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STRZ profile · all as-reported value updates

STARZ ENTERTAINMENT CORP /CN/ (STRZ) as-reported value updates

Descriptive filing record — not investment advice. This page compares two SEC XBRL-filed values for the same fiscal period. It does not state why the values differ and is not a rating, score, or recommendation. See Disclaimer.

Reported values for the same fiscal period can differ between filings for many routine reasons: re-presentation for discontinued operations, adoption of new accounting standards, reclassifications, changes in rounding precision, and amendments. This ledger records that the filed values differ; it does not and cannot determine why. Both filings are linked below so the reader can consult the source.

Rows publish only when the later filed value differs by at least 1.0% and at least $1,000,000, after dropping differences that match under the capped trailing-zero precision rule. The delta percent is delta divided by the larger absolute filed value. Values are annual standardized facts only; metrics whose differences fall below those thresholds or match the capped precision rule are not published as rows.

Ledger table figure

STRZ as-reported XBRL value updates. Compact figure; full filing links are in the page table.STRZ as-reported XBRL value updates. Compact figure; full filing links are in the page table.MetricFYThenNowDeltaDelta %Stockholders' equity2024-$312.7M$919.2M$1.2B+134.02%Operating cash flow2024$396.8M-$131.8M-$528.6M-133.22%Cash and cash equivalents2024$314.0M$23.0M-$291.0M-92.68%Liabilities2024$7.3B$1.2B-$6.1B-83.24%Operating cash flow2023-$114.3M-$438.3M-$324.0M-73.92%Assets2024$7.1B$2.1B-$5.0B-69.84%Revenue2024$4.0B$1.4B-$2.6B-65.34%Revenue2023$3.9B$1.4B-$2.4B-63.10%
MetricFYEarliest XBRL-filed valueCurrently on fileDifferenceDifference %LabelFiling linksNotes
Stockholders' equity
StockholdersEquity
2024-312,700,000
filed 2024-05-30 · 10-K
919,200,000
filed 2025-06-26 · 10-K
1,231,900,000+134.02%revised comparative figure0000929351-24-000012
0000929351-25-000038
2 filed observations examined for this concept and period.
Operating cash flow
NetCashProvidedByUsedInOperatingActivities
2024396,800,000
filed 2024-05-30 · 10-K
-131,800,000
filed 2025-06-26 · 10-K
-528,600,000-133.22%revised comparative figure0000929351-24-000012
0000929351-25-000038
2 filed observations examined for this concept and period.
Cash and cash equivalents
CashAndCashEquivalentsAtCarryingValue
2024314,000,000
filed 2024-05-30 · 10-K
23,000,000
filed 2025-06-26 · 10-K
-291,000,000-92.68%revised comparative figure0000929351-24-000012
0000929351-25-000038
2 filed observations examined for this concept and period.
Liabilities
Liabilities
20247,279,900,000
filed 2024-05-30 · 10-K
1,219,900,000
filed 2025-06-26 · 10-K
-6,060,000,000-83.24%revised comparative figure0000929351-24-000012
0000929351-25-000038
2 filed observations examined for this concept and period.
Operating cash flow
NetCashProvidedByUsedInOperatingActivities
2023-114,300,000
filed 2023-05-25 · 10-K
-438,300,000
filed 2025-06-26 · 10-K
-324,000,000-73.92%revised comparative figure0000929351-23-000019
0000929351-25-000038
3 filed observations examined for this concept and period.
Assets
Assets
20247,092,700,000
filed 2024-05-30 · 10-K
2,139,100,000
filed 2025-06-26 · 10-K
-4,953,600,000-69.84%revised comparative figure0000929351-24-000012
0000929351-25-000038
2 filed observations examined for this concept and period.
Revenue
RevenueFromContractWithCustomerExcludingAssessedTax
20244,016,900,000
filed 2024-05-30 · 10-K
1,392,400,000
filed 2025-06-26 · 10-K
-2,624,500,000-65.34%revised comparative figure0000929351-24-000012
0000929351-25-000038
2 filed observations examined for this concept and period.
Revenue
RevenueFromContractWithCustomerExcludingAssessedTax
20233,854,800,000
filed 2023-05-25 · 10-K
1,422,500,000
filed 2025-06-26 · 10-K
-2,432,300,000-63.10%revised comparative figure0000929351-23-000019
0000929351-25-000038
3 filed observations examined for this concept and period.
Stockholders' equity
StockholdersEquity
2023784,500,000
filed 2023-05-25 · 10-K
1,531,800,000
filed 2025-06-26 · 10-K
747,300,000+48.79%revised comparative figure0000929351-23-000019
0000929351-25-000038
3 filed observations examined for this concept and period.
Capital expenditures
PaymentsToAcquirePropertyPlantAndEquipment
202434,700,000
filed 2024-05-30 · 10-K
20,400,000
filed 2025-06-26 · 10-K
-14,300,000-41.21%revised comparative figure0000929351-24-000012
0000929351-25-000038
2 filed observations examined for this concept and period.
Capital expenditures
PaymentsToAcquirePropertyPlantAndEquipment
202349,000,000
filed 2023-05-25 · 10-K
34,300,000
filed 2025-06-26 · 10-K
-14,700,000-30.00%revised comparative figure0000929351-23-000019
0000929351-25-000038
3 filed observations examined for this concept and period.
Operating income
OperatingIncomeLoss
2023-1,857,700,000
filed 2023-05-25 · 10-K
-1,348,200,000
filed 2025-06-26 · 10-K
509,500,000+27.43%revised comparative figure0000929351-23-000019
0000929351-25-000038
3 filed observations examined for this concept and period.
Net income
NetIncomeLoss
2024-1,102,900,000
filed 2024-05-30 · 10-K
-915,200,000
filed 2025-06-26 · 10-K
187,700,000+17.02%revised comparative figure0000929351-24-000012
0000929351-25-000038
3 filed observations examined for this concept and period.
Net income
NetIncomeLoss
2023-2,010,200,000
filed 2023-05-25 · 10-K
-1,871,000,000
filed 2025-06-26 · 10-K
139,200,000+6.92%revised comparative figure0000929351-23-000019
0000929351-25-000038
4 filed observations examined for this concept and period.
Stockholders' equity
StockholdersEquity
20222,681,600,000
filed 2022-05-26 · 10-K
2,798,400,000
filed 2025-06-26 · 10-K
116,800,000+4.17%revised comparative figure0000929351-22-000017
0000929351-25-000038
3 filed observations examined for this concept and period.
Operating income
OperatingIncomeLoss
2024-938,800,000
filed 2024-05-30 · 10-K
-903,500,000
filed 2025-06-26 · 10-K
35,300,000+3.76%revised comparative figure0000929351-24-000012
0000929351-25-000038
2 filed observations examined for this concept and period.