US Stock MarketDetailed Quotes

ALCE Alternus Clean Energy

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  • 2.020
  • -0.060-2.88%
Close Nov 8 16:00 ET
  • 1.930
  • -0.090-4.46%
Post 20:01 ET
7.05MMarket Cap-108P/E (TTM)

Alternus Clean Energy Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-332.35%-2.28M
-490.42%-4.6M
220.74%10.44M
983K
111.38%1.18M
-3.86%-8.65M
-10.36M
-8.32M
Net income from continuing operations
-138.16%-6.85M
-128.17%-7.66M
-188.93%-53.65M
---2.88M
33.19%-3.36M
1.92%-18.57M
---5.02M
---18.93M
Operating gains losses
249.25%597K
1,418.58%1.72M
6,963.89%20.34M
---400K
--113K
133.41%288K
----
---862K
Depreciation and amortization
-41.30%543K
-32.54%568K
-0.54%3.66M
--925K
-64.12%842K
-31.68%3.68M
--2.35M
--5.38M
Other non cash items
-17.32%1.77M
-40.16%687K
61.87%4.57M
--2.14M
14.69%1.15M
-33.46%2.82M
--1M
--4.24M
Change In working capital
26.24%1.51M
-101.48%-36K
674.27%24.29M
--1.19M
127.73%2.43M
216.66%3.14M
---8.77M
---2.69M
-Change in receivables
-42.77%-2.11M
-25.58%1.53M
247.06%4.05M
---1.48M
220.30%2.06M
76.39%-2.75M
---1.71M
---11.66M
-Change in prepaid assets
-155.64%-217K
-189.21%-1.42M
-211.22%-2.78M
--390K
-48.79%-491K
34.48%2.5M
---330K
--1.86M
-Change in payables and accrued expense
65.66%3.83M
-111.17%-98K
859.60%22.64M
--2.31M
113.54%877K
-66.83%2.36M
---6.48M
--7.11M
-Change in other current liabilities
120.69%6K
-336.36%-48K
-63.15%381K
---29K
95.63%-11K
--1.03M
---252K
--0
Cash from discontinued investing activities
-99.37%21K
-159.01%-2.09M
3.31M
-805K
Operating cash flow
-152.68%-2.26M
-1,888.24%-6.69M
220.74%10.44M
--4.3M
103.61%374K
-3.86%-8.65M
---10.36M
---8.32M
Investing cash flow
Cash flow from continuing investing activities
-129.61%-2.61M
6,389.98%64.66M
86.43%-675K
-1.14M
92.55%-1.03M
96.10%-4.97M
-13.8M
-127.48M
Capital expenditure reported
148.64%125K
5.39%-228K
-794.20%-5.86M
---257K
98.09%-241K
93.91%-655K
---12.61M
---10.75M
Net PPE purchase and sale
-210.78%-2.74M
8,345.11%64.89M
220.01%5.18M
---881K
33.98%-787K
96.29%-4.32M
---1.19M
---116.33M
Net intangibles purchase and sale
----
----
----
----
----
----
--0
--0
Net business purchase and sale
----
----
----
----
----
----
----
---396K
Cash from discontinued investing activities
Investing cash flow
-132.68%-2.61M
6,087.13%64.66M
86.43%-675K
---1.12M
92.17%-1.08M
96.10%-4.97M
---13.8M
---127.48M
Financing cash flow
Cash flow from continuing financing activities
169.34%3.87M
-4,056.38%-76.64M
79.72%9M
-5.57M
-86.85%1.94M
-96.90%5.01M
14.73M
161.23M
Net issuance payments of debt
618.86%2.28M
-5,585.17%-76.57M
3.94%15.26M
---440K
-90.52%1.4M
-88.34%14.68M
--14.73M
--125.92M
Net common stock issuance
129.52%317K
-76.44%253K
----
---1.07M
--1.07M
----
----
--35.31M
Cash dividends paid
--0
--0
26.97%-21.91M
---4.46M
---403K
---30M
----
----
Net other financing activities
220.25%1.27M
-142.31%-315K
-23.01%15.65M
--395K
---130K
--20.32M
----
----
Cash from discontinued financing activities
-99.05%30K
-869.54%-3.15M
3.15M
-325K
Financing cash flow
260.62%3.9M
-5,049.50%-79.79M
79.72%9M
---2.43M
-89.06%1.61M
-96.90%5.01M
--14.73M
--161.23M
Net cash flow
Beginning cash position
-74.94%2.22M
217.06%24.56M
-62.69%7.75M
--8.87M
-70.85%7.75M
1,087.99%20.77M
--26.58M
--1.75M
Current changes in cash
-231.15%-981K
-2,507.62%-21.81M
231.48%16.38M
--748K
109.61%906K
-149.01%-12.46M
---9.43M
--25.43M
Effect of exchange rate changes
20.86%-148K
-345.58%-528K
177.60%433K
---187K
-79.74%215K
5.74%-558K
--1.06M
---592K
End cash Position
-88.41%1.09M
-74.94%2.22M
217.08%24.56M
--9.43M
-51.30%8.87M
-70.86%7.75M
--18.21M
--26.58M
Free cash flow
-249.33%-4.24M
-1,157.16%-9.57M
44.18%-7.6M
--2.84M
96.85%-761K
89.94%-13.62M
---24.16M
---135.41M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -332.35%-2.28M-490.42%-4.6M220.74%10.44M983K111.38%1.18M-3.86%-8.65M-10.36M-8.32M
Net income from continuing operations -138.16%-6.85M-128.17%-7.66M-188.93%-53.65M---2.88M33.19%-3.36M1.92%-18.57M---5.02M---18.93M
Operating gains losses 249.25%597K1,418.58%1.72M6,963.89%20.34M---400K--113K133.41%288K-------862K
Depreciation and amortization -41.30%543K-32.54%568K-0.54%3.66M--925K-64.12%842K-31.68%3.68M--2.35M--5.38M
Other non cash items -17.32%1.77M-40.16%687K61.87%4.57M--2.14M14.69%1.15M-33.46%2.82M--1M--4.24M
Change In working capital 26.24%1.51M-101.48%-36K674.27%24.29M--1.19M127.73%2.43M216.66%3.14M---8.77M---2.69M
-Change in receivables -42.77%-2.11M-25.58%1.53M247.06%4.05M---1.48M220.30%2.06M76.39%-2.75M---1.71M---11.66M
-Change in prepaid assets -155.64%-217K-189.21%-1.42M-211.22%-2.78M--390K-48.79%-491K34.48%2.5M---330K--1.86M
-Change in payables and accrued expense 65.66%3.83M-111.17%-98K859.60%22.64M--2.31M113.54%877K-66.83%2.36M---6.48M--7.11M
-Change in other current liabilities 120.69%6K-336.36%-48K-63.15%381K---29K95.63%-11K--1.03M---252K--0
Cash from discontinued investing activities -99.37%21K-159.01%-2.09M3.31M-805K
Operating cash flow -152.68%-2.26M-1,888.24%-6.69M220.74%10.44M--4.3M103.61%374K-3.86%-8.65M---10.36M---8.32M
Investing cash flow
Cash flow from continuing investing activities -129.61%-2.61M6,389.98%64.66M86.43%-675K-1.14M92.55%-1.03M96.10%-4.97M-13.8M-127.48M
Capital expenditure reported 148.64%125K5.39%-228K-794.20%-5.86M---257K98.09%-241K93.91%-655K---12.61M---10.75M
Net PPE purchase and sale -210.78%-2.74M8,345.11%64.89M220.01%5.18M---881K33.98%-787K96.29%-4.32M---1.19M---116.33M
Net intangibles purchase and sale --------------------------0--0
Net business purchase and sale -------------------------------396K
Cash from discontinued investing activities
Investing cash flow -132.68%-2.61M6,087.13%64.66M86.43%-675K---1.12M92.17%-1.08M96.10%-4.97M---13.8M---127.48M
Financing cash flow
Cash flow from continuing financing activities 169.34%3.87M-4,056.38%-76.64M79.72%9M-5.57M-86.85%1.94M-96.90%5.01M14.73M161.23M
Net issuance payments of debt 618.86%2.28M-5,585.17%-76.57M3.94%15.26M---440K-90.52%1.4M-88.34%14.68M--14.73M--125.92M
Net common stock issuance 129.52%317K-76.44%253K-------1.07M--1.07M----------35.31M
Cash dividends paid --0--026.97%-21.91M---4.46M---403K---30M--------
Net other financing activities 220.25%1.27M-142.31%-315K-23.01%15.65M--395K---130K--20.32M--------
Cash from discontinued financing activities -99.05%30K-869.54%-3.15M3.15M-325K
Financing cash flow 260.62%3.9M-5,049.50%-79.79M79.72%9M---2.43M-89.06%1.61M-96.90%5.01M--14.73M--161.23M
Net cash flow
Beginning cash position -74.94%2.22M217.06%24.56M-62.69%7.75M--8.87M-70.85%7.75M1,087.99%20.77M--26.58M--1.75M
Current changes in cash -231.15%-981K-2,507.62%-21.81M231.48%16.38M--748K109.61%906K-149.01%-12.46M---9.43M--25.43M
Effect of exchange rate changes 20.86%-148K-345.58%-528K177.60%433K---187K-79.74%215K5.74%-558K--1.06M---592K
End cash Position -88.41%1.09M-74.94%2.22M217.08%24.56M--9.43M-51.30%8.87M-70.86%7.75M--18.21M--26.58M
Free cash flow -249.33%-4.24M-1,157.16%-9.57M44.18%-7.6M--2.84M96.85%-761K89.94%-13.62M---24.16M---135.41M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes----------

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