VS Media Holdings Limited Class A Ordinary Shares (VSME)

USD 0.81

(0.0%)

EBITDA Summary of VS Media Holdings Limited Class A Ordinary Shares

  • VS Media Holdings Limited Class A Ordinary Shares's latest annual EBITDA in 2023 was -6.2 Million USD , down -312.17% from previous year.
  • VS Media Holdings Limited Class A Ordinary Shares's latest quarterly EBITDA in 2023 FY was N/A , down -312.17% from previous quarter.
  • VS Media Holdings Limited Class A Ordinary Shares reported an annual EBITDA of -1.5 Million USD in 2022, down -1737.88% from previous year.
  • VS Media Holdings Limited Class A Ordinary Shares reported an annual EBITDA of -5840.00 USD in 2021, down -8460.31% from previous year.
  • VS Media Holdings Limited Class A Ordinary Shares reported a quarterly EBITDA of -276.76 Thousand USD for 2023 Q2, down -170.83% from previous quarter.
  • VS Media Holdings Limited Class A Ordinary Shares reported a quarterly EBITDA of -102.19 Thousand USD for 2022 Q4, down -469.72% from previous quarter.

Annual EBITDA Chart of VS Media Holdings Limited Class A Ordinary Shares (2023 - 2020)

Created with Highcharts 11.1.0YearsEBITDA20202020.252020.52020.7520212021.252021.52021.7520222022.252022.52022.752023-8000000 USD-6000000 USD-4000000 USD-2000000 USD0 USD2000000 USD

Historical Annual EBITDA of VS Media Holdings Limited Class A Ordinary Shares (2023 - 2020)

Year EBITDA EBITDA Growth
2023 -6.2 Million USD -312.17%
2022 -1.5 Million USD -1737.88%
2021 -5840.00 USD -8460.31%
2020 980.00 USD 0.0%

Peer EBITDA Comparison of VS Media Holdings Limited Class A Ordinary Shares

Name EBITDA EBITDA Difference
Able View Inc. 13.41 Million USD 146.27%
Able View Inc. 13.41 Million USD 146.27%
Advantage Solutions Inc. 301.17 Million USD 102.061%
Advantage Solutions Inc. 301.17 Million USD 102.061%
Baosheng Media Group Holdings Limited -1.94 Million USD -218.78%
Cardlytics, Inc. -99 Million USD 93.731%
Cheer Holding, Inc. 33.06 Million USD 118.771%
Cimpress plc 399.53 Million USD 101.553%
ZW Data Action Technologies Inc. -3.49 Million USD -77.682%
Criteo S.A. 154.59 Million USD 104.015%
Direct Digital Holdings, Inc. 473 Thousand USD 1412.142%
Fluent, Inc. -49.25 Million USD 87.399%
Glory Star New Media Group Holdings Limited 30.34 Million USD 120.452%
Haoxi Health Technology Limited 1.78 Million USD 447.31%
Harte Hanks, Inc. 9.89 Million USD 162.755%
Integral Ad Science Holding Corp. 72.05 Million USD 108.613%
iClick Interactive Asia Group Limited -35.55 Million USD 82.543%
Lendway, Inc. -2.99 Million USD -107.296%
Marchex, Inc. -5.75 Million USD -7.788%
Magnite, Inc. 115.64 Million USD 105.367%
MGO Global Inc. Common Stock -7.37 Million USD 15.86%
Mobiquity Technologies, Inc. -5.54 Million USD -11.853%
National CineMedia, Inc. 750.1 Million USD 100.827%
Nexxen International Ltd. 69.5 Million USD 108.93%
QMMM Holdings Limited Ordinary Shares -1.07 Million USD -477.762%
QuinStreet, Inc. -5.75 Million USD -7.769%
SRAX, Inc. -26.7 Million USD 76.755%
Steel Connect, Inc. 7.46 Million USD 183.185%
Stagwell Inc. 324.54 Million USD 101.912%
Travelzoo 17.46 Million USD 135.536%
Xunlei Limited 25.99 Million USD 123.88%
Ziff Davis, Inc. 426.22 Million USD 101.456%