Invent Ventures, Inc. (IDEA)

USD 0.02

(0.0%)

EBITDA Summary of Invent Ventures, Inc.

  • Invent Ventures, Inc.'s latest annual EBITDA in 2023 was 393.19 Thousand USD , up 417.48% from previous year.
  • Invent Ventures, Inc.'s latest quarterly EBITDA in 2024 Q2 was 212.32 Thousand USD , up 49.39% from previous quarter.
  • Invent Ventures, Inc. reported an annual EBITDA of -123.84 Thousand USD in 2022, down -385.67% from previous year.
  • Invent Ventures, Inc. reported an annual EBITDA of -25.5 Thousand USD in 2021, up 6.89% from previous year.
  • Invent Ventures, Inc. reported a quarterly EBITDA of 142.12 Thousand USD for 2024 Q1, up 57.02% from previous quarter.
  • Invent Ventures, Inc. reported a quarterly EBITDA of 85.36 Thousand USD for 2023 Q2, up 92.64% from previous quarter.

Annual EBITDA Chart of Invent Ventures, Inc. (2023 - 1999)

Historical Annual EBITDA of Invent Ventures, Inc. (2023 - 1999)

Year EBITDA EBITDA Growth
2023 393.19 Thousand USD 417.48%
2022 -123.84 Thousand USD -385.67%
2021 -25.5 Thousand USD 6.89%
2020 -27.38 Thousand USD 0.0%
2013 -820.52 Thousand USD 2.25%
2012 -836.79 Thousand USD -590.52%
2011 -121.56 Thousand USD 98.58%
2010 -98.2 Thousand USD -2294.32%
2009 755.00 USD -226.02%
2008 -148.96 Thousand USD -397.79%
2007 48.41 Thousand USD 115.19%
2006 -242.54 Thousand USD 6.8%
2005 -260.25 Thousand USD -256.85%
2004 -72.93 Thousand USD 16.7%
2003 -87.55 Thousand USD 24.98%
2002 -116.7 Thousand USD 74.69%
2001 -461.14 Thousand USD 27.3%
2000 -999.03 Thousand USD -30.45%
1999 6471.00 USD 0.0%

Peer EBITDA Comparison of Invent Ventures, Inc.

Name EBITDA EBITDA Difference
Starfleet Innotech, Inc. 5.11 Million USD 92.317%
Beneficial Holdings, Inc. -1.3 Million USD 130.031%
The Trendlines Group Ltd. -35.53 Million USD 101.106%
The Trendlines Group Ltd. -35.53 Million USD 101.106%
Suntex Enterprises, Inc. -21.85 Thousand USD 1899.497%
The Westaim Corporation 186.82 Million USD 99.79%
Champion Investments, Inc. 49.62 Thousand USD -692.29%
ENDI Corp. 2.1 Million USD 81.297%
Helios Fairfax Partners Corporation -8.18 Million USD 104.802%
Mount Logan Capital Inc. -8.84 Million USD 104.446%
Readen Holding Corp. 404.85 Thousand USD 2.882%
G-Resources Group Limited 5.94 Million USD 93.384%
GlassBridge Enterprises, Inc. -2.7 Million USD 114.563%
Endurance RP Limited -7.72 Million USD 105.091%
Regency Affiliates, Inc. 2.64 Million USD 85.159%
Fortitude Group, Inc. -822.05 Thousand USD 147.83%
Teton Advisors, LLC 1.84 Million USD 78.746%
Brookfield Asset Management Inc. 25.58 Billion USD 99.998%
iBrands Corp. -942.91 Thousand USD 141.699%
Franklin BSP Lending Corporation 151.07 Million USD 99.74%
United Resource Holdings Group, Inc. -1.44 Million USD 127.292%
Ilustrato Pictures International Inc. -7.62 Million USD 105.158%
Onex Corporation 569 Million USD 99.931%
CVF Technologies Corporation -1.69 Million USD 123.237%
Winvest Group Ltd. -328.69 Thousand USD 219.623%
Medley Management Inc. - USD -Infinity%
Queen's Road Capital Investment Ltd. 20.05 Million USD 98.04%
Pershing Square Holdings, Ltd. - USD -Infinity%
Eurazeo SE 2.21 Billion USD 99.982%
Foxby Corp. 2.81 Million USD 86.048%
SMC Entertainment, Inc. -1.5 Million USD 126.144%
BBX Capital, Inc. -19.5 Million USD 102.016%
Allied Minds plc -845 Thousand USD 146.531%
Fomo Worldwide, Inc. -952.1 Thousand USD 141.297%
VietNam Holding Limited - USD -Infinity%
Lot78, Inc. -224.55 Thousand USD 275.101%
One World Ventures, Inc. - USD -Infinity%
Brookfield Asset Management Inc. 29.25 Billion USD 99.999%
Human Unitec International, Inc. -295 Thousand USD 233.285%
Cardiff Lexington Corporation 5.21 Million USD 92.462%
Zalemark Holding Company Inc. -20.15 Thousand USD 2051.315%
Limitless Venture Group Inc. 354.2 Thousand USD -11.007%
City of London Investment Group PLC 29.57 Million USD 98.671%
Perpetual Limited -270.1 Million USD 100.146%
BKF Capital Group, Inc. 199 Thousand USD -97.583%
Safeguard Scientifics, Inc. -9.5 Million USD 104.135%
GAMCO Investors, Inc. 71.11 Million USD 99.447%
Teton Advisors, LLC 1.84 Million USD 78.746%
Canadian General Investments, Limited -43.04 Thousand USD 1013.355%
Winmill & Co. Incorporated -219.81 Thousand USD 278.874%
Sanarco Funds Inc. - USD -Infinity%
Chancellor Group, Inc. -1.27 Million USD 130.935%
Base Carbon Inc. 106.41 Million USD 99.631%
NNRF Inc. -396.28 Thousand USD 199.22%
Detwiler Fenton Group, Inc. 1.08 Million USD 63.918%
Carbon Streaming Corporation -15.17 Million USD 102.591%
FRMO Corporation 137.11 Million USD 99.713%
Elron Ventures Ltd 10.89 Million USD 96.39%
Princeton Capital Corporation -113.7 Thousand USD 445.814%
Movement Industries Corporation -24.99 Thousand USD 1673.263%
Brookfield Asset Management Inc 30.69 Billion USD 99.999%
1812 Brewing Company Inc. 6057.00 USD -6391.497%
Fairfax India Holdings Corporation - USD -Infinity%
Brookfield Asset Management Inc 30.69 Billion USD 99.999%
Huntwicke Capital Group Inc. -3.58 Million USD 110.983%
Bounce Mobile Systems, Inc. -174.88 Thousand USD 324.834%
Brookfield Asset Management Inc 25.58 Billion USD 99.998%