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Fathom Holdings Inc
FTHM
1.160
USD
+0.020
+1.75%
Market hours (ET)
Quotes delayed by 15 min
USD
0.000
Pre-market (ET)
32.00M
Market Cap
Loss
P/E TTM
Fathom Holdings Inc
1.160
+0.020
+1.75%
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-505.28%
-5.73M
92.72%
-318.00K
77.60%
-329.00K
2.31%
-3.09M
39.68%
-947.00K
-3763.72%
-4.37M
78.52%
-1.47M
-148.78%
-3.17M
-195.67%
-1.57M
97.80%
-113.00K
-76.35%
-6.84M
25.61%
-1.27M
267.24%
1.64M
-479.59%
-5.13M
-295.90%
-3.88M
-593.95%
-1.71M
-423.74%
-981.21K
-4.47%
-884.41K
-598.60%
-979.39K
1025.76%
346.46K
173.57%
303.08K
-8.29%
-846.54K
54.87%
196.43K
--
-37.42K
--
-411.94K
--
-781.71K
--
126.83K
Net income from continuing operations
4.74%
-5.65M
26.12%
-6.24M
-47.76%
-8.12M
70.22%
-1.29M
-3.96%
-5.93M
15.17%
-8.44M
8.58%
-5.50M
23.36%
-4.34M
4.94%
-5.70M
-174.35%
-9.95M
-78.19%
-6.01M
-171.06%
-5.67M
-76.40%
-6.00M
-184.42%
-3.63M
-1736.14%
-3.37M
-1400.66%
-2.09M
-7848.65%
-3.40M
5.24%
-1.27M
23.08%
-183.75K
115.48%
160.80K
97.09%
-42.77K
6.66%
-1.35M
-44.21%
-238.88K
--
-1.04M
--
-1.47M
--
-1.44M
--
-165.65K
Operating gains losses
-2.70%
1.44M
-7.29%
1.37M
-21.76%
1.25M
-12.65%
1.32M
9.06%
1.48M
-5.12%
1.48M
15.87%
1.60M
12.35%
1.51M
27.90%
1.36M
60.93%
1.56M
48.21%
1.38M
80.52%
1.34M
936.55%
1.06M
1602.95%
970.00K
1983.70%
931.12K
1573.23%
744.52K
431.05%
102.36K
201.03%
56.96K
52.14%
44.69K
152.66%
44.50K
220.08%
19.27K
220.44%
18.92K
397.83%
29.37K
--
17.61K
--
6.02K
--
5.91K
--
5.90K
Deferred tax
-80.00%
1.00K
-1681.43%
-1.11M
164.29%
37.00K
--
-42.00K
--
5.00K
-76.43%
70.00K
--
14.00K
--
--
--
--
162.66%
297.00K
100.00%
0.00
--
--
--
--
-930.77%
-474.00K
--
-215.07K
--
-2.65M
--
--
--
-45.98K
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Other non-cash items
-61.52%
-1.11M
89.57%
-114.00K
-2.07%
-1.43M
-412.25%
-1.55M
17.45%
-686.00K
-173.85%
-1.09M
7.35%
-1.40M
59.84%
-302.00K
29.64%
-831.00K
165.05%
1.48M
17.10%
-1.51M
42.32%
-752.00K
-4635.50%
-1.18M
-8519.38%
-2.27M
-28229.36%
-1.82M
-2124.76%
-1.30M
-26.17%
26.04K
-73.23%
27.02K
-77.48%
6.47K
136.33%
64.39K
-35.22%
35.27K
135.15%
100.94K
162.28%
28.76K
--
27.24K
--
54.45K
--
42.93K
--
-46.17K
Change in working capital
-225.90%
-1.93M
7588.89%
4.04M
1109.94%
5.96M
66.69%
-1.07M
94.78%
1.53M
-101.41%
-54.00K
117.49%
493.00K
-272.57%
-3.21M
-85.33%
785.00K
526.70%
3.84M
-1580.24%
-2.82M
-22.24%
1.86M
276.82%
5.35M
-1578.68%
-899.00K
82.23%
-167.71K
10204.53%
2.40M
752.42%
1.42M
-116.30%
-53.55K
-367.27%
-944.02K
-107.61%
-23.71K
92.07%
166.59K
-35.69%
328.51K
6.15%
353.20K
--
311.45K
--
86.73K
--
510.84K
--
332.75K
-Change in receivables
-95.79%
15.00K
-91.97%
62.00K
250.99%
709.00K
-10.70%
-1.01M
205.95%
356.00K
-33.28%
772.00K
-74.40%
202.00K
29.92%
-916.00K
-118.18%
-336.00K
402.88%
1.16M
57.68%
789.00K
-16.02%
-1.31M
37.36%
-154.00K
-246.57%
-382.00K
387.23%
500.37K
-205.95%
-1.13M
76.44%
-245.83K
-55.02%
260.63K
-139.08%
-174.21K
-492.60%
-368.21K
-261.17%
-1.04M
162.26%
579.46K
270.48%
445.75K
--
-62.13K
--
647.33K
--
-930.75K
--
-261.46K
-Change in prepaid expenses
65.04%
-315.00K
-75.00%
-168.00K
-95.14%
-482.00K
-252.75%
-321.00K
-546.04%
-901.00K
-108.54%
-96.00K
87.71%
-247.00K
-1.11%
-91.00K
796.55%
202.00K
349.22%
1.12M
-42.71%
-2.01M
-283.30%
-90.00K
-104.57%
-29.00K
-129.79%
-451.00K
-122.09%
-1.41M
-143.45%
-23.48K
1652.65%
634.20K
45.58%
-196.27K
-3156.42%
-633.84K
636.01%
54.04K
-1338.13%
-40.85K
-1330.65%
-360.67K
150.85%
20.74K
--
7.34K
--
3.30K
--
-25.21K
--
8.27K
-Change in payables and accrued expense
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-1408.50%
-1.43M
10.90%
-113.43K
-20.19%
291.94K
321.26%
1.25M
-92.56%
109.08K
-121.73%
-127.30K
--
365.79K
--
-564.38K
--
1.47M
--
585.95K
-Change in other current assets
-392.78%
-3.20M
12526.83%
5.18M
12.90%
3.19M
112.18%
299.00K
359.66%
1.09M
-99.04%
41.00K
466.02%
2.82M
-162.33%
-2.46M
-96.18%
238.00K
45.36%
4.26M
-174.51%
-771.00K
2088.11%
3.94M
22794.71%
6.23M
3276.70%
2.93M
3008.73%
1.03M
251.75%
180.02K
5806.51%
27.23K
-1864.01%
-92.17K
-8411.68%
-35.57K
137.54%
51.18K
-97.82%
461.00
--
-4.69K
--
428.00
--
21.55K
--
21.13K
--
--
--
0.00
-Change in other current liabilities
--
--
--
-298.00K
--
1.92M
--
--
--
--
--
--
--
--
--
--
--
--
100.00%
0.00
--
--
--
--
--
--
-664.79%
-3.44M
--
30.65K
--
2.38M
--
-100.23K
--
608.37K
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Cash from non-recurring investing activities
Cash from operating activities
-505.28%
-5.73M
92.72%
-318.00K
77.60%
-329.00K
2.31%
-3.09M
39.68%
-947.00K
-3763.72%
-4.37M
78.52%
-1.47M
-148.78%
-3.17M
-195.67%
-1.57M
97.80%
-113.00K
-76.35%
-6.84M
25.61%
-1.27M
267.24%
1.64M
-479.59%
-5.13M
-295.90%
-3.88M
-593.95%
-1.71M
-423.74%
-981.21K
-4.47%
-884.41K
-598.60%
-979.39K
1025.76%
346.46K
173.57%
303.08K
-8.29%
-846.54K
54.87%
196.43K
--
-37.42K
--
-411.94K
--
-781.71K
--
126.83K
Investing cash flow
Net cash from continuing investing activities
29.91%
695.00K
118.32%
1.04M
122.94%
1.00M
108.72%
670.00K
-9.01%
535.00K
-21.23%
475.00K
-41.15%
449.00K
-80.07%
321.00K
-45.56%
588.00K
-31.94%
603.00K
-52.98%
763.00K
283.48%
1.61M
96.34%
1.08M
134.54%
886.00K
1146.33%
1.62M
250.22%
420.10K
370.88%
550.08K
214.00%
377.77K
12.00%
130.21K
39.74%
119.95K
88.72%
116.82K
96.98%
120.31K
81.59%
116.26K
--
85.84K
--
61.90K
--
61.08K
--
64.02K
Capital expenditures
29.91%
695.00K
118.32%
1.04M
122.94%
1.00M
108.72%
670.00K
-9.01%
535.00K
-25.67%
475.00K
-41.15%
449.00K
-80.07%
321.00K
-45.56%
588.00K
-27.88%
639.00K
-52.98%
763.00K
283.48%
1.61M
96.34%
1.08M
134.54%
886.00K
1146.33%
1.62M
250.22%
420.10K
370.88%
550.08K
214.00%
377.77K
12.00%
130.21K
39.74%
119.95K
88.72%
116.82K
96.98%
120.31K
81.59%
116.26K
--
85.84K
--
61.90K
--
61.08K
--
64.02K
Net cash flow from disposal of fixed assets
2400.00%
25.00K
400.00%
5.00K
209.09%
34.00K
1000.00%
11.00K
-88.89%
1.00K
102.78%
1.00K
-95.58%
11.00K
-99.76%
1.00K
-97.16%
9.00K
-111.96%
-36.00K
148.02%
249.00K
460.11%
415.00K
-21.05%
317.00K
645.49%
301.00K
508.12%
100.39K
1085.09%
74.09K
12781.39%
401.51K
86.86%
40.38K
92.17%
16.51K
-43.86%
6.25K
--
3.12K
1906.31%
21.61K
-1.28%
8.59K
--
11.14K
--
0.00
--
1.08K
--
8.70K
Net cash flow from intangible asset transactions
25.47%
670.00K
117.72%
1.03M
120.78%
967.00K
105.94%
659.00K
-7.77%
534.00K
-25.82%
474.00K
-14.79%
438.00K
-73.24%
320.00K
-24.12%
579.00K
9.23%
639.00K
-66.24%
514.00K
245.66%
1.20M
413.58%
763.00K
73.39%
585.00K
1238.99%
1.52M
204.31%
346.00K
30.66%
148.56K
241.84%
337.39K
5.60%
113.70K
52.21%
113.70K
83.68%
113.70K
64.50%
98.70K
94.62%
107.67K
--
74.70K
--
61.90K
--
60.00K
--
55.32K
Net cash flow from business transactions
--
-120.00K
-2071.43%
-760.00K
--
0.00
--
7.43M
--
--
93.75%
-35.00K
--
0.00
100.00%
0.00
100.00%
0.00
-400.00%
-560.00K
-100.00%
0.00
89.81%
-907.00K
25.69%
-1.57M
--
-112.00K
--
44.92K
--
-8.90M
--
-2.12M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Net cash flow from other investing activities
--
--
--
0.00
--
0.00
--
-130.00K
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-165.00K
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Cash from non-current investing activities
Net cash flow from investing activities
-52.34%
-815.00K
-252.35%
-1.80M
-122.94%
-1.00M
2166.98%
6.63M
9.01%
-535.00K
56.15%
-510.00K
41.15%
-449.00K
87.25%
-321.00K
77.83%
-588.00K
-16.53%
-1.16M
51.64%
-763.00K
72.98%
-2.52M
0.51%
-2.65M
-83.87%
-998.00K
-1111.82%
-1.58M
-7668.65%
-9.32M
-2181.78%
-2.67M
-351.15%
-542.77K
-12.00%
-130.21K
-39.74%
-119.95K
-88.72%
-116.82K
-96.98%
-120.31K
-81.59%
-116.26K
--
-85.84K
--
-61.90K
--
-61.08K
--
-64.02K
Financing cash flow
Cash flow from continuous financing activities
7734.38%
7.33M
-169.35%
-3.92M
909.78%
3.98M
-78.20%
1.28M
-116.58%
-96.00K
212.50%
5.65M
-118.45%
-491.00K
181.49%
5.86M
109.18%
579.00K
-115.84%
-5.03M
87.78%
2.66M
-585.66%
-7.19M
-145918.52%
-6.31M
737501.21%
31.72M
-95.37%
1.42M
253.02%
1.48M
-105.48%
-4.32K
-100.88%
-4.30K
727408.96%
30.61M
10105.15%
419.32K
-86.23%
78.77K
122.61%
491.24K
-100.30%
-4.21K
--
-4.19K
--
571.83K
--
220.67K
--
1.41M
Net cash flow from debt Issuance/repayment
29600.00%
4.46M
-345.95%
-3.89M
1012.22%
3.73M
-76.90%
1.42M
-97.41%
15.00K
131.48%
1.58M
-115.37%
-409.00K
387.95%
6.14M
110.89%
579.00K
-523.57%
-5.03M
87.78%
2.66M
-252.33%
-2.13M
-123025.00%
-5.32M
-18635.47%
-806.00K
381.00%
1.42M
211.64%
1.40M
-1.74%
-4.32K
-1.77%
-4.30K
-11881.04%
-504.28K
10820.97%
449.32K
-1.75%
-4.25K
-1.76%
-4.23K
-1.76%
-4.21K
--
-4.19K
--
-4.17K
--
-4.15K
--
-4.14K
Net cash flow from common stock issuance/repurchase
--
3.04M
-100.00%
0.00
--
--
--
--
--
--
--
4.90M
--
0.00
100.00%
0.00
100.00%
0.00
-100.00%
0.00
--
0.00
-6420.00%
-5.06M
--
-989.00K
--
35.00M
-100.00%
0.00
366.67%
80.00K
-100.00%
0.00
-100.00%
0.00
--
34.30M
--
-30.00K
-85.59%
83.01K
120.38%
495.47K
-100.00%
0.00
--
0.00
--
576.00K
--
224.83K
--
1.49M
Net cash flow from other financing activities
-52.25%
-169.00K
96.38%
-30.00K
398.78%
245.00K
50.00%
-142.00K
--
-111.00K
--
-828.00K
--
-82.00K
--
-284.00K
--
--
--
--
--
--
--
--
--
--
--
-2.47M
--
--
--
--
--
--
--
0.00
--
-3.18M
--
--
--
--
--
0.00
--
--
--
--
--
--
--
0.00
--
-70.00K
Net cash from non-recurrent financing activities
Net cash from financing activities
7734.38%
7.33M
-169.35%
-3.92M
909.78%
3.98M
-78.20%
1.28M
-116.58%
-96.00K
212.50%
5.65M
-118.45%
-491.00K
181.49%
5.86M
109.18%
579.00K
-115.84%
-5.03M
87.78%
2.66M
-585.66%
-7.19M
-145918.52%
-6.31M
737501.21%
31.72M
-95.37%
1.42M
253.02%
1.48M
-105.48%
-4.32K
-100.88%
-4.30K
727408.96%
30.61M
10105.15%
419.32K
-86.23%
78.77K
122.61%
491.24K
-100.30%
-4.21K
--
-4.19K
--
571.83K
--
220.67K
--
1.41M
Net cash flow
Beginning cash balance
-2.00%
7.39M
98.55%
13.43M
17.54%
10.78M
-12.34%
5.96M
-10.02%
7.54M
-53.94%
6.76M
-53.26%
9.17M
-77.78%
6.80M
-77.90%
8.38M
19.15%
14.68M
19.93%
19.62M
18.11%
30.60M
28.28%
37.92M
-60.24%
12.32M
997.87%
16.36M
2968.34%
25.91M
5001.97%
29.56M
2837.66%
30.99M
52.21%
1.49M
-23.68%
844.45K
-42.55%
579.42K
-35.30%
1.06M
524.39%
979.07K
--
1.11M
--
1.01M
--
1.63M
--
156.80K
Current period cash flow changes
149.56%
782.00K
-875.84%
-6.04M
209.84%
2.65M
103.29%
4.82M
0.06%
-1.58M
112.35%
778.00K
51.23%
-2.41M
121.58%
2.37M
78.43%
-1.58M
-124.62%
-6.30M
-22.33%
-4.94M
-14.98%
-10.98M
-100.46%
-7.32M
1888.29%
25.60M
-113.69%
-4.04M
-1578.67%
-9.55M
-1477.59%
-3.65M
-200.98%
-1.43M
38739.97%
29.50M
606.72%
645.83K
170.49%
265.03K
23.55%
-475.61K
-94.85%
75.96K
--
-127.45K
--
97.98K
--
-622.11K
--
1.47M
Ending cash balance
37.05%
8.17M
-1.99%
7.39M
98.55%
13.43M
17.54%
10.78M
-12.34%
5.96M
-10.02%
7.54M
-53.94%
6.76M
-53.26%
9.17M
-77.78%
6.80M
-77.90%
8.38M
19.14%
14.68M
19.93%
19.62M
18.11%
30.60M
28.28%
37.92M
-60.24%
12.32M
997.84%
16.36M
2968.34%
25.91M
5001.97%
29.56M
2837.66%
30.99M
52.21%
1.49M
-23.68%
844.45K
-42.55%
579.42K
-35.30%
1.06M
--
979.07K
--
1.11M
--
1.01M
--
1.63M
Free cash flow
-333.67%
-6.43M
72.01%
-1.35M
30.66%
-1.33M
-7.91%
-3.76M
31.33%
-1.48M
-543.75%
-4.84M
74.77%
-1.92M
-20.94%
-3.49M
-484.67%
-2.16M
87.49%
-752.00K
-38.19%
-7.60M
-35.31%
-2.88M
136.64%
561.00K
-376.32%
-6.01M
-395.70%
-5.50M
-1040.99%
-2.13M
-922.10%
-1.53M
-30.55%
-1.26M
-1484.07%
-1.11M
283.77%
226.51K
139.31%
186.26K
-14.72%
-966.85K
27.64%
80.17K
--
-123.26K
--
-473.84K
--
-842.78K
--
62.81K
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit opinions
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