Kartoon Studios (TOON) Stock Analysis
AMEXCommunication ServicesEntertainment
What Kartoon Studios does
Kartoon Studios Inc., which operated as Genius Brands International, Inc. until its renaming in June 2023, is a dynamic content and brand management company. Its core business involves developing, producing, licensing, and broadcasting educational and multimedia animated entertainment specifically for children around the world. The company boasts an extensive portfolio of intellectual properties and shows, including the live-action preschool music series "Ukulele U," the CGI streaming children's program "Team Zenko Go!," and "Rainbow Rangers," an animated series featuring seven magical girls. Other offerings encompass the 2D animated "Guava Juice," "Shaq's Garage" detailing secret adventures, "Cocomelon" with its 3D animated nursery rhymes, the preschool series "Eggventurers," animated "Barbie Productions," and the book-based "Octonauts." Its roster also includes "Roblox Rumble," a competitive reality show, as well as contributions to "Spin Master Productions," "Madagascar," and "Bee & PuppyCat." Beyond content creation, Kartoon Studios operates its own cartoon channel accessible across various platforms. It also serves as a licensing agent for well-known properties such as "Llama Llama," "Bee & PuppyCat," and "Castlevania." The company collaborates with a diverse group of clients and partners, including broadcasters, consumer product licensees, and online streaming services. Incorporated in 2006, Kartoon Studios Inc. maintains its headquarters in Beverly Hills, California.
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Frequently asked questions
- What is the ticker symbol for Kartoon Studios?
- Kartoon Studios trades under the ticker TOON on AMEX.
- Which exchange is TOON listed on?
- TOON is listed on AMEX.
- What sector does Kartoon Studios operate in?
- Kartoon Studios is classified in the Communication Services sector (Entertainment industry).
- How can PortView help analyze TOON in a portfolio?
- PortView shows TOON's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.
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