MARCHEX INC (MCHX)

↓ Download CSV

CIK 0001224133 · Nasdaq · Services-Prepackaged Software

  • Sector Services
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, MARCHEX INC reported revenue of $45.42M, down 5.6% from the prior year. The company ran a net loss, with a net margin of -11.5%. It held $39.68M in total assets against $9.60M in total liabilities.

Key ratios (FY2025)

-12.6%
Operating margin
-11.5%
Net margin
-17.4%
Return on equity
-5.6%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$45.42M$48.12M$49.91M$52.17M$53.48M$51.22M$54.49M$85.25M$90.29M
Cost of Revenue$16.63M$17.17M$20.58M$20.46M$21.69M$20.89M$18.00M$47.80M$49.34M
Operating Income-$5.72M-$4.45M-$9.64M-$8.15M-$11.80M-$44.06M-$13.96M-$3.89M-$6.36M-$83.90M
Net Income-$5.24M-$4.95M-$9.91M-$8.24M-$4.39M-$38.45M-$4.04M-$2.68M-$6.09M-$84.07M
EPS (Diluted)$-0.12$-0.11$-0.23$-0.19$-0.10
Total Assets$39.68M$43.20M$47.48M$56.79M$65.83M$76.93M$124.50M$113.06M$123.82M$128.27M
Total Liabilities$9.60M$10.57M$11.61M$12.68M$14.32M$24.24M$24.66M$18.04M$33.82M$15.00M
Shareholders' Equity$30.09M$32.63M$35.87M$44.11M$51.50M$52.69M$99.84M$95.03M$90.00M$113.27M
Cash & Equivalents$9.94M$12.77M$14.61M$20.47M$27.09M$33.85M$41.73M$45.23M$104.19M$103.95M
Operating Cash Flow-$1.41M-$1.10M-$4.39M-$2.29M-$6.34M-$3.37M$5.09M$5.05M$1.69M-$3.67M
Capital Expenditures$36.0K$382.0K$1.38M$2.87M$1.35M$1.35M$1.62M$1.65M$1.56M$986.0K
Dividends Per Share$0.50