LogicMark Inc (Pre-Merger) FCF per Share
The Free Cash Flow per Share of LogicMark Inc (Pre-Merger) (LGMK) as of Aug 26, 2026 is -5,350.50 USD. In the previous year, Free Cash Flow per Share was -43,689.00 USD — a change of -87.75% (higher).
Get this data via API
Financial Data API
FCF per Share
-5,350.50USD
YoY
-87.75%
Last updated:
The LogicMark Inc (Pre-Merger) FCF per Share history
3 Years
10 Years
25 Years
Max
| YEAR | FCF per Share | YoY |
|---|---|---|
| -5,350.50USD | -87.75% | |
| -43,689.00USD | +49,343.79% | |
| -88.36USD | +176.94% | |
| -31.91USD | -95.04% | |
| -643.04USD | +33.49% | |
| -481.72USD | — |
LogicMark Inc (Pre-Merger) Stock analysis
Frequently Asked Questions about LogicMark Inc (Pre-Merger) stock
Free Cash Flow per Share of LogicMark Inc (Pre-Merger) is -5,350.50 USD in 2026.
Free Cash Flow per Share of LogicMark Inc (Pre-Merger) changed from -43,689.00 USD to -5,350.50 USD, representing a -87.75% change. The value is higher than the previous year.
On Eulerpool you can find the complete historical development of Free Cash Flow per Share LogicMark Inc (Pre-Merger) since 2006 – with annual values, charts, and detailed analysis.
FCF per share measures the free cash flow allocated to each outstanding share. It is a key metric for assessing shareholder value creation.
Cash Flow — LogicMark Inc (Pre-Merger)
All Key Metrics — LogicMark Inc (Pre-Merger)
Valuation
Income Statement
Margins
Balance Sheet
- Total Assets
- Current Assets
- Cash & Equivalents
- Receivables
- Inventory
- Property, Plant & Equipment
- Goodwill
- Intangible Assets
- Equity
- Liabilities
- Debt
- Current Liabilities
- Long-term Debt
- Short-term Debt
- Retained Earnings
- Book Value per Share
- Tangible Book Value per Share
- Working Capital
- Investments
- Accounts Payable
- Non-Current Assets
- Short-Term Investments
- Long-Term Investments
- Net Debt
- Treasury Stock
- Minority Interest
- Deferred Tax Liabilities
- Net Tangible Assets
- Goodwill/Assets
- Intangibles/Assets
Cash Flow
- Operating Cash Flow
- Capital Expenditures
- Free Cash Flow
- FCF per Share
- Dividends Paid
- Share Buybacks
- Investing Cash Flow
- Financing Cash Flow
- CapEx / Revenue
- Cash Flow per Share
- Stock-Based Compensation
- Change in Working Capital
- Acquisitions (Net)
- Net Change in Cash
- CapEx/OCF
- FCF/Net Income
- FCF Conversion
- Cash Conversion
- Total Shareholder Payout
- CapEx/D&A
Profitability
- ROE
- ROA
- ROCE
- ROIC
- Asset Turnover
- Inventory Turnover
- Receivables Turnover
- Days Sales Outstanding
- Days Inventory Outstanding
- Days Payable Outstanding
- Cash Conversion Cycle
- CROIC
- Gross Profit/Assets
- Fixed Asset Turnover
- Equity Turnover
- Working Capital Turnover
- Payables Turnover
- Capital Intensity
- Receivables/Revenue
- Inventory/Revenue
- EBIT/Assets
Leverage
Growth
- Revenue Growth
- Revenue CAGR 3Y
- Revenue CAGR 5Y
- Revenue CAGR 10Y
- Earnings Growth
- EPS Growth
- EBIT Growth
- EBIT CAGR 3Y
- EBIT CAGR 5Y
- EBIT CAGR 10Y
- Dividend Growth
- FCF Growth
- Book Value Growth
- Earnings CAGR 3Y
- Earnings CAGR 5Y
- Earnings CAGR 10Y
- EPS CAGR 3Y
- EPS CAGR 5Y
- EBITDA Growth YoY
- EBITDA CAGR 3Y
- EBITDA CAGR 5Y
- Gross Profit Growth
- OCF Growth YoY
- Employee Growth
- Dividend CAGR 3Y
- Dividend CAGR 5Y
- Dividend CAGR 10Y
- Asset Growth
- Equity Growth
- Debt Growth
- CapEx Growth
- FCF CAGR 3Y
- FCF CAGR 5Y
- Market Cap Growth
- Share Count Growth