Аналитика онлайн » THBRU

Компания Thunder Bridge Acquisition II, Ltd. не ведет значительных операций. Он намеревается осуществить слияние, обмен акциями, приобретение активов, покупку акций, реорганизацию или аналогичное объединение бизнеса с одним или несколькими предприятиями. Компания Thunder Bridge Acquisition II, Ltd. была основана в 2019 году и находится в Грейт-Фолс, штат Вирджиния.

General
Code THBRU
Type Common Stock
Name Thunder Bridge Acquisition II Ltd
Exchange NASDAQ
CurrencyCode USD
CurrencyName US Dollar
CurrencySymbol $
CountryName USA
CountryISO US
ISIN KYG8857S1241
PrimaryTicker THBRU.US
FiscalYearEnd December
IPODate 2019-08-09
Sector Financial Services
Industry Shell Companies
IsDelisted Да
DelistedDate 2021-06-10
Address 9912 Georgetown Pike, Great Falls, VA, United States, 22066
Listings
0
Code THBR
Exchange US
Name Thunder Bridge Acquisition II Ltd
Phone 202 431 0507
FullTimeEmployees 0
UpdatedAt 2021-06-14
Highlights
BookValue 0.549
DividendYield 0
EPSEstimateCurrentYear 0
EPSEstimateNextYear 0
EPSEstimateNextQuarter 0
EPSEstimateCurrentQuarter 0
MostRecentQuarter 2021-03-31
ProfitMargin 0
OperatingMarginTTM 0
ReturnOnAssetsTTM -0.0044
ReturnOnEquityTTM 0.1003
RevenueTTM 0
RevenuePerShareTTM 0
QuarterlyRevenueGrowthYOY 0
GrossProfitTTM 0
DilutedEpsTTM 0
QuarterlyEarningsGrowthYOY 4.68

Financials / Income Statement / quarterly / net Income

-26.36K
2019-06-30
720K
2019-09-30
1.39M
2019-12-31
1.78M
2020-03-31
-66.15K
2020-06-30
-140.06K
2020-09-30
-1.07M
2020-12-31
38.51M
2021-03-31

Financials / Income Statement / quarterly / ebitda

0
2019-06-30
0
2019-09-30
0
2019-12-31
-238.55K
2020-03-31
-153.26K
2020-06-30
-148.87K
2020-09-30
-1.08M
2020-12-31
-1.07M
2021-03-31

Earnings / History / epsActual

-0.0034
2019-03-31
0.076
2019-06-30
0.3114
2019-09-30
0.1572
2019-12-31
-0.0015
2020-03-31
-0.0032
2020-06-30
-1.736
2020-09-30
0.8929
2020-12-31
Valuation
TrailingPE 0
ForwardPE 0
PriceSalesTTM 0
PriceBookMRQ 0
EnterpriseValue 507580416
EnterpriseValueRevenue 0
EnterpriseValueEbitda 0
SharesStats
SharesOutstanding 0
SharesFloat 34399950
PercentInsiders 0
PercentInstitutions 1.903
Technicals
52WeekHigh 0
52WeekLow 0
50DayMA 11.1484
200DayMA 12.7006
SharesShort 12
SharesShortPriorMonth 12
ShortRatio 0.03
ShortPercent 0
Financials
Balance_Sheet
currency_symbol USD
quarterly
2021-03-31
date 2021-03-31
currency_symbol USD
totalAssets 349760550.00
totalLiab 71660407.00
totalStockholderEquity 278100143.00
otherCurrentLiab 57614968.00
retainedEarnings -71492479.00
cash 75728.00
totalCurrentLiabilities 59585407.00
netDebt 861679.00
shortLongTermDebt 937407.00
totalCurrentAssets 168791.00
nonCurrrentAssetsOther 349591759.00
nonCurrentAssetsTotal 349591759.00
nonCurrentLiabilitiesTotal 12075000.00
netWorkingCapital -59416616.00
netInvestedCapital 279037550.00
commonStockSharesOutstanding 43125000.00
2020-12-31
date 2020-12-31
currency_symbol USD
totalAssets 349776163.00
totalLiab 13001752.00
totalStockholderEquity 336774411.00
retainedEarnings 2582948.00
cash 133695.00
totalCurrentLiabilities 926752.00
netDebt 166305.00
shortLongTermDebt 300000.00
totalCurrentAssets 193025.00
nonCurrrentAssetsOther 349583138.00
nonCurrentAssetsTotal 349583138.00
nonCurrentLiabilitiesTotal 12075000.00
netWorkingCapital -733727.00
netInvestedCapital 337074411.00
commonStockSharesOutstanding 43125000.00
2020-09-30
date 2020-09-30
currency_symbol USD
totalAssets 350133752.00
totalLiab 12287997.00
totalStockholderEquity 337845755.00
retainedEarnings 3654291.00
cash 217982.00
totalCurrentLiabilities 212997.00
shortLongTermDebt 200000.00
totalCurrentAssets 559426.00
nonCurrrentAssetsOther 349574326.00
nonCurrentAssetsTotal 349574326.00
nonCurrentLiabilitiesTotal 12075000.00
netWorkingCapital 346429.00
netInvestedCapital 338045755.00
commonStockSharesOutstanding 43125000.00
2020-06-30
date 2020-06-30
currency_symbol USD
totalAssets 350208213.00
totalLiab 12222399.00
totalStockholderEquity 337985814.00
retainedEarnings 3794350.00
cash 272257.00
totalCurrentLiabilities 147399.00
totalCurrentAssets 642699.00
nonCurrrentAssetsOther 349565514.00
nonCurrentAssetsTotal 349565514.00
nonCurrentLiabilitiesTotal 12075000.00
netWorkingCapital 495300.00
netInvestedCapital 337985814.00
commonStockSharesOutstanding 43125000.00
2020-03-31
date 2020-03-31
currency_symbol USD
totalAssets 350186321.00
totalLiab 12134356.00
totalStockholderEquity 338051965.00
commonStock 1030.00
retainedEarnings 3860500.00
cash 304208.00
totalCurrentLiabilities 59356.00
otherStockholderEquity 333051960.00
totalCurrentAssets 707920.00
nonCurrrentAssetsOther 349478401.00
nonCurrentAssetsTotal 349478401.00
nonCurrentLiabilitiesTotal 12075000.00
capitalSurpluse 1138480.00
cashAndShortTermInvestments 304210.00
netWorkingCapital 648564.00
netInvestedCapital 338051965.00
commonStockSharesOutstanding 43125000.00
2019-12-31
date 2019-12-31
currency_symbol USD
totalAssets 348389700.00
totalLiab 12116730.00
totalStockholderEquity 336272960.00
commonStock 1020.00
retainedEarnings 2081500.00
cash 497550.00
totalCurrentLiabilities 41730.00
otherStockholderEquity 331272960.00
totalCurrentAssets 928840.00
capitalSurpluse 2917480.00
cashAndShortTermInvestments 497550.00
commonStockSharesOutstanding 33725400.00
2019-09-30
date 2019-09-30
currency_symbol USD
totalAssets 346980456.00
totalLiab 12100353.00
totalStockholderEquity 334880103.00
commonStock 1030.00
retainedEarnings 688640.00
cash 944979.00
totalCurrentLiabilities 25353.00
otherStockholderEquity 329880100.00
totalCurrentAssets 1113288.00
nonCurrrentAssetsOther 345867168.00
nonCurrentAssetsTotal 345867168.00
nonCurrentLiabilitiesTotal 12075000.00
capitalSurpluse 4310340.00
cashAndShortTermInvestments 944980.00
commonStockSharesOutstanding 4765000.00
2019-06-30
date 2019-06-30
currency_symbol USD
totalAssets 169185.00
totalLiab 175540.00
totalStockholderEquity -6355.00
retainedEarnings -31355.00
cash 493.00
totalCurrentLiabilities 175540.00
shortTermDebt 135000.00
shortLongTermDebt 135000.00
totalCurrentAssets 493.00
nonCurrrentAssetsOther 168692.00
nonCurrentAssetsTotal 168692.00
nonCurrentLiabilitiesTotal 0.00
commonStockSharesOutstanding 346800.00
yearly
2020-12-31
date 2020-12-31
currency_symbol USD
totalAssets 349776163.00
totalLiab 13001752.00
totalStockholderEquity 336774411.00
retainedEarnings 2582948.00
cash 133695.00
totalCurrentLiabilities 926752.00
netDebt 166305.00
shortLongTermDebt 300000.00
totalCurrentAssets 193025.00
nonCurrrentAssetsOther 349583138.00
nonCurrentAssetsTotal 349583138.00
nonCurrentLiabilitiesTotal 12075000.00
netWorkingCapital -733727.00
netInvestedCapital 337074411.00
commonStockSharesOutstanding 43125000.00
2019-12-31
date 2019-12-31
currency_symbol USD
totalAssets 348389695.00
totalLiab 12116733.00
totalStockholderEquity 336272962.00
commonStock 1020.00
retainedEarnings 2081499.00
cash 497549.00
totalCurrentLiabilities 41733.00
otherStockholderEquity 331272960.00
totalCurrentAssets 928843.00
nonCurrrentAssetsOther 347460852.00
nonCurrentAssetsTotal 347460852.00
nonCurrentLiabilitiesTotal 12075000.00
capitalSurpluse 2917480.00
cashAndShortTermInvestments 497550.00
netWorkingCapital 887110.00
netInvestedCapital 336272962.00
commonStockSharesOutstanding 43125000.00
Cash_Flow
currency_symbol USD
quarterly
2021-03-31
date 2021-03-31
currency_symbol USD
totalCashFromFinancingActivities 637407.00
netIncome 38507524.00
changeInCash -57967.00
beginPeriodCashFlow 133695.00
endPeriodCashFlow 75728.00
totalCashFromOperatingActivities -695374.00
capitalExpenditures 0
changeInWorkingCapital 372549.00
otherNonCashItems -8621.00
freeCashFlow -695374.00
2020-12-31
date 2020-12-31
currency_symbol USD
investments 0.00
totalCashFromFinancingActivities 100000.00
netIncome -1071343.00
changeInCash -84287.00
beginPeriodCashFlow 217982.00
endPeriodCashFlow 133695.00
totalCashFromOperatingActivities -184287.00
capitalExpenditures 0
changeInWorkingCapital 895868.00
otherNonCashItems -8812.00
freeCashFlow -184287.00
2020-09-30
date 2020-09-30
currency_symbol USD
totalCashFromFinancingActivities 200000.00
netIncome -140059.00
changeInCash -54275.00
beginPeriodCashFlow 272257.00
endPeriodCashFlow 217982.00
totalCashFromOperatingActivities -254275.00
capitalExpenditures 0
changeInWorkingCapital -105404.00
otherNonCashItems -8812.00
freeCashFlow -254275.00
2020-06-30
date 2020-06-30
currency_symbol USD
totalCashFromFinancingActivities 0.00
netIncome -66150.00
changeInCash -31951.00
beginPeriodCashFlow 304208.00
endPeriodCashFlow 272257.00
totalCashFromOperatingActivities -31951.00
capitalExpenditures 0
changeInWorkingCapital 121314.00
otherNonCashItems -87115.00
freeCashFlow -31951.00
2020-03-31
date 2020-03-31
currency_symbol USD
totalCashFromFinancingActivities 0.00
netIncome 1779001.00
changeInCash -193341.00
beginPeriodCashFlow 497549.00
endPeriodCashFlow 304208.00
totalCashFromOperatingActivities -193341.00
capitalExpenditures 0
changeInWorkingCapital 45205.00
otherNonCashItems -2017547.00
freeCashFlow -193341.00
2019-12-31
date 2019-12-31
currency_symbol USD
totalCashflowsFromInvestingActivities -345000000.00
totalCashFromFinancingActivities 346266460.00
netIncome 2081500.00
changeInCash 497550.00
endPeriodCashFlow 497549.00
totalCashFromOperatingActivities -768910.00
otherCashflowsFromInvestingActivities -345000000.00
salePurchaseOfStock 346775000.00
otherCashflowsFromFinancingActivities -508540.00
capitalExpenditures 0
2019-09-30
date 2019-09-30
currency_symbol USD
totalCashflowsFromInvestingActivities -345000000.00
totalCashFromFinancingActivities 346266460.00
netIncome 719995.00
changeInCash 944980.00
totalCashFromOperatingActivities -321480.00
otherCashflowsFromInvestingActivities -345000000.00
salePurchaseOfStock 346775000.00
otherCashflowsFromFinancingActivities -508540.00
capitalExpenditures 0
2019-06-30
date 2019-06-30
currency_symbol USD
totalCashFromFinancingActivities 5600.00
netIncome -26355.00
changeInCash 490.00
totalCashFromOperatingActivities -5110.00
salePurchaseOfStock 25000.00
otherCashflowsFromFinancingActivities -154400.00
capitalExpenditures 0
2019-03-31
date 2019-03-31
currency_symbol USD
totalCashFromFinancingActivities 7750.00
netIncome -5000.00
changeInCash 2750.00
totalCashFromOperatingActivities -5000.00
salePurchaseOfStock 25000.00
otherCashflowsFromFinancingActivities -127250.00
capitalExpenditures 0
yearly
2020-12-31
date 2020-12-31
currency_symbol USD
investments 0.00
totalCashFromFinancingActivities 300000.00
netIncome 501449.00
changeInCash -363854.00
beginPeriodCashFlow 497549.00
endPeriodCashFlow 133695.00
totalCashFromOperatingActivities -663854.00
capitalExpenditures 0
changeInWorkingCapital 956983.00
otherNonCashItems -2122286.00
freeCashFlow -663854.00
2019-12-31
date 2019-12-31
currency_symbol USD
totalCashflowsFromInvestingActivities -345000000.00
totalCashFromFinancingActivities 346266460.00
netIncome 2081500.00
changeInCash 497550.00
endPeriodCashFlow 497549.00
totalCashFromOperatingActivities -768910.00
otherCashflowsFromInvestingActivities -345000000.00
salePurchaseOfStock 346775000.00
otherCashflowsFromFinancingActivities -508540.00
capitalExpenditures 0
Income_Statement
currency_symbol USD
quarterly
2021-03-31
date 2021-03-31
currency_symbol USD
incomeBeforeTax 38507524.00
netIncome 38507524.00
ebitda -1067923.00
operatingIncome -1067923.00
interestIncome 8621.00
netInterestIncome 8621.00
totalRevenue 0.00
totalOperatingExpenses 1067923.00
totalOtherIncomeExpenseNet 39566826.00
netIncomeFromContinuingOps 38507524.00
2020-12-31
date 2020-12-31
currency_symbol USD
incomeBeforeTax -1071343.00
netIncome -1071343.00
sellingGeneralAdministrative 1080155.00
ebit -1080155.00
ebitda -1080155.00
operatingIncome -1080155.00
interestIncome 8812.00
netInterestIncome 8812.00
totalRevenue 0.00
totalOperatingExpenses 1080155.00
netIncomeFromContinuingOps -1071343.00
2020-09-30
date 2020-09-30
currency_symbol USD
incomeBeforeTax -140059.00
netIncome -140059.00
sellingGeneralAdministrative 148871.00
ebit -148871.00
ebitda -148871.00
operatingIncome -148871.00
interestIncome 8812.00
netInterestIncome 8812.00
totalRevenue 0.00
totalOperatingExpenses 148871.00
netIncomeFromContinuingOps -140059.00
2020-06-30
date 2020-06-30
currency_symbol USD
incomeBeforeTax -66150.00
netIncome -66150.00
sellingGeneralAdministrative 153264.00
ebit -153264.00
ebitda -153264.00
operatingIncome -153264.00
interestIncome 87114.00
netInterestIncome 87114.00
totalRevenue 0.00
totalOperatingExpenses 153264.00
netIncomeFromContinuingOps -66150.00
2020-03-31
date 2020-03-31
currency_symbol USD
incomeBeforeTax 1779001.00
netIncome 1779001.00
sellingGeneralAdministrative 238547.00
ebit -238547.00
ebitda -238547.00
operatingIncome -238547.00
interestIncome 2017548.00
netInterestIncome 2017548.00
totalRevenue 0.00
totalOperatingExpenses 238547.00
netIncomeFromContinuingOps 1779001.00
netIncomeApplicableToCommonShares 1779000.00
2019-12-31
date 2019-12-31
currency_symbol USD
incomeBeforeTax 1392860.00
netIncome 1392860.00
operatingIncome -750880.00
interestExpense 550050.00
netIncomeApplicableToCommonShares 1392860.00
2019-09-30
date 2019-09-30
currency_symbol USD
incomeBeforeTax 719995.00
netIncome 719995.00
sellingGeneralAdministrative 147173.00
ebit -147173.00
operatingIncome -147173.00
interestExpense 867170.00
totalRevenue 0.00
totalOperatingExpenses 147173.00
totalOtherIncomeExpenseNet 867168.00
netIncomeFromContinuingOps 719995.00
netIncomeApplicableToCommonShares 720000.00
2019-06-30
date 2019-06-30
currency_symbol USD
incomeBeforeTax -26355.00
netIncome -26355.00
sellingGeneralAdministrative 26355.00
ebit -26355.00
operatingIncome -26355.00
interestIncome 0.00
netInterestIncome 0.00
totalRevenue 0.00
totalOperatingExpenses 26355.00
netIncomeFromContinuingOps -26355.00
netIncomeApplicableToCommonShares -26360.00
2019-03-31
date 2019-03-31
currency_symbol USD
incomeBeforeTax -5000.00
netIncome -5000.00
operatingIncome -5000.00
netIncomeApplicableToCommonShares -5000.00
yearly
2020-12-31
date 2020-12-31
currency_symbol USD
incomeBeforeTax 501449.00
netIncome 501449.00
sellingGeneralAdministrative 1620837.00
ebit -1620837.00
ebitda -1620837.00
operatingIncome -1620837.00
interestExpense 0.00
interestIncome 2122286.00
netInterestIncome 2122286.00
totalRevenue 0.00
totalOperatingExpenses 1620837.00
netIncomeFromContinuingOps 501449.00
2019-12-31
date 2019-12-31
currency_symbol USD
incomeBeforeTax 2081500.00
netIncome 2081500.00
operatingIncome -62240.00
interestExpense 0.00
netIncomeApplicableToCommonShares 2081500.00