Altimeter Growth 2 Corp
NYSE:AGCB

Altimeter Growth 2 Corp (NYSE:AGCB)

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Income Statement

-
Revenue
1 Year
N/A
3 Years
N/A
5 Years
N/A
-
Gross Proft
1 Year
N/A
3 Years
N/A
5 Years
N/A
-
Operating Income
1 Year
N/A
3 Years
N/A
5 Years
N/A
-
Net Income
1 Year
N/A
3 Years
N/A
5 Years
N/A
Currency: USD
Sep-2021 Jun-2021 Mar-2021
Revenue
Revenue
0
-
0
-
0
-
Operating Income
Operating Expenses
(1)
(0)
(0)
Other Operating Expenses
(1)
(0)
(0)
Operating Income
(1)
-184%
(0)
+6%
(0)
-
Pre-Tax Income
Interest Income Expense
0
0
0
Total Other Income
2
1
(2)
Pre-Tax Income
1
+248%
0
-
(2)
-
Net Income
Income from Continuing Operations
1
0
(2)
Net Income (Common)
1
+248%
0
-
(2)
-

Balance Sheet

451M
Assets
1 Year
N/A
3 Years
N/A
5 Years
N/A
16.4M
Liabilities
1 Year
N/A
3 Years
N/A
5 Years
N/A
435M
Equity
1 Year
N/A
3 Years
N/A
5 Years
N/A
Currency: USD
Sep-2021 Jun-2021 Mar-2021
Assets
Cash & Cash Equivalents
0
1
1
Cash
0
1
1
Other Current Assets
0
1
1
Total Current Assets
1
1
1
Long-Term Investments
450
450
450
Other Long-Term Assets
0
0
0
Total Assets
451
+0%
451
0%
451
-
Liabilities
Accrued Liabilities
1
0
0
Short-Term Debt
0
0
0
Total Current Liabilities
1
0
0
Long-Term Debt
0
0
0
Other Liabilities
16
17
17
Total Liabilities
16
-4%
17
-2%
18
-
Equity
Common Stock
450
429
429
Retained Earnings
15
2
2
Additional Paid In Capital
0
7
7
Total Equity
435
+0%
434
+0%
434
-
Total Liabilities & Equity
451
+0%
451
0%
451
-
Shares Outstanding
Common Shares Outstanding
57.4M
57.4M
57.4M

Cash Flow Statement

-
Operating Cash Flow
1 Year
N/A
3 Years
N/A
5 Years
N/A
-
Capital Expenditures
1 Year
N/A
3 Years
N/A
5 Years
N/A
-
Free Cash Flow
1 Year
N/A
3 Years
N/A
5 Years
N/A
Currency: USD
Sep-2021 Jun-2021 Mar-2021
Operating Cash Flow
Net Income
1
0
(2)
Other Non-Cash Items
(2)
(1)
2
Change in Working Capital
1
0
(1)
Cash from Operating Activities
(0)
-67%
(0)
+93%
(1)
-
Investing Cash Flow
Other Items
0
0
(450)
Cash from Investing Activities
0
-
0
-
(450)
-
Financing Cash Flow
Net Issuance of Common Stock
0
0
452
Net Issuance of Debt
(0)
(0)
(0)
Other
0
(0)
(0)
Cash from Financing Activities
0
-
(0)
-
451
-
Change in Cash
Net Change in Cash
(0)
-55%
(0)
-
1
-