.23M
0.93%5.23M
0.34%5.28M
0.16%5.26M
0.69%5.24M
-1.30%5.18M
-1.30%5.18M
Long term provisions
----
----
----
----
----
----
--592K
--592K
--592K
--592K
Non current deferred liabilities
-17.08%320.42K
-17.08%320.42K
-17.08%320.42K
-17.08%320.42K
-17.08%320.42K
--386.43K
--386.43K
--386.43K
--386.43K
--386.43K
Total liabilities
-62.17%3.69M
-51.10%4.36M
8.74%9.73M
2.04%9.18M
2.04%9.18M
25.36%9.75M
19.59%8.91M
45.84%8.95M
33.08%9M
33.08%9M
Shareholders'equity
Share capital
47.23%19.01M
39.16%17.92M
22.27%14.92M
20.05%14.6M
20.05%14.6M
27.63%12.91M
27.29%12.87M
19.52%12.2M
43.42%12.16M
43.42%12.16M
-common stock
47.23%19.01M
39.16%17.92M
22.27%14.92M
20.05%14.6M
20.05%14.6M
27.63%12.91M
27.29%12.87M
19.52%12.2M
43.42%12.16M
43.42%12.16M
Retained earnings
-8.55%-21.09M
-10.76%-20.28M
-28.22%-22.43M
-32.21%-21.54M
-32.21%-21.54M
-30.38%-19.43M
-31.81%-18.31M
-37.82%-17.49M
-44.99%-16.29M
-44.99%-16.29M
Gains losses not affecting retained earnings
22.65%1.25M
19.74%1.23M
14.42%1.19M
17.77%1.16M
17.77%1.16M
12.67%1.02M
28.36%1.03M
48.31%1.04M
81.31%983.74K
81.31%983.74K
Other equity interest
-28.05%131.77K
-55.69%81.16K
-55.69%81.16K
-24.17%138.88K
-24.17%138.88K
26.01%183.14K
77.11%183.14K
--183.14K
569.68%183.14K
569.68%183.14K
Total stockholders'equity
86.90%-695.8K
75.10%-1.05M
-53.38%-6.24M
-90.36%-5.64M
-90.36%-5.64M
-42.29%-5.31M
-47.08%-4.22M
-128.37%-4.07M
-35.49%-2.96M
-35.49%-2.96M
Total equity
86.90%-695.8K
75.10%-1.05M
-53.38%-6.24M
-90.36%-5.64M
-90.36%-5.64M
-42.29%-5.31M
-47.08%-4.22M
-128.37%-4.07M
-35.49%-2.96M
-35.49%-2.96M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Sep 30, 2023 (Q2)Jun 30, 2023 (Q1)Mar 31, 2023 (FY)Dec 31, 2022 (Q4)Dec 31, 2022 (Q3)Sep 30, 2022 (Q2)Jun 30, 2022 (Q1)Mar 31, 2022 (FY)Dec 31, 2021 (Q4)Dec 31, 2021
Assets
Cash, cash equivalents and federal funds sold -86.93%18.01K -81.76%30.29K -48.80%88.9K -96.02%44.01K -96.02%44.01K -23.81%137.77K -68.41%166.1K -87.73%173.62K -16.56%1.11M -16.56%1.11M
-Cash and cash equivalents -86.93%18.01K -81.76%30.29K -48.80%88.9K -96.02%44.01K -96.02%44.01K -23.81%137.77K -68.41%166.1K -87.73%173.62K -16.56%1.11M -16.56%1.11M
Net loan -67.35%290.99K -63.09%384.41K -59.11%461.37K -51.93%593.42K -51.93%593.42K -36.65%891.18K -36.14%1.04M -39.66%1.13M -44.44%1.23M -44.44%1.23M
-Gross loan -63.10%408.14K -59.46%502.47K -56.80%572.93K -46.39%750.16K -46.39%750.16K -29.35%1.11M -30.33%1.24M -36.29%1.33M -43.53%1.4M -43.53%1.4M
-Allowance for loans and lease losses -17.90%107.59K -10.92%108.23K -16.87%102.12K 54.04%151.4K 54.04%151.4K 28.90%131.06K 22.42%121.5K -26.25%122.84K -55.32%98.29K -55.32%98.29K
-Unearned income 88.61%-9.56K 87.16%-9.82K 87.43%-9.45K 91.97%-5.34K 91.97%-5.34K -46.31%-83.94K -55.88%-76.5K -65.76%-75.13K -84.43%-66.46K -84.43%-66.46K
Receivables -38.56%114.68K -16.52%164.74K -34.92%159.8K -56.86%115.33K -56.86%115.33K -28.78%186.66K -30.00%197.33K 63.35%245.53K 630.44%267.38K 630.44%267.38K
-Accounts receivable -38.56%114.68K -2.49%164.74K -8.90%159.8K -26.34%115.33K -26.34%115.33K 57.18%186.66K 66.11%168.94K 16.71%175.42K 327.77%156.58K 327.77%156.58K
-Other receivables ---- ---- ---- ---- ---- ---- -84.24%28.39K --70.11K --110.8K --110.8K
Prepaid assets 1.47%57.13K -1.97%59.29K 109.89%70.29K -53.57%33.85K -53.57%33.85K -56.55%56.3K -9.56%60.48K -42.41%33.49K 4.42%72.92K 4.42%72.92K
Net PPE -39.28%15.95K -38.52%17.91K -35.32%19.87K -28.01%21.84K -28.01%21.84K -0.29%26.26K 54.52%29.13K -87.65%30.73K -89.55%30.33K -89.55%30.33K
-Gross PPE 0.00%115.27K 0.00%115.27K 1.82%115.27K 5.44%115.27K 5.44%115.27K 17.26%115.27K 28.82%115.27K -80.26%113.21K -80.94%109.33K -80.94%109.33K
-Accumulated depreciation -11.59%-99.32K -13.03%-97.36K -15.65%-95.4K -18.28%-93.43K -18.28%-93.43K -23.68%-89.01K -21.96%-86.14K 74.60%-82.49K 72.09%-78.99K 72.09%-78.99K
Goodwill and other intangible assets -20.52%2.5M -17.04%2.65M -17.69%2.69M -17.83%2.73M -17.83%2.73M 443.71%3.14M 437.62%3.19M 435.02%3.27M 429.47%3.32M 429.47%3.32M
-Goodwill 1.41%1.4M 1.41%1.4M 0.00%1.4M 0.00%1.4M 0.00%1.4M --1.38M --1.38M --1.4M --1.4M --1.4M
-Other intangible assets -37.71%1.1M -31.08%1.25M -30.95%1.29M -30.82%1.33M -30.82%1.33M 204.79%1.76M 205.29%1.81M 205.76%1.87M 206.21%1.92M 206.21%1.92M
Other assets ---- ---- ---- ---- ---- ---- -100.00%1 ---- ---1 ---1
Total assets -32.57%2.99M -29.48%3.31M -28.48%3.49M -41.37%3.54M -41.37%3.54M 9.73%4.44M 2.35%4.69M 12.07%4.88M 31.92%6.03M 31.92%6.03M
Liabilities
Current debt and capital lease obligation -21.17%1.51M 6.09%1.56M -1.96%1.31M -24.99%1.07M -24.99%1.07M 30.32%1.92M 4.80%1.47M 572.31%1.33M 127.84%1.42M 127.84%1.42M
-Current debt -21.17%1.51M 8.47%1.56M 4.26%1.31M -17.76%1.07M -17.76%1.07M 46.96%1.92M 17.47%1.43M 4,874.70%1.25M 190.09%1.3M 190.09%1.3M
-Current capital lease obligation ---- ---- ---- --0 --0 --0 -81.96%32.17K -54.05%79.42K -29.36%125.23K -29.36%125.23K
Current accrued expenses --546.59K --492.1K ---- ---- ---- ---- ---- ---- ---- ----
Payables -15.34%1.29M 8.64%1.28M 117.82%2.13M 80.55%1.83M 80.55%1.83M 46.29%1.52M 57.11%1.17M 73.57%977.88K 78.74%1.01M 78.74%1.01M
-Accounts payable -15.34%1.29M 8.64%1.28M 117.82%2.13M 80.55%1.83M 80.55%1.83M 46.29%1.52M 57.11%1.17M 73.57%977.88K 78.74%1.01M 78.74%1.01M
Current provisions --0 --683.15K 74.62%681K 74.62%681K 74.62%681K --592K --0 --390K --390K --390K
Current deferred liabilities -67.07%19.08K -24.80%27.22K 66.38%44.28K 325.72%56.43K 325.72%56.43K 549.39%57.93K 39.71%36.2K -70.02%26.61K -93.33%13.26K -93.33%13.26K
Long term debt and capital lease obligation -99.94%3.01K -99.92%4.3K 0.10%5.25M 0.93%5.23M 0.93%5.23M 0.34%5.28M -0.43%5.26M -0.80%5.24M -3.56%5.18M -3.56%5.18M
-Long term debt -99.94%3.01K -99.92%4.3K 0.10%5.25M 0.93%5.23M 0.93%5.23M 0.34%5.28M 0.16%5.26M 0.69%5.24M -1.30%5.18M -1.30%5.18M
Long term provisions ---- ---- ---- ---- ---- ---- --592K --592K --592K --592K
Non current deferred liabilities -17.08%320.42K -17.08%320.42K -17.08%320.42K -17.08%320.42K -17.08%320.42K --386.43K --386.43K --386.43K --386.43K --386.43K
Total liabilities -62.17%3.69M -51.10%4.36M 8.74%9.73M 2.04%9.18M 2.04%9.18M 25.36%9.75M 19.59%8.91M 45.84%8.95M 33.08%9M 33.08%9M
Shareholders'equity
Share capital 47.23%19.01M 39.16%17.92M 22.27%14.92M 20.05%14.6M 20.05%14.6M 27.63%12.91M 27.29%12.87M 19.52%12.2M 43.42%12.16M 43.42%12.16M
-common stock 47.23%19.01M 39.16%17.92M 22.27%14.92M 20.05%14.6M 20.05%14.6M 27.63%12.91M 27.29%12.87M 19.52%12.2M 43.42%12.16M 43.42%12.16M
Retained earnings -8.55%-21.09M -10.76%-20.28M -28.22%-22.43M -32.21%-21.54M -32.21%-21.54M -30.38%-19.43M -31.81%-18.31M -37.82%-17.49M -44.99%-16.29M -44.99%-16.29M
Gains losses not affecting retained earnings 22.65%1.25M 19.74%1.23M 14.42%1.19M 17.77%1.16M 17.77%1.16M 12.67%1.02M 28.36%1.03M 48.31%1.04M 81.31%983.74K 81.31%983.74K
Other equity interest -28.05%131.77K -55.69%81.16K -55.69%81.16K -24.17%138.88K -24.17%138.88K 26.01%183.14K 77.11%183.14K --183.14K 569.68%183.14K 569.68%183.14K
Total stockholders'equity 86.90%-695.8K 75.10%-1.05M -53.38%-6.24M -90.36%-5.64M -90.36%-5.64M -42.29%-5.31M -47.08%-4.22M -128.37%-4.07M -35.49%-2.96M -35.49%-2.96M
Total equity 86.90%-695.8K 75.10%-1.05M -53.38%-6.24M -90.36%-5.64M -90.36%-5.64M -42.29%-5.31M -47.08%-4.22M -128.37%-4.07M -35.49%-2.96M -35.49%-2.96M
Accounting Standards US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP
Audit Opinions -- -- -- Unqualified Opinion with Explanatory Notes -- -- -- -- Unqualified Opinion with Explanatory Notes --

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

Heat List
CA
Overall
Symbol
Price
% Chg

No Data