MTAL

MTAL
Income Statement
| Period | Revenue | Operating Expense | Net Income | Net Profit Margin | Earnings Per Share | EBITDA |
|---|---|---|---|---|---|---|
| Q2-2025 | $81.614M | $15.86M | $-38.343M | -46.981% | $-0.46 | $35.057M |
| Q1-2025 | $81.614M ▲ | $15.86M ▲ | $-38.343M ▼ | -46.981% ▼ | $-0.46 ▼ | $35.057M ▲ |
| Q4-2024 | $79.288M | $11.16M | $10.241M | 12.916% | $0.13 | $31.701M |
| Q3-2024 | $79.288M ▼ | $11.16M ▲ | $10.241M ▲ | 12.916% ▲ | $0.13 ▲ | $31.701M ▼ |
| Q2-2024 | $91.08M | $8.992M | $-51.084M | -56.087% | $-0.78 | $43.234M |
Balance Statement
| Period | Cash & Short-term | Total Assets | Total Liabilities | Total Equity |
|---|---|---|---|---|
| Q2-2025 | $107.647M | $1.35B | $870.025M | $479.803M |
| Q1-2025 | $107.647M ▼ | $1.35B ▼ | $870.025M ▲ | $479.803M ▼ |
| Q4-2024 | $171.897M | $1.408B | $840.627M | $566.959M |
| Q3-2024 | $171.897M ▲ | $1.408B ▲ | $840.627M ▼ | $566.959M ▲ |
| Q2-2024 | $88.738M | $1.329B | $891.85M | $436.757M |
Cash Flow Statement
| Period | Net Income | Cash From Operations | Cash From Investing | Cash From Financing | Net Change | Free Cash Flow |
|---|---|---|---|---|---|---|
| Q2-2025 | $-38.343M | $32.727M | $-18.857M | $-48.971M | $0 | $14.575M |
| Q1-2025 | $-38.343M ▼ | $32.727M ▲ | $-18.857M ▼ | $-48.971M ▼ | $0 | $14.575M ▲ |
| Q4-2024 | $15.974M | $27.753M | $-14.959M | $32.02M | $0 ▲ | $11.257M |
| Q3-2024 | $15.974M ▲ | $27.753M ▼ | $-14.959M ▲ | $32.02M ▼ | $-88.738M ▼ | $11.257M ▼ |
| Q2-2024 | $-51.084M | $30.617M | $-64.647M | $65.431M | $88.738M | $16.907M |
About MAC Copper Ltd
https://www.maccopperlimited.comMAC Copper Ltd does not have significant operations. It intends to effect a merger, share exchange, asset acquisition, share purchase, reorganization, or similar business combination with one or more businesses. The company intends to focus its search on metals and mining businesses. Metals Acquisition Corp was incorporated in 2021 and is based in Fort Worth, Texas.
Income Statement
| Period | Revenue | Operating Expense | Net Income | Net Profit Margin | Earnings Per Share | EBITDA |
|---|---|---|---|---|---|---|
| Q2-2025 | $81.614M | $15.86M | $-38.343M | -46.981% | $-0.46 | $35.057M |
| Q1-2025 | $81.614M ▲ | $15.86M ▲ | $-38.343M ▼ | -46.981% ▼ | $-0.46 ▼ | $35.057M ▲ |
| Q4-2024 | $79.288M | $11.16M | $10.241M | 12.916% | $0.13 | $31.701M |
| Q3-2024 | $79.288M ▼ | $11.16M ▲ | $10.241M ▲ | 12.916% ▲ | $0.13 ▲ | $31.701M ▼ |
| Q2-2024 | $91.08M | $8.992M | $-51.084M | -56.087% | $-0.78 | $43.234M |
Balance Statement
| Period | Cash & Short-term | Total Assets | Total Liabilities | Total Equity |
|---|---|---|---|---|
| Q2-2025 | $107.647M | $1.35B | $870.025M | $479.803M |
| Q1-2025 | $107.647M ▼ | $1.35B ▼ | $870.025M ▲ | $479.803M ▼ |
| Q4-2024 | $171.897M | $1.408B | $840.627M | $566.959M |
| Q3-2024 | $171.897M ▲ | $1.408B ▲ | $840.627M ▼ | $566.959M ▲ |
| Q2-2024 | $88.738M | $1.329B | $891.85M | $436.757M |
Cash Flow Statement
| Period | Net Income | Cash From Operations | Cash From Investing | Cash From Financing | Net Change | Free Cash Flow |
|---|---|---|---|---|---|---|
| Q2-2025 | $-38.343M | $32.727M | $-18.857M | $-48.971M | $0 | $14.575M |
| Q1-2025 | $-38.343M ▼ | $32.727M ▲ | $-18.857M ▼ | $-48.971M ▼ | $0 | $14.575M ▲ |
| Q4-2024 | $15.974M | $27.753M | $-14.959M | $32.02M | $0 ▲ | $11.257M |
| Q3-2024 | $15.974M ▲ | $27.753M ▼ | $-14.959M ▲ | $32.02M ▼ | $-88.738M ▼ | $11.257M ▼ |
| Q2-2024 | $-51.084M | $30.617M | $-64.647M | $65.431M | $88.738M | $16.907M |

CEO
Michael James W. McMullen
Compensation Summary
(Year 2024)

CEO
Michael James W. McMullen
Compensation Summary
(Year 2024)
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