3.92
01.42 (00.36%)
As of Mar 06, 2024
ACACIA RESEARCH CORP [ACTG]
As of Aug 08, 2024 | Source: Quarterly Report to the SEC
Company Overview
Acacia Research Corp is focused on acquiring and managing companies across industries including but not limited to the industrial, energy, technology, and healthcare verticals.
Country | United States |
Headquarters | New York, New York |
Phone Number | 332-236-8500 |
Industry | Holding And Other Investment Offices |
Employees | 172 |
CEO | Martin D. McNulty Jr. |
Website | www.acaciaresearch.com |
Key fundamental financials of $0 Revenue of $0 Current Reporting Revenue Net Income Profit/Loss Dec 2022 $0 $0 Dec 2021 $88.05 million $150.36 million profit Dec 2020 $29.78 million $113.44 million pr...
ACACIA RESEARCH CORP [ACTG] As of Nov 07, 2017| Source: Quarterly Report to the SEC Acacia Research Corporation (the Company, we, us, or "our") is a permanent capital platform that purchases businesse...
ACACIA RESEARCH CORP [ACTG] As of Aug 11, 2022| Source: Quarterly Report to the SEC Acacia Research Corporation (the Company, we, us, or "our") is a permanent capital platform that purchases businesse...
ACACIA RESEARCH CORP [ACTG] As of Aug 07, 2017| Source: Quarterly Report to the SEC Acacia Research Corporation (the Company, we, us, or "our") is a permanent capital platform that purchases businesse...
ACACIA RESEARCH CORP [ACTG] As of May 10, 2017| Source: Quarterly Report to the SEC Acacia Research Corporation (the Company, we, us, or "our") is a permanent capital platform that purchases businesse...
Financial Overview
Revenue | 25,838 K |
Operating Revenue | -4,758 K |
Profits | -8,829 K |
Net Cash | 46,897 K |
Management Effectiveness
Return on Equity | -1.48% |
Return on Assets | -1.17% |
Turnover Ratio | 0.04 K |
EBIT | -4,758 K |
Profit Ratios
Gross Margin | 6,758 K |
Operating Margin | -18.41% |
Profit as % of Revenues | -76.54% |
Profit as % of Assets | -1.27% |
Profit as % of Stockholder Equity | -1.48% |
Balance Sheet and Cash Flow Measures
Total Assets | 753,593 K |
Total Liabilities | 156,848 K |
Operating Cash Flow | 70,955 K |
Investing Cash Flow | -109,833 K |
Financing Cash Flow | 85,880 K |