Get 25% discount on our yearly plans! Subscribe now

Key Metrics
Market Cap 236.42M
Total Shares Outstanding 37.59M
Book Value 0.61
PE Ratio 78.63
PS Ratio 2.03
PB Ratio 10.28
Forward PE Ratio 42.02
ROIC -
Return on Aseets 6.79
Return on Equity 17.19
Dividend -
Dividend Yield -
Balancesheet Metrics
Total Assets
Total Liability
Assets-to-Libability Ratio
Total Current Assets
Total Current Liability
Current Ratio
Quick Ratio
Debt to Equity Ratio
Income Statement Metrics
Net Income -
EPS 0.08
EBITA -
Gross Profit -
Gross Profit Margin 3.02%
Operating Margin 1.79%
Net Profit Margin -
Price Metrics
5 Days MA
10 Days MA
20 Days MA
50 Days MA
200 Days MA
52 Weeks High
52 Weeks low
All Time High
RSI
MACD
Share Stats
Shares Float 33.75M
Shares Short 2.12M
% Short 0.0694%
% Insider 10.239%
% Institutions 69.226%
News

Profile

Mama's Creations Inc. (MAMA)

Mama's Creations, Inc., together with its subsidiaries, manufactures and markets fresh deli-prepared foods primarily in the United States. The company offers beef and turkey meatballs, meat loaf, chicken, sausage-related products, and pasta entrees; and hot bars, salad bars, prepared foods, sandwich, and cold deli and foods-to-go sections. It sells its products directly to supermarkets, club chains, and mass-market retailers; and food retailers and distributors, as well as through website. The company was formerly known as MamaMancini's Holdings, Inc. and changed its name to Mama's Creations, Inc. in August 2023. Mama's Creations, Inc. was incorporated in 2009 and is based in East Rutherford, New Jersey.

Exchange: NASDAQ

IPO Date: 5/22/2013

Sector: Consumer Defensive

Industry: Packaged Foods

Employees: 197

Address: 25 Branca Road, East Rutherford, NJ, United States, 07073

https://www.mamascreations.com

&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;10/31/202407/31/202404/30/202401/31/202410/31/202307/31/202304/30/202301/31/202310/31/202207/31/2022Totals
Assets
47.90K42.95K47.24K45.10K42.49K39.90K35.82K34.59K33.16K32.81K401.95K
Current Assets
22.00K19.71K25.37K23.57K20.34K18.19K17.31K15.67K14.32K13.48K189.96K
Cash And Short Term Investments
9.32K7.37K13.04K11.02K5.63K5.56K5.26K4.38K3.48K1.90K66.95K
Net Receivables
8.57K8.13K8.08K7.86K11.14K8.84K8.39K6.83K6.89K6.88K81.61K
Inventory
3.19K2.85K3.02K3.31K2.57K3.31K2.54K3.64K3.56K4.19K32.17K
Other Current Assets
9291.36K1.23K1.38K1.00K474.3011.13K828.391380.135516.6979.23K
Non Current Assets
25.89K23.24K21.87K21.54K22.15K21.71K18.50K18.91K18.85K19.33K212.00K
Property Plant Equipment
-----7.19K-6.66K--13.85K
Long Term Investments
------1.49K1.34K1.29K1.22K5.34K
Non Currrent Assets Other
9595-4.50K-4.88K9565.4157.0653.81952.24952.249-8.82K
Liabilities
24.90K20.65K26.89K25.52K24.54K24.10K21.85K22.07K22.72K24.60K237.85K
Current Liabilities
18.84K14.35K18.52K16.69K14.34K13.08K12.29K11.88K11.15K11.02K142.16K
Accounts Payable
--14.26K12.43K-8.87K9.45K9.06K--54.07K
Short Long Term Debt
-3.77K3.47K3.46K3.46K3.45K2.25K2.24K2.34K2.31K26.76K
Other Current Liabilities
17.99K9.79K--10.08K8.87K9.45K9.06K8.25K8.16K81.67K
Non Current Liabilities
3.06K6.30K8.37K8.83K10.20K11.03K9.56K10.19K11.57K13.58K92.69K
Stockholder Equity
23.00K22.30K20.35K19.58K17.95K15.80K13.96K12.52K10.44K8.21K164.10K
Liabilities And Stockholders Equity
47.90K42.95K47.24K45.10K42.49K39.90K35.82K34.59K33.16K32.81K401.95K
Totals253.57K225.82K254.44K240.49K228.48K230.34K205.12K204.51K181.63K181.08K2.21M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;01/31/202401/31/202301/31/202201/31/202101/31/2020Totals
Assets
45.10K34.59K30.03K14.05K9.94K133.70K
Current Assets
23.57K15.67K11.64K8.88K5.62K65.38K
Cash And Short Term Investments
11.02K4.38K850.5983.19K393.68319.84K
Net Receivables
7.86K6.83K7.63K3.97K3.73K30.02K
Inventory
3.31K3.64K2.89K1.20K1.25K12.28K
Other Current Assets
1.38K828.391269.209519.887252.2683.24K
Non Current Assets
21.54K18.91K18.39K5.17K4.32K68.33K
Property Plant Equipment
-6.66K7.27K4.32K4.30K22.55K
Long Term Investments
-1.34K---1.34K
Non Currrent Assets Other
9553.81952.24920.177-1.571219.674
Liabilities
25.52K22.07K21.92K5.74K9.54K84.79K
Current Liabilities
16.69K11.88K8.99K4.05K4.21K45.81K
Accounts Payable
12.43K9.06K6.48K3.71K3.55K35.23K
Short Long Term Debt
3.46K2.24K2.00K-423.7998.12K
Other Current Liabilities
-11.62K0.0916.48K3.71K231.642-1.21K
Non Current Liabilities
8.83K10.19K12.94K1.69K5.33K38.98K
Stockholder Equity
19.58K12.52K8.11K8.31K402.06348.92K
Liabilities And Stockholders Equity
45.10K34.59K30.03K14.05K9.94K133.70K
Totals233.85K195.45K175.97K82.56K63.41K751.24K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;Totals
Totals-
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;Totals
Totals-
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;10/31/202407/31/202404/30/202401/31/202410/31/202307/31/202304/30/202301/31/202310/31/202207/31/2022Totals
Cash From Operating Activities
4.80K-2.41K3.64K6.74K1.52K1.75K1.61K2.33K2.95K1.58K24.51K
Net Income
4101.15K5531.41K2.01K1.74K1.40K1.84K1.10K-743.24610.87K
Depreciation
-754838806791752.221571.676356.103443.891504.779422.8014.73K
Extraordinary Items
-----------
Change To Inventory
-342169293-723751.87-865.921.10K-71.922629.767-25.035915.8100000000001
Change To Liabilities
------3.75K-527.597---3.22K
Change To Net Income
-----515.338515.338-112.639--918.0369999999999
ChangeToOperatingActivities
-----838.881838.881-146.298--1.53K
Cash flows From Investing Activities
------753.479-753.479-85.667---1.59K
Capital Expenditures
-2.28K-1.60K-1.14K-115-418.147-107.838-145.015-85.667-202-131.54-6.23K
Cash From Financing Activities
-587-1.65K-476-1.23K-1.03K-693.73-585.61-1.34K-1.17K30.701-8.74K
Net Borrowings
------680.777-680.777-1.28K---2.64K
Sale Purchase Of Stock
------8.28-7.4---0.879999999999999
Dividends Paid
----0.46721.23327.3-22.757--26.243
Other Cashflows From Financing Activities
11-73--241.7219.5-134.714-718.513491.25-563.1970000000001
Totals1.26K-3.50K3.68K6.88K3.58K-1.66K3.70K1.87K3.10K1.62K20.52K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;01/31/202401/31/202301/31/202201/31/202101/31/2020Totals
Cash From Operating Activities
11.62K5.51K909.8413.70K1.81K23.55K
Net Income
6.56K2.30K-251.9264.07K1.53K14.21K
Depreciation
2.47K1.76K1.01K801.312749.2826.80K
Extraordinary Items
------
Change To Inventory
263-745.088-474.52751.206101.172-804.237
Change To Liabilities
-2.19K1.18K99.249490.8583.96K
Change To Net Income
--69.538329.39-692.07893.862-338.36400000000003
ChangeToOperatingActivities
--518.97753.299-400.313-143.851-1.01K
Cash flows From Investing Activities
--1.09K-11.27K-451.94-268.106-13.08K
Capital Expenditures
-786-593.214-862.415-451.94-268.106-2.96K
Cash From Financing Activities
-3.54K-888.0378.02K-449.723-1.76K1.38K
Net Borrowings
--2.15K8.07K-4.24K-1.76K-87.18300000000045
Dividends Paid
4934.0734.0734.0734.07185.27999999999997
Other Cashflows From Financing Activities
681.42K8.25K-451.94385.3149.68K
Totals16.70K7.16K15.00K1.62K997.080000000000841.48K