Rocky Mountain Chocolate Factory, Inc. (RMCF)

Stammdaten

Rocky Mountain Chocolate Factory, Inc., together with its subsidiaries, operates as a confectionery franchisor, manufacturer, and retail operator. It operates through five segments: Franchising, Manufacturing, Retail Stores, U-Swirl Operations, and Other. The company produces approximately 400 chocolate candies and other confectionery products, including clusters, caramels, creams, toffees, mints, and truffles; and offers 15 varieties of caramel apples and other products that are prepared in individual stores, as well as provides ice cream, coffee, and other sundries. As of March 31, 2022, it operated two company-owned, 99 licensee-owned, and 159 franchised Rocky Mountain Chocolate Factory stores operating in 37 states in South Korea, Panama, and the Philippines; three company-owned, and 63 franchised and licensed cafés located in 22 states and Qatar; and self-serve frozen yogurt cafés under the U-Swirl, Yogurtini, CherryBerry, Yogli Mogli Frozen Yogurt, Fuzzy Peach Frozen Yogurt, Let's Yo!, and Aspen Leaf Yogurt brand names. The company has strategic alliance with Edible Arrangements, LLC and its affiliates to provide branded chocolate products. Rocky Mountain Chocolate Factory, Inc. was founded in 1981 and is headquartered in Durango, Colorado.

Unternehmen & Branche

NameRocky Mountain Chocolate Factory, Inc.
TickerRMCF
CIK0001616262
BoerseUS
SektorConsumer Defensive
IndustrieFood Confectioners

Wertpapier & Kennzahlen

CUSIP774678403
ISINUS7746784039
TypCommon Stock
Marktkapitalisierung19,2 Mio. USD
Beta0,73
Dividendenrendite0,00 %

Externe Quellen: SEC EDGAR » · FMP-Profil » · Yahoo Finance »

Finanzkennzahlen (SEC XBRL)

PeriodeFilingUmsatzNettoergebnisEPSAktivaEigenkapital
2025-11-3010-Q7,543,000-155,000-0.0220,728,0006,006,000
2025-08-3110-Q6,823,000-662,000-0.0922,254,0006,126,000
2025-05-3110-Q6,373,000-324,000-0.0420,096,0006,732,000
2025-02-2810-K29,579,000-6,122,000-0.8621,175,0006,975,000
2024-11-3010-Q7,893,000-847,000-0.1121,634,0009,834,000
2024-08-3110-Q6,380,000-722,000-0.1121,130,00010,525,000
2024-05-3110-Q6,407,000-1,658,000-0.2619,020,0009,018,000
2024-02-2910-K27,951,000-4,172,000-0.6620,577,00010,636,000
2023-11-3010-Q7,697,000-757,000-0.1221,280,00012,281,000
2023-08-3110-Q6,558,000-999,000-0.1620,535,00012,872,000
2023-05-3110-Q6,436,000-823,000-0.1320,799,00013,748,000
2023-02-2810-K30,432,352-1,712,672-0.2721,986,82714,370,000
2022-11-3010-Q8,825,093-211,979-0.0320,704,19215,903,350
2022-11-3010-K8,825,093-211,979-0.03
2022-09-0110-Q-3,756,12715,924,436
2022-08-3110-Q6,557,356-3,641,186-0.5926,250,22615,924,436
2022-08-3110-K6,557,356-3,641,186-0.59
2022-05-3110-K6,902,198-114,941-0.02
2022-05-3110-Q6,902,198-114,941-0.0227,491,59119,416,582
2022-02-2810-K7,795,613359,2110.0626,880,76119,399,926

Fondsaktivität (Vorquartalsvergleich)

Keine Fondsdaten für dieses Unternehmen vorhanden.

Insider-Transaktionen (12 Monate)

DatumInsiderRolleTypStückzahlKursWert (USD)ΔTrend
2026-03-05Harper Allen C10% OwnerOpen Market Sale-8,9182.60-23,186.80-99,7%
2026-03-05American Heritage Railways, Inc.10% OwnerOpen Market Sale-8,9182.60-23,186.80-99,7%
2026-03-04Harper Allen C10% OwnerOpen Market Sale-11,2972.60-29,372.20-126,2%
2026-03-04American Heritage Railways, Inc.10% OwnerOpen Market Sale-11,2972.60-29,372.20-126,2%
2026-02-27American Heritage Railways, Inc.10% OwnerOpen Market Sale-5,2412.60-13,626.60-58,6%
2026-02-27Harper Allen C10% OwnerOpen Market Sale-5,2412.60-13,626.60-58,6%
2026-02-26American Heritage Railways, Inc.10% OwnerOpen Market Sale-18,7152.61-48,782.52-209,7%
2026-02-26Harper Allen C10% OwnerOpen Market Sale-18,7152.61-48,782.52-209,7%
2026-02-25American Heritage Railways, Inc.10% OwnerOpen Market Sale-4302.60-1,118.43-4,8%
2026-02-25Harper Allen C10% OwnerOpen Market Sale-4302.60-1,118.43-4,8%
2026-02-20Harper Allen C10% OwnerOpen Market Sale-7,4992.60-19,508.65-83,8%
2026-02-20American Heritage Railways, Inc.10% OwnerOpen Market Sale-7,4992.60-19,508.65-83,8%
2026-02-19American Heritage Railways, Inc.10% OwnerOpen Market Sale-2,0002.62-5,238.00-22,5%
2026-02-19Harper Allen C10% OwnerOpen Market Sale-2,0002.62-5,238.00-22,5%
2026-01-16GLOBAL VALUE INVESTMENT CORP.10% OwnerOpen Market Purchase11,3001.9822,352.53+96,1%
2025-11-04GLOBAL VALUE INVESTMENT CORP.10% OwnerOpen Market Purchase8,9351.6414,643.57+62,9%
2025-10-24GLOBAL VALUE INVESTMENT CORP.10% OwnerOpen Market Purchase6,7201.8212,210.91+52,5%
2025-10-22GLOBAL VALUE INVESTMENT CORP.10% OwnerOpen Market Purchase8,7751.7815,620.38+67,1%
2025-10-21GLOBAL VALUE INVESTMENT CORP.10% OwnerOpen Market Purchase14,5621.6524,081.18+103,5%
2025-10-20GLOBAL VALUE INVESTMENT CORP.10% OwnerOpen Market Purchase13,7531.6122,101.07+95,0%
2025-10-17GLOBAL VALUE INVESTMENT CORP.10% OwnerOpen Market Purchase61,6701.5997,864.12+420,6%
2025-07-22GLOBAL VALUE INVESTMENT CORP.10% OwnerOpen Market Purchase11,0721.9321,356.78+91,8%

Top-Fondshalter

Hinweis: Keine aktuelleren Daten zu dieser Aktie verfuegbar. Stand der gezeigten 13F-Holdings: 30.06.2024. Letztes global veroeffentlichtes 13F-Quartal: 31.03.2026.

FondsAnteileWert (USD)Anteil (%)
Byrne Asset Management LLC7,70017,556100.00

Hinweis

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