CM Finance Inc Revenue per Share

Revenue per Share of ICMB for past 10 years: annual, quarterly and twelve month trailing (TTM) including Revenue per Share growth rates and interactive chart. Calculated as total revenue divided by the number of weighted average shares outstanding in the period. It can be easily compared to the stock price to determine how revenue is an investor getting for every $1 paid for a stock.


Highlights and Quick Summary

  • Revenue per Share for the quarter ending June 29, 2020 was 0.56 (a -13.15% decrease compared to previous quarter)
  • Year-over-year quarterly Revenue per Share decreased by -11.48%
  • Annual Revenue per Share for 2020 was 2.51 (a -0.63% decrease from previous year)
  • Annual Revenue per Share for 2019 was 2.52 (a -15.31% decrease from previous year)
  • Annual Revenue per Share for 2018 was 2.98 (a 31.5% increase from previous year)
  • Twelve month Revenue per Share ending June 29, 2020 was 2.51 (a -1.02% decrease compared to previous quarter)
  • Twelve month trailing Revenue per Share decreased by -1.54% year-over-year
Trailing Revenue per Share for the last four month:
29 Jun '20 30 Mar '20 30 Dec '19 29 Sep '19
2.51 2.53 2.55 2.55
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Historical Revenue per Share of CM Finance Inc

Most recent Revenue per Shareof ICMB including historical data for past 10 years.

Interactive Chart of Revenue per Share of CM Finance Inc

CM Finance Inc Revenue per Share for the past 10 Years (both Annual and Quarterly)

Year Q1 Q2 Q3 Q4 Fiscal Year
2020 0.56 0.64 2.51
2019 0.69 0.63 0.6 0.64 2.52
2018 0.68 0.6 1.24 0.63 2.98
2017 0.62 0.49 0.53 0.52 2.27
2016 0.67 0.55 0.57 0.58 2.6
2015 0.73 0.72 0.84 0.61 2.7
2014 0.67 0.58 0.48 0.4 1.55
2013 0.0 0.0 0.0 0.0
2012 0.0

Business Profile of CM Finance Inc

Sector: Finance
Industry: Finance
CM Finance Inc. is a business development company specializing in loan, mezzanine, middle market, growth capital, and recapitalization investments. The fund typically invests in United States and Europe. Within United States, the fund seeks to invest in Midatlantic, Midwest, Northeast, Southeast, and West Coast regions. The fund primarily invests in cable and satellites; consumer services; healthcare equipment and services; industrials; information technology; telecommunication services; and utilities sectors. The fund seeks to invest in companies with EBITDA more than $15 million. The fund is based in New York, New York.