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  • 13.730
  • +0.440+3.31%
Trading Apr 30 15:16 ET
33.97MMarket Cap3.81P/E (TTM)

MarketWise Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-135.48%-22.15M
-65.85%5.99M
-148.35%-5.83M
-113.10%-3.8M
-578.57%-18.51M
29.05%62.43M
65.18%17.53M
21.76%12.06M
8.15%28.98M
262.17%3.87M
Net income from continuing operations
71.49%93.11M
1,287.81%26.41M
88.86%22.75M
118.00%21.24M
-25.79%22.71M
-46.33%54.3M
-93.11%1.9M
-27.05%12.04M
-71.38%9.74M
32.93%30.61M
Operating gains losses
-160.50%-2.05M
-212.48%-1.92M
-106.38%-64K
97.85%-7K
-105.69%-57K
121.48%3.39M
3,893.33%1.71M
-75.35%1M
97.42%-326K
114.02%1M
Depreciation and amortization
-27.95%2.75M
-10.21%756K
-36.56%635K
-32.70%669K
-29.57%693K
23.62%3.82M
-18.88%842K
19.74%1M
62.15%994K
62.91%984K
Deferred tax
59.29%2.87M
402.88%736K
27.83%882K
25.49%576K
-24.41%678K
21.01%1.8M
88.74%-243K
-42.26%690K
-50.75%459K
-41.06%897K
Other non cash items
19.91%2.56M
39.63%761K
-96.28%20K
137.69%1.27M
-2.32%505K
10.91%2.14M
76.38%545K
-24.37%537K
25.23%536K
8.16%517K
Change In working capital
-376.37%-138.04M
-1,637.42%-28.74M
-350.63%-33.25M
-310.19%-29.2M
-38.45%-46.85M
45.19%-28.98M
90.80%-1.65M
52.61%-7.38M
1,314.87%13.89M
-66.74%-33.84M
-Change in receivables
643.44%2.65M
-75.66%348K
179.82%2.25M
-56,350.00%-1.13M
30.89%1.18M
-112.96%-488K
172.90%1.43M
-124.88%-2.82M
-99.98%2K
110.46%900K
-Change in prepaid assets
-130.83%-746K
-150.60%-1.06M
25.61%-729K
30.10%2.29M
-176.55%-1.25M
83.61%2.42M
298.58%2.09M
31.52%-980K
-28.65%1.76M
-133.88%-452K
-Change in payables and accrued expense
-419.22%-28.3M
-79.93%2.2M
-238.64%-4.35M
-53.64%4.43M
-107.09%-30.58M
299.12%8.87M
159.57%10.94M
195.64%3.13M
295.90%9.56M
-89.22%-14.77M
-Change in other current assets
-22.37%1.19M
-75.59%237K
511.54%428K
72.78%311K
-55.97%214K
382.32%1.53M
320.35%971K
34.59%-104K
150.56%180K
287.64%486K
-Change in other current liabilities
-416.28%-16.84M
-1,442.27%-14.07M
-54.40%-2.98M
213.62%1.89M
-132.50%-1.67M
40.18%-3.26M
448.69%1.05M
-358.37%-1.93M
56.28%-1.66M
72.24%-720K
-Change in other working capital
-152.33%-96M
9.61%-16.39M
-495.79%-27.88M
-1,012.83%-37M
23.59%-14.74M
19.92%-38.05M
17.93%-18.14M
54.11%-4.68M
131.54%4.05M
-715.48%-19.29M
Cash from discontinued investing activities
Operating cash flow
-135.48%-22.15M
-65.85%5.99M
-148.35%-5.83M
-113.10%-3.8M
-578.57%-18.51M
29.05%62.43M
65.18%17.53M
21.76%12.06M
8.15%28.98M
262.17%3.87M
Investing cash flow
Cash flow from continuing investing activities
64.10%-681K
144.77%107K
94.28%-40K
12.06%-496K
36.20%-252K
85.67%-1.9M
-239K
94.68%-699K
-809.68%-564K
-777.78%-395K
Capital expenditure reported
67.03%-548K
180.34%188K
96.70%-17K
12.05%-467K
34.03%-252K
-1,122.06%-1.66M
---234K
-836.36%-515K
-962.00%-531K
-1,132.26%-382K
Net PPE purchase and sale
-104.62%-133K
-1,520.00%-81K
-64.29%-23K
12.12%-29K
--0
-85.71%-65K
---5K
-55.56%-14K
-175.00%-33K
7.14%-13K
Net business purchase and sale
--0
--0
----
----
----
98.70%-170K
--0
----
----
----
Cash from discontinued investing activities
Investing cash flow
64.10%-681K
144.77%107K
94.28%-40K
12.06%-496K
36.20%-252K
85.67%-1.9M
---239K
94.68%-699K
-809.68%-564K
-777.78%-395K
Financing cash flow
Cash flow from continuing financing activities
46.12%-34.46M
95.86%-2.33M
-114.79%-9.41M
-522.34%-17.53M
-752.13%-5.2M
-294.97%-63.95M
-9,536.47%-56.15M
-487.92%-4.38M
-66.14%-2.82M
95.75%-610K
Net common stock issuance
-1,648.97%-10.5M
-74.57%88K
--0
----
----
105.55%678K
11.61%346K
--0
----
----
Cash dividends paid
73.78%-1.51M
92.78%-393K
-30.10%-389K
---381K
---343K
---5.74M
---5.45M
---299K
--0
--0
Net other financing activities
61.88%-22.45M
96.04%-2.02M
-121.00%-9.02M
-108.20%-6.55M
-695.90%-4.86M
-1,385.17%-58.89M
-18,011.58%-51.05M
-447.79%-4.08M
-385.05%-3.15M
78.64%-610K
Cash from discontinued financing activities
Financing cash flow
46.12%-34.46M
95.86%-2.33M
-114.79%-9.41M
-522.34%-17.53M
-752.13%-5.2M
-294.97%-63.95M
-9,536.47%-56.15M
-487.92%-4.38M
-66.14%-2.82M
95.75%-610K
Net cash flow
Beginning cash position
-2.14%155.17M
-51.49%94.11M
-41.54%109.34M
-18.76%131.18M
-2.14%155.17M
13.61%158.58M
31.79%194.02M
23.70%187.02M
27.90%161.46M
13.61%158.58M
Current changes in cash
-1,574.14%-57.29M
109.69%3.77M
-318.99%-15.28M
-185.23%-21.82M
-936.92%-23.96M
-118.06%-3.42M
-446.77%-38.86M
275.50%6.98M
2.24%25.6M
121.49%2.86M
Effect of exchange rate changes
-142.86%-9K
--0
84.00%46K
51.43%-17K
-280.95%-38K
-60.38%21K
-93.46%10K
316.67%25K
60.67%-35K
223.53%21K
End cash Position
-36.93%97.88M
-36.93%97.88M
-51.49%94.11M
-41.54%109.34M
-18.76%131.18M
-2.14%155.17M
-2.14%155.17M
31.79%194.02M
23.70%187.02M
27.90%161.46M
Free cash flow
-137.61%-22.83M
-64.76%6.09M
-150.92%-5.87M
-115.10%-4.29M
-640.25%-18.76M
25.93%60.7M
62.93%17.29M
17.17%11.53M
6.29%28.41M
239.49%3.47M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -135.48%-22.15M-65.85%5.99M-148.35%-5.83M-113.10%-3.8M-578.57%-18.51M29.05%62.43M65.18%17.53M21.76%12.06M8.15%28.98M262.17%3.87M
Net income from continuing operations 71.49%93.11M1,287.81%26.41M88.86%22.75M118.00%21.24M-25.79%22.71M-46.33%54.3M-93.11%1.9M-27.05%12.04M-71.38%9.74M32.93%30.61M
Operating gains losses -160.50%-2.05M-212.48%-1.92M-106.38%-64K97.85%-7K-105.69%-57K121.48%3.39M3,893.33%1.71M-75.35%1M97.42%-326K114.02%1M
Depreciation and amortization -27.95%2.75M-10.21%756K-36.56%635K-32.70%669K-29.57%693K23.62%3.82M-18.88%842K19.74%1M62.15%994K62.91%984K
Deferred tax 59.29%2.87M402.88%736K27.83%882K25.49%576K-24.41%678K21.01%1.8M88.74%-243K-42.26%690K-50.75%459K-41.06%897K
Other non cash items 19.91%2.56M39.63%761K-96.28%20K137.69%1.27M-2.32%505K10.91%2.14M76.38%545K-24.37%537K25.23%536K8.16%517K
Change In working capital -376.37%-138.04M-1,637.42%-28.74M-350.63%-33.25M-310.19%-29.2M-38.45%-46.85M45.19%-28.98M90.80%-1.65M52.61%-7.38M1,314.87%13.89M-66.74%-33.84M
-Change in receivables 643.44%2.65M-75.66%348K179.82%2.25M-56,350.00%-1.13M30.89%1.18M-112.96%-488K172.90%1.43M-124.88%-2.82M-99.98%2K110.46%900K
-Change in prepaid assets -130.83%-746K-150.60%-1.06M25.61%-729K30.10%2.29M-176.55%-1.25M83.61%2.42M298.58%2.09M31.52%-980K-28.65%1.76M-133.88%-452K
-Change in payables and accrued expense -419.22%-28.3M-79.93%2.2M-238.64%-4.35M-53.64%4.43M-107.09%-30.58M299.12%8.87M159.57%10.94M195.64%3.13M295.90%9.56M-89.22%-14.77M
-Change in other current assets -22.37%1.19M-75.59%237K511.54%428K72.78%311K-55.97%214K382.32%1.53M320.35%971K34.59%-104K150.56%180K287.64%486K
-Change in other current liabilities -416.28%-16.84M-1,442.27%-14.07M-54.40%-2.98M213.62%1.89M-132.50%-1.67M40.18%-3.26M448.69%1.05M-358.37%-1.93M56.28%-1.66M72.24%-720K
-Change in other working capital -152.33%-96M9.61%-16.39M-495.79%-27.88M-1,012.83%-37M23.59%-14.74M19.92%-38.05M17.93%-18.14M54.11%-4.68M131.54%4.05M-715.48%-19.29M
Cash from discontinued investing activities
Operating cash flow -135.48%-22.15M-65.85%5.99M-148.35%-5.83M-113.10%-3.8M-578.57%-18.51M29.05%62.43M65.18%17.53M21.76%12.06M8.15%28.98M262.17%3.87M
Investing cash flow
Cash flow from continuing investing activities 64.10%-681K144.77%107K94.28%-40K12.06%-496K36.20%-252K85.67%-1.9M-239K94.68%-699K-809.68%-564K-777.78%-395K
Capital expenditure reported 67.03%-548K180.34%188K96.70%-17K12.05%-467K34.03%-252K-1,122.06%-1.66M---234K-836.36%-515K-962.00%-531K-1,132.26%-382K
Net PPE purchase and sale -104.62%-133K-1,520.00%-81K-64.29%-23K12.12%-29K--0-85.71%-65K---5K-55.56%-14K-175.00%-33K7.14%-13K
Net business purchase and sale --0--0------------98.70%-170K--0------------
Cash from discontinued investing activities
Investing cash flow 64.10%-681K144.77%107K94.28%-40K12.06%-496K36.20%-252K85.67%-1.9M---239K94.68%-699K-809.68%-564K-777.78%-395K
Financing cash flow
Cash flow from continuing financing activities 46.12%-34.46M95.86%-2.33M-114.79%-9.41M-522.34%-17.53M-752.13%-5.2M-294.97%-63.95M-9,536.47%-56.15M-487.92%-4.38M-66.14%-2.82M95.75%-610K
Net common stock issuance -1,648.97%-10.5M-74.57%88K--0--------105.55%678K11.61%346K--0--------
Cash dividends paid 73.78%-1.51M92.78%-393K-30.10%-389K---381K---343K---5.74M---5.45M---299K--0--0
Net other financing activities 61.88%-22.45M96.04%-2.02M-121.00%-9.02M-108.20%-6.55M-695.90%-4.86M-1,385.17%-58.89M-18,011.58%-51.05M-447.79%-4.08M-385.05%-3.15M78.64%-610K
Cash from discontinued financing activities
Financing cash flow 46.12%-34.46M95.86%-2.33M-114.79%-9.41M-522.34%-17.53M-752.13%-5.2M-294.97%-63.95M-9,536.47%-56.15M-487.92%-4.38M-66.14%-2.82M95.75%-610K
Net cash flow
Beginning cash position -2.14%155.17M-51.49%94.11M-41.54%109.34M-18.76%131.18M-2.14%155.17M13.61%158.58M31.79%194.02M23.70%187.02M27.90%161.46M13.61%158.58M
Current changes in cash -1,574.14%-57.29M109.69%3.77M-318.99%-15.28M-185.23%-21.82M-936.92%-23.96M-118.06%-3.42M-446.77%-38.86M275.50%6.98M2.24%25.6M121.49%2.86M
Effect of exchange rate changes -142.86%-9K--084.00%46K51.43%-17K-280.95%-38K-60.38%21K-93.46%10K316.67%25K60.67%-35K223.53%21K
End cash Position -36.93%97.88M-36.93%97.88M-51.49%94.11M-41.54%109.34M-18.76%131.18M-2.14%155.17M-2.14%155.17M31.79%194.02M23.70%187.02M27.90%161.46M
Free cash flow -137.61%-22.83M-64.76%6.09M-150.92%-5.87M-115.10%-4.29M-640.25%-18.76M25.93%60.7M62.93%17.29M17.17%11.53M6.29%28.41M239.49%3.47M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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