MITQ Chart
About

Moving iMage Technologies, Inc. designs, manufactures, integrates, installs, and distributes proprietary and custom designed equipment, and other off the shelf cinema products for cinema requirements in the United States and internationally. The company provides automation, pedestal, projection pod, and power management systems; and in-house designed, manufactured, and assembled lighting products and dimmers, as well as distributes digital cinema projectors and media servers. It also offers premium sound systems; demand-controlled ventilation systems that automatically shuts down exhaust fans; and cup holders, trays, and cups. In addition, the company provides software solutions, such as CineQC, a cinema quality control system. Further, it offers technical, design, and consulting services, such as custom engineering, audio visual integration, systems design and installation, and digital technology services, as well as software solutions for operations enhancement and theatre management. Additionally, the company provides turnkey project management, and furniture fixture and equipment services to commercial cinema exhibitors for new construction and remodels, including design, consulting, and procurement of seats, screen systems, lighting, acoustical treatments, screens, projection, and sound equipment for upgrades and new professional cinema, screening room, postproduction facilities and ultra-high-end cinema builds. Moving iMage Technologies, Inc. is headquartered in Fountain Valley, California.

Fundamentals
Scroll to Statements
Sector Technology Industry Communication Equipment Market Cap 5.89M
Enterprise Value 3.00M Income -274.00K Sales 18.83M
Book/sh 0.50 Cash/sh 0.39 Dividend Yield —
Payout 0.00% Employees 25 IPO —
P/E — Forward P/E — PEG —
P/S 0.31 P/B 1.18 P/C —
EV/EBITDA -6.78 EV/Sales 0.16 Quick Ratio 1.33
Current Ratio 2.22 Debt/Eq 20.74 LT Debt/Eq —
EPS (ttm) -0.03 EPS next Y — EPS Growth —
Revenue Growth 10.20% Earnings 2026-05-14 ROA -3.30%
ROE -5.38% ROIC — Gross Margin 27.11%
Oper. Margin -10.76% Profit Margin -1.46% Shs Outstand 9.95M
Shs Float 6.70M Short Float 0.69% Short Ratio 1.20
Short Interest — 52W High 1.66 52W Low 0.50
Beta 0.52 Avg Volume 37.78K Volume 27.35K
Target Price — Recom None Prev Close $0.59
Price $0.59 Change 0.10%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
—
Mean price target
2. Current target
$0.60
Latest analyst target
3. DCF / Fair value
$-2.27
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$0.60
Low
—
High
—
Mean
—
Insider Transactions
Date Shares Value Url Text Insider Position Transaction Start Date Ownership
0 6260 — — Stock Award(Grant) at price 0.00 per share. STISKA JOHN C Director — 2024-09-25 00:00:00 D
1 11078 — — Stock Award(Grant) at price 0.00 per share. CROTHALL KATHERINE D Director — 2024-09-25 00:00:00 D
2 16578 — — Stock Award(Grant) at price 0.00 per share. ANDERSON SCOTT LLOYD Director — 2024-09-25 00:00:00 D
Financials
Line Item2025-06-302024-06-302023-06-302022-06-30
TaxEffectOfUnusualItems0.000.000.000.00
TaxRateForCalcs0.000.000.000.00
NormalizedEBITDA-763.00K-1.22M-1.66M-1.65M
TotalUnusualItems38.00K457.00K1.15M
TotalUnusualItemsExcludingGoodwill38.00K457.00K1.15M
NetIncomeFromContinuingOperationNetMinorityInterest-948.00K-1.37M-1.80M-1.34M
ReconciledDepreciation323.00K341.00K349.00K112.00K
ReconciledCostOfRevenue13.57M15.46M14.90M13.89M
EBITDA-763.00K-1.22M-1.63M-1.19M
EBIT-1.09M-1.56M-1.98M-1.30M
NetInterestIncome138.00K185.00K139.00K-40.00K
InterestExpense40.00K237.00K
InterestIncome138.00K185.00K139.00K
NormalizedIncome-948.00K-1.37M-1.84M-1.80M
NetIncomeFromContinuingAndDiscontinuedOperation-948.00K-1.37M-1.80M-1.34M
TotalExpenses19.23M21.70M22.18M20.11M
TotalOperatingIncomeAsReported-1.09M-1.56M-1.98M-1.76M
DilutedAverageShares9.91M10.48M10.92M10.58M
BasicAverageShares9.91M10.48M10.92M10.58M
DilutedEPS-0.10-0.13-0.16-0.13
BasicEPS-0.10-0.13-0.16-0.13
DilutedNIAvailtoComStockholders-948.00K-1.37M-1.80M-1.34M
NetIncomeCommonStockholders-948.00K-1.37M-1.80M-1.34M
OtherunderPreferredStockDividend-292.00K
NetIncome-948.00K-1.37M-1.80M-1.34M
NetIncomeIncludingNoncontrollingInterests-948.00K-1.37M-1.80M-1.34M
NetIncomeContinuousOperations-948.00K-1.37M-1.80M-1.34M
PretaxIncome-948.00K-1.37M-1.80M-1.34M
OtherIncomeExpense38.00K457.00K1.15M
SpecialIncomeCharges-954.00K705.00K694.00K
OtherSpecialCharges-705.00K-694.00K
ImpairmentOfCapitalAssets954.00K0.00
GainOnSaleOfSecurity38.00K-248.00K459.00K
NetNonOperatingInterestIncomeExpense138.00K185.00K139.00K-40.00K
InterestExpenseNonOperating40.00K237.00K
InterestIncomeNonOperating138.00K185.00K139.00K
OperatingIncome-1.09M-1.56M-1.98M-1.76M
OperatingExpense5.66M6.24M7.29M6.22M
ResearchAndDevelopment203.00K277.00K261.00K238.00K
SellingGeneralAndAdministration5.46M5.96M7.02M5.99M
SellingAndMarketingExpense1.88M2.41M2.63M2.39M
GeneralAndAdministrativeExpense3.58M3.55M4.39M3.60M
OtherGandA3.58M3.55M4.39M3.60M
GrossProfit4.57M4.68M5.31M4.46M
CostOfRevenue13.57M15.46M14.90M13.89M
TotalRevenue18.15M20.14M20.21M18.35M
OperatingRevenue18.15M20.14M20.21M18.35M
Line Item2023-06-30
TreasurySharesNumber0.00
OrdinarySharesNumber9.94M9.99M10.69M10.83M
ShareIssued9.94M9.99M10.69M10.83M
NetDebt1.26M
TotalDebt1.15M151.00K431.00K0.00
TangibleBookValue4.49M5.29M7.10M8.29M
InvestedCapital4.86M5.71M7.58M9.41M
WorkingCapital4.29M5.10M6.79M7.95M
NetTangibleAssets4.49M5.29M7.10M8.29M
CapitalLeaseObligations1.15M151.00K431.00K0.00
CommonStockEquity4.86M5.71M7.58M9.41M
TotalCapitalization4.86M5.71M7.58M9.41M
TotalEquityGrossMinorityInterest4.86M5.71M7.58M9.41M
StockholdersEquity4.86M5.71M7.58M9.41M
RetainedEarnings-7.20M-6.25M-4.88M-3.08M
AdditionalPaidInCapital12.06M11.96M12.46M12.50M
CapitalStock0.000.000.000.00
CommonStock0.000.000.000.00
TotalLiabilitiesNetMinorityInterest6.03M4.81M5.75M5.44M
TotalNonCurrentLiabilitiesNetMinorityInterest918.00K0.00151.00K22.00K
NonCurrentDeferredLiabilities0.0022.00K25.00K
NonCurrentDeferredRevenue0.0022.00K25.00K
LongTermDebtAndCapitalLeaseObligation918.00K0.00151.00K0.00
LongTermCapitalLeaseObligation918.00K0.00151.00K0.00
LongTermDebt1.70M
CurrentLiabilities5.11M4.81M5.60M5.41M
CurrentDeferredLiabilities1.14M1.68M3.19M3.18M
CurrentDeferredRevenue1.14M1.68M3.19M3.18M
CurrentDebtAndCapitalLeaseObligation227.00K151.00K280.00K827.00K
CurrentCapitalLeaseObligation227.00K151.00K280.00K0.00
CurrentDebt827.00K
OtherCurrentBorrowings237.00K
LineOfCredit0.00590.00K
CurrentNotesPayable1.27M
PensionandOtherPostRetirementBenefitPlansCurrent225.00K178.00K180.00K519.00K
CurrentProvisions379.00K139.00K
PayablesAndAccruedExpenses3.15M2.80M1.95M1.72M
CurrentAccruedExpenses109.00K527.00K411.00K136.00K
Payables3.04M2.27M1.53M1.58M
TotalTaxPayable28.00K14.00K27.00K0.00
AccountsPayable3.01M2.26M1.51M1.58M
TotalAssets10.89M10.52M13.33M14.85M
TotalNonCurrentAssets1.48M610.00K939.00K1.49M
OtherNonCurrentAssets16.00K16.00K16.00K16.00K
InvestmentsAndAdvances0.00325.00K0.00
InvestmentinFinancialAssets0.00325.00K0.00
AvailableForSaleSecurities325.00K
GoodwillAndOtherIntangibleAssets363.00K422.00K480.00K1.13M
OtherIntangibleAssets363.00K422.00K480.00K839.00K
Goodwill0.00287.00K287.00K
NetPPE1.10M172.00K443.00K22.00K
AccumulatedDepreciation-743.00K-730.00K-718.00K-710.00K
GrossPPE1.84M902.00K1.16M732.00K
Leases213.00K213.00K213.00K213.00K
OtherProperties1.51M572.00K843.00K427.00K
MachineryFurnitureEquipment117.00K117.00K105.00K92.00K
Properties0.000.000.000.00
CurrentAssets9.41M9.91M12.39M13.36M
OtherCurrentAssets162.00K470.00K451.00K864.00K
PrepaidAssets451.00K864.00K95.00K
Inventory2.07M3.12M4.42M4.03M
Receivables1.46M1.05M905.00K1.76M
AccountsReceivable1.46M1.05M905.00K1.76M
AllowanceForDoubtfulAccountsReceivable-436.00K-378.00K-127.00K-138.00K
GrossAccountsReceivable1.90M1.43M1.03M1.90M
CashCashEquivalentsAndShortTermInvestments5.71M5.28M6.62M6.70M
OtherShortTermInvestments0.004.36M0.00
CashAndCashEquivalents5.71M5.28M6.62M2.34M
CashFinancial5.71M5.28M6.62M2.34M
Line Item2025-06-302024-06-302023-06-302022-06-30
FreeCashFlow437.00K-808.00K254.00K-3.41M
RepurchaseOfCapitalStock0.00-530.00K-304.00K0.00
RepaymentOfDebt0.00-1.83M-122.00K
IssuanceOfDebt0.00698.00K
IssuanceOfCapitalStock0.0011.24M784.00K
CapitalExpenditure-12.00K-15.00K-20.00K-2.00K
InterestPaidSupplementalData0.0040.00K237.00K
EndCashPosition5.71M5.28M6.62M2.34M
BeginningCashPosition5.28M6.62M2.34M1.27M
ChangesInCash437.00K-1.34M4.28M1.07M
FinancingCashFlow0.00-530.00K-304.00K9.41M
CashFlowFromContinuingFinancingActivities0.00-530.00K-304.00K9.41M
NetCommonStockIssuance0.00-530.00K-304.00K11.24M
CommonStockPayments0.00-530.00K-304.00K0.00
CommonStockIssuance0.0011.24M784.00K
NetIssuancePaymentsOfDebt0.00-1.83M576.00K
NetShortTermDebtIssuance0.00-1.83M-60.00K
ShortTermDebtPayments0.00-1.83M-60.00K
NetLongTermDebtIssuance-1.24M636.00K
LongTermDebtPayments-1.24M-62.00K
LongTermDebtIssuance0.00698.00K
InvestingCashFlow0.00-12.00K4.31M-4.96M
CashFlowFromContinuingInvestingActivities0.00-12.00K4.31M-4.96M
NetOtherInvestingChanges-400.00K
NetInvestmentPurchaseAndSale0.004.73M-4.94M550.00K
SaleOfInvestment0.0012.39M641.00K550.00K
PurchaseOfInvestment0.00-7.67M-5.58M0.00
NetBusinessPurchaseAndSale0.00
SaleOfBusiness0.00
NetPPEPurchaseAndSale0.00-12.00K-15.00K-20.00K
PurchaseOfPPE0.00-12.00K-15.00K-20.00K
OperatingCashFlow437.00K-796.00K269.00K-3.39M
CashFlowFromContinuingOperatingActivities437.00K-796.00K269.00K-3.39M
ChangeInWorkingCapital801.00K-604.00K522.00K-1.72M
ChangeInOtherWorkingCapital-546.00K-1.51M19.00K1.80M
ChangeInOtherCurrentLiabilities-200.00K-280.00K-250.00K0.00
ChangeInPayablesAndAccruedExpense768.00K822.00K7.00K-286.00K
ChangeInAccruedExpense20.00K68.00K83.00K42.00K
ChangeInPayable748.00K754.00K-76.00K-328.00K
ChangeInAccountPayable748.00K754.00K-76.00K-328.00K
ChangeInPrepaidAssets309.00K-19.00K413.00K348.00K
ChangeInInventory744.00K780.00K-535.00K-2.50M
ChangeInReceivables-274.00K-394.00K868.00K-1.09M
ChangesInAccountReceivables-274.00K-394.00K868.00K-1.09M
OtherNonCashItems-3.00K5.00K
StockBasedCompensation96.00K66.00K146.00K245.00K
UnrealizedGainLossOnInvestmentSecurities0.00242.00K0.00
ProvisionandWriteOffofAssets165.00K773.00K538.00K-218.00K
AssetImpairmentCharge0.00550.00K0.00
DepreciationAmortizationDepletion323.00K341.00K349.00K112.00K
DepreciationAndAmortization323.00K341.00K349.00K112.00K
AmortizationCashFlow58.00K58.00K96.00K96.00K
AmortizationOfIntangibles58.00K58.00K96.00K96.00K
Depreciation265.00K283.00K253.00K16.00K
OperatingGainsLosses-38.00K-699.00K-1.15M
GainLossOnInvestmentSecurities-38.00K6.00K-459.00K
NetIncomeFromContinuingOperations-948.00K-1.37M-1.80M-1.34M
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

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