Transglobal Management TMGI
OTC TMGI
$0.00 +0.00 (+0.00%)
At close: Aug 19, 2026 · 4:00 PM EDT

Transglobal Management Group, Inc. (TMGI) Cash from Restructuring (2018 - 2021)

Transglobal Management's (TMGI) quarterly Cash from Restructuring came in at $25696.0 in Q3 2021, down 22.22% YoY from $33038.0 in Q3 2020, and down 22.22% on a QoQ basis from $33038.0 in Q3 2020.

Transglobal Management Group, Inc. (TMGI) Cash from Restructuring (2018 - 2021) Analysis & Trends

Transglobal Management (TMGI) has 3 years of Cash from Restructuring data on file, last reported at $25696.0 in Q3 2021.

  • Quarterly Cash from Restructuring fell 22.22% year-over-year to $25696.0 in Q3 2021, while the trailing twelve-month figure through Aug 2021 was $58734.0 (up 58.62% YoY) and the FY2020 annual result came in at $19300.0, changed N/A from the prior year.
  • Cash from Restructuring eased to $25696.0 in Q3 2021, from $33038.0 in the prior quarter.
  • In the past five years, Cash from Restructuring ranged from a high of $33038.0 in Q3 2020 to a low of $10.0 in Q3 2018.
  • A 3-year average of $15683.5 and a median of $14843.0 in 2018 frame the typical range for Cash from Restructuring.
  • The widest YoY moves for Cash from Restructuring: up 22.22% in 2021, down 22.22% in 2021.
  • Tracing TMGI's Cash from Restructuring over 3 years: stood at $3990.0 in 2018, then surged by 728.02% to $33038.0 in 2020, then slipped by 22.22% to $25696.0 in 2021.
  • The last three Cash from Restructuring figures came in at $25696.0 (Q3 2021), $33038.0 (Q3 2020), and $3990.0 (Q4 2018), per Business Quant data.

Peer Comparison

Historic Data

Download Data
DateValue
Aug 31, 2021 25,696.00
Aug 31, 2020 33,038.00
Nov 30, 2018 3,990.00
Aug 31, 2018 10.00