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Key Metrics
Market Cap
Total Shares Outstanding
Book Value
PE Ratio
PS Ratio
PB Ratio
Forward PE Ratio
ROIC
Return on Aseets
Return on Equity
Dividend
Dividend Yield
Balancesheet Metrics
Total Assets 21.05M
Total Liability 14.84M
Assets-to-Libability Ratio 1.42
Total Current Assets 54.67K
Total Current Liability 3.30M
Current Ratio 0.02
Quick Ratio -
Debt to Equity Ratio -
Income Statement Metrics
Net Income
EPS
EBITA
Gross Profit
Gross Profit Margin
Operating Margin
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
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Share Stats
Shares Float
Shares Short
% Short
% Insider
% Institutions
News

Profile

Tastemaker Acquisition Corp (TMKR)

Priveterra Acquisition Corp. II does not have significant operations. The company focuses on effecting a merger, capital stock exchange, asset acquisition, stock purchase, reorganization, or business combination with one or more businesses. It intends to focus on companies in the restaurant, hospitality, and related technology and services sectors. The company was formerly known as Tastemaker Acquisition Corp. and changed its name to Priveterra Acquisition Corp. II in July 2023. Priveterra Acquisition Corp. II was incorporated in 2020 and is based in Irvine, California.

Exchange: NASDAQ

IPO Date: 3/1/2021

Sector: Financial Services

Industry: Shell Companies

Employees: 0

Address: 501 Madison Avenue, New York, NY, United States, 10019

https://tastemakeracq.com

&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;09/30/202306/30/202303/31/202312/31/202209/30/202206/30/202203/31/202212/31/202109/30/202106/30/2021Totals
Assets
21.05K31.40K31.04K30.36K280.83K279.36K279.03K279.26K279.47K279.69K2.07M
Current Assets
54.67467.3645.78749.134305.82408.087263.574440.616653.513884.2984.37K
Cash And Short Term Investments
21.03K0.2210.70240.801219.81217.77622.816181.22327.604488.50723.10K
Net Receivables
-----226.928----226.928
Inventory
-----------
Other Current Assets
-67.1435.0858.33386.008163.383240.758259.396325.909395.7912.02K
Non Current Assets
20.99K31.34K31.03K30.31K280.52K278.95K278.76K278.82K278.81K278.81K2.07M
Property Plant Equipment
-----------
Long Term Investments
-----------
Non Currrent Assets Other
20.99K31.34K31.03K30.31K280.52K278.95K278.76K278.82K278.81K278.81K2.07M
Liabilities
14.84K13.93K18.51K17.09K14.57K12.66K15.64K21.93K25.21K27.20K205.52K
Current Liabilities
3.30K3.12K4.79K3.36K1.97K509.53337.001328.873235.282115.00818.69K
Accounts Payable
498.261434461.447238.79716.594132.25430.95613.47425-2.06K
Short Long Term Debt
-1.43K776.93916441.218.729.5---2.74K
Other Current Liabilities
2.80K2.69K3.55K2.96K1.91K358.576276.545178.3593115.00838.66K
Non Current Liabilities
11.54K10.81K13.72K13.72K12.60K12.15K15.30K21.60K24.98K27.09K186.83K
Long Term Debt
-----------
Other Liabilities
----292.50K290.91K294.06K300.36K303.74K274.58K2.03M
Stockholder Equity
6.21K17.47K12.53K13.27K266.26K266.70K263.39K257.33K-24.50K252.49K1.59M
Preferred Stock Equity
-----------
Liabilities And Stockholders Equity
21.05K31.40K31.04K30.36K280.83K279.36K279.03K279.26K706.727279.69K1.79M
Common Equity
-0.690.69-0.690.690.690.690.69247.49K247.50K
Retained Earnings
--13.76K-18.03K--13.64K-12.18K-15.48K-21.43K-24.50K1.05K-113.10K
Totals144.34K161.75K160.48K172.26K1.70M1.69M1.69M1.70M1.14M1.95M1.73M1.35K1.11K72012.24M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202212/31/202112/31/2020Totals
Assets
30.36K279.26K191.686309.81K
Current Assets
49.134440.61618.716508.466
Cash And Short Term Investments
40.801181.2218.716240.73700000000002
Other Current Assets
8.333259.396-267.72900000000004
Non Current Assets
30.31K278.82K172.97309.31K
Non Currrent Assets Other
30.31K278.82K172.97309.31K
Liabilities
17.09K21.93K273.35639.29K
Current Liabilities
3.36K328.873273.3563.96K
Accounts Payable
238.79713.474195447.27099999999996
Short Long Term Debt
164-195359
Other Current Liabilities
2.96K315.39978.3563.35K
Non Current Liabilities
13.72K21.60K19535.52K
Other Liabilities
-300.36K-300.36K
Stockholder Equity
13.27K257.33K-81.67270.53K
Liabilities And Stockholders Equity
30.36K279.26K191.686309.81K
Common Equity
-0.690.691.38
Retained Earnings
--21.43K-106.67-21.54K
Totals172.26K1.70M1.79K1.87M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;06/30/202203/31/202212/31/202109/30/202106/30/202103/31/202112/31/2020Totals
Revenue
--------
Cost Of Revenue
--------
Gross Profit
--------
Operating Expenses
244.696368.409-430.135351.067252.411865.827-1.65K
Selling General Administrative
-----49.18106.67155.85
Research Development
--------
Other Operating Expenses
244.696368.409-430.135351.067252.411865.827-1.65K
Operating Income
-244.696-368.409430.135-351.067-252.411-865.827-106.67-1.76K
Net Interest Income
-0.00127.9797.190.0130.004-35.187
Interest Income
-0.00127.9797.190.0138.59K-8.62K
Interest Expense
--------
Other Income Expense Net
3.57K6.31K2.65K2.11K-3.68K8.59K-19.55K
Income Before Tax
3.33K5.94K3.08K1.77K-3.93K7.72K-106.6717.80K
Tax Provision
21.048------21.048
NetIncome
6.61K5.94K3.08K3.54K-3.93K7.72K-106.6722.85K
NetIncome Applicable To Common Shares
6.61K11.89K9.94K3.54K-3.93K7.72K-106.6735.66K
Ebit
3.32K5.94K3.81K1.77K-252.4117.72K-22.31K
Basic EPS
-0.170.090.050.05-0.110.230.48
Totals23.71K36.40K22.18K13.09K-15.48K48.99K-319.78128.55K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202112/31/2020Totals
Revenue
---
Cost Of Revenue
---
Gross Profit
---
Operating Expenses
1.04K-1.04K
Selling General Administrative
-106.67106.67
Research Development
---
Other Operating Expenses
1.04K188.0541.23K
Operating Income
-1.04K-106.67-1.15K
Net Interest Income
60.347-60.347
Interest Income
60.347-60.347
Interest Expense
---
Other Income Expense Net
9.67K-9.67K
Income Before Tax
8.63K-106.678.53K
Tax Provision
---
NetIncome
8.63K-106.678.53K
NetIncome Applicable To Common Shares
17.27K-256.00817.01K
Ebit
9.37K-256.0089.12K
Basic EPS
0.080.230.31
Totals54.74K-537.071999999999954.21K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;09/30/202306/30/202303/31/202312/31/202209/30/202206/30/202203/31/202212/31/202109/30/202106/30/2021Totals
Cash From Operating Activities
-615.302-715.613-199.699-906.752-233.974-5.04-371.142-146.384-765.772-135.863-4.73K
Net Income
-615.3024.94K-749.517-1.38K-769.1283.31K5.94K3.08K9.49K-3.93K26.93K
Depreciation
-----------
Extraordinary Items
-----------
Change Receivables
------226.928-----226.928
Change To Inventory
-----------
Change To Liabilities
--2.29K910.385-1.39K133.46666.362166.8247-405.0440000000001
Change To Net Income
-----1.38K-3.14K-6.31K-3.35K-2.09K3.68K-21.18K
ChangeToOperatingActivities
----1.57K138.358-20.216171.63165.156116.5351.67K
Cash flows From Investing Activities
-37.593-439.039-66.0166.0162.73862.73862.73862.738-278.78K
Capital Expenditures
-----------
Other Cashflows From Investing Activities
-37.593-439.039-66.0166.0162.73862.73862.73862.738-278.78K
Cash From Financing Activities
-677.539598.639-251.51K370370150150279.97K0.001310.85K
Net Borrowings
-677.539598.639-370370150150-1951502.08K
Sale Purchase Of Stock
---------0.0010.001278.86K
Dividends Paid
-----------
Other Cashflows From Financing Activities
-37.593--251.51K370-150-5.52K279.97K0.00124.32K
Cash And Cash Equivalents Changes
--0.481-40.099-202.036-5.04-158.404-146.384-160.903-135.862160.51600000000008
Totals-1.23K3.41K240.26999999999992-505.32K2.02K1.07K-270.93199999999956-5.33K566.52K-132.10899999999998903.3319999999223-235.92-72.1399999999999961.58K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202212/31/202112/31/2020Totals
Cash From Operating Activities
-1.52K-1.05K-67.954-2.63K
Net Income
7.10K8.63K-256.00815.48K
Depreciation
----
Extraordinary Items
----
Change Receivables
----
Change To Inventory
----
Change To Liabilities
-191.824-191.824
Change To Net Income
--10.35K-9.67K-20.02K
ChangeToOperatingActivities
--22.353188.054165.701
Cash flows From Investing Activities
--278.76K-278.76K-557.52K
Capital Expenditures
----
Other Cashflows From Investing Activities
--278.76K-278.76K-557.52K
Cash From Financing Activities
-250.99K279.97K112.87229.09K
Net Borrowings
--195468273
Sale Purchase Of Stock
-251.60K278.81K2527.24K
Dividends Paid
----
Other Cashflows From Financing Activities
606.19.69K-415.1289.88K
Cash And Cash Equivalents Changes
-162.504-162.504
Totals-496.41K8.32K-567.14K-1.06M