17.06
00.04 (00.00%)
As of Mar 06, 2024
CINEMARK HOLDINGS, INC. [CNK]
As of Feb 16, 2024 | Source: Annual Report to the SEC
Company Overview
Cinemark Holdings, Inc is a leader and one of the most geographically diverse operators in the motion picture exhibition industry. As of December 31, 2023, we operated 501 theatres and 5,719 screens in the United States, or “U.S.”, and Latin America.
Country | United States |
Headquarters | Plano, Texas |
Phone Number | (972) 665-1000 |
Industry | Motion Pictures |
Employees | 17,500 |
CEO | Sean Gamble |
Website | ir.cinemark.com |
Cinemark Holdings, Inc. [CNK] As of Nov 04, 2022| Source: Quarterly Report to the SEC Cinemark Holdings, Inc. and subsidiaries is a leader in the motion picture exhibition industry, with theatres in t...
Cinemark Holdings, Inc. [CNK] As of Aug 05, 2022| Source: Quarterly Report to the SEC Cinemark Holdings, Inc. and subsidiaries is a leader in the motion picture exhibition industry, with theatres in t...
Cinemark Holdings, Inc. [CNK] As of Nov 03, 2017| Source: Quarterly Report to the SEC Cinemark Holdings, Inc. and subsidiaries is a leader in the motion picture exhibition industry, with theatres in t...
Cinemark Holdings, Inc. [CNK] As of Aug 04, 2017| Source: Quarterly Report to the SEC Cinemark Holdings, Inc. and subsidiaries is a leader in the motion picture exhibition industry, with theatres in t...
Cinemark Holdings, Inc. [CNK] As of May 03, 2017| Source: Quarterly Report to the SEC Cinemark Holdings, Inc. and subsidiaries is a leader in the motion picture exhibition industry, with theatres in t...
Financial Overview
Revenue | 3,067 M |
Operating Revenue | 366 M |
Profits | 209 M |
Net Cash | 185 M |
Management Effectiveness
Return on Equity | 4.73% |
Return on Assets | 0.61% |
Turnover Ratio | 0.66 M |
EBITDA | 576 M |
Profit Ratios
Operating Margin | 11.94% |
Profit as % of Assets | 4.5% |
Profit as % of Stockholder Equity | 34.75% |
Balance Sheet and Cash Flow Measures
Total Assets | 4,656 M |
Total Liabilities | 4,056 M |
Operating Cash Flow | 455 M |
Investing Cash Flow | -132 M |
Financing Cash Flow | -125 M |