World Wrestling Entertainment: stocks, financial statements

Free disabling of ads
Dividends News
Favorites

World Wrestling Entertainment, Inc. engages in the development, production and marketing of television and pay-per-view event programming and live events and the licensing and sale of consumer products featuring its brands. It operates through the following business segments: Digital Media, Live Events, Consumer Products Division, WWE Studios, and Corporate & Other. The Digital Media segment revenues consist principally of subscriptions to WWE Network, fees for viewing its pay-per-view and video-on-demand programming, and advertising fees. The Live Events segment revenues consist principally of ticket sales and travel packages for live events. The Consumer Products segment revenues consist principally of royalties or license fees related to various WWE themed products such as video games, toys and apparel. The WWE Studios segment revenues consist of amounts earned from the investing in producing and/or distributing of filmed entertainment. The Corporate & Other segment revenues consist of amounts earned from the investing in producing and/or distributing of filmed entertainment. The company was founded by Vincent K. McMahon in 1980 and is headquartered in Stamford, CT.

  • WWE Symbol
  • NYSE Exchange
  • 915 Employees
3 rated
  • $41.30, +$0.33 (+0.81%) Previous Close
  • 542,491 Previous Volume
  • $29.10 / $67.53 52 week low / high
  • -38.84% Percent off 52 week high
  • 2020-11-23 Updated
  • 1.16% Dividend yield (trailing)
  • 1.16% Dividend yield (forward)
  • 46,044,539 Public float
  • 46,695,000 Outstanding shares
  • 17.12 P/E
  • 3.19 B Market Cap
Free disabling of ads

Financial statements — World Wrestling Entertainment

The information is not 100% up-to-date. There may be errors or something missing. Often something is missing, there are almost no errors, but I can't rule them out. Now I'm looking for a supplier of high-quality information, but so far what I find is expensive (about $ 2000 a year). You can help my project here.
2015 2016 2017 2018 2019
Total Revenue 660M 730M 800M 930M 960M
Cost Of Revenue 420M 450M 480M 630M 670M
Gross Profit 240M 280M 320M 300M 290M
Research and Development
Selling General and Admin
Operating Expense 610M 670M 720M 810M 840M
Operating Income 46M 56M 81M 120M 120M
Other Income Expense Net -10M -3.3M -17M -15M -24M
EBIT 46M 56M 81M 120M 120M
Interest Income 2.4M 3M 15M 15M 26M
Pretax Income 36M 53M 64M 110M 95M
Income Tax 12M 19M 31M 6.4M 18M
Minority Interest 0 0 0 0 0
Net Income 24M 34M 33M 100M 77M
Net Income Basic 24M 34M 33M 100M 77M
2015 2016 2017 2018 2019
Current cash 38M 210M 140M 170M 90M
Short term investments 64M 55M 160M 190M 160M
Receivables 58M 53M 65M 79M 120M
Inventory 6.2M 6.5M 8.3M 7.8M 8.3M
Other current assets 13M 22M 20M 28M 21M
Current assets 180M 350M 390M 470M 400M
Long term investments 22M 25M 27M 30M 28M
Property plant equipment 110M 130M 130M 150M 490M
Goodwill
Intangible assets
Other assets 57M 61M 46M 31M 67M
Total assets 410M 600M 610M 700M 990M
Accounts payable 8.6M 10M 13M 12M 9.3M
Current long term debt 4.4M 6.1M 4.6M 190M 200M
Other current liabilities 120M 120M 120M 160M 130M
Total current liabilities 130M 130M 140M 360M 340M
Long term debt 17M 200M 210M 26M 370M
Other liabilities 50M 31M 14M 410K 180K
Minority Interest 0 0 0 0 0
Total Liabilities 200M 360M 360M 380M 720M
Common stock 76M 76M 77M 78M 77M
Retained earning -160M -170M -170M -100M -130M
Treasury stock 2.8M 3.8M 4.2M 3.2M 880K
Capital surplus 370M 400M 420M 420M 410M
Shareholder equity 210M 240M 250M 320M 280M
Net tangible assets 210M 240M 250M 320M 280M
2015 2016 2017 2018 2019
Net Income 24M 34M 33M 100M 77M
Depreciation 61M 62M 71M 65M 74M
Changes in receivables 5.3M -12M -14M -46M
Changes in inventories -1.4M -360K -1.8M 580K -500K
Cash change -9.2M 170M -74M 30M -77M
Cash flow 50M 57M 97M 190M 120M
Capital expenditures -20M -30M -25M -32M -69M
Investments 1.3M 5.8M -110M -35M 32M
Investing activity other
Total investing cash flows -19M -24M -130M -66M -36M
Dividends paid -36M -37M -37M -37M -37M
Net borrowings -4.3M 160M 5.9M -4.8M -13M
Other financing cash flows 430K 890K -9.2M -51M -30M
Cash flow financing -40M 140M -37M -91M -160M
Exchange rate effect
Free disabling of ads
Free disabling of ads