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MSTR
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TSLA
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COIN
(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 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -8.20%263.66M | -36.52%159.83M | -85.66%28.66M | 38.16%785.78M | -67.59%46.9M | 7.78%287.21M | 98.18%251.78M | 555.44%199.9M | -51.50%568.73M | -46.96%144.71M |
Net income from continuing operations | -4.50%115.96M | -13.64%96.56M | 19.62%105.03M | 23.09%445.05M | 196.86%124.01M | 67.02%121.43M | -0.87%111.81M | -34.62%87.8M | -53.17%361.57M | -78.12%41.78M |
Depreciation and amortization | 2.06%37.79M | 0.97%36.17M | -8.02%32.95M | 13.20%142.4M | 0.10%33.73M | 15.04%37.03M | 18.29%35.82M | 20.91%35.82M | 15.69%125.79M | 13.89%33.7M |
Deferred tax | -42.90%7.96M | 53.25%-8.54M | 197.99%18.05M | 52.80%-18.64M | 108.88%4.11M | 274.63%13.94M | -572.47%-18.27M | -205.46%-18.42M | -355.55%-39.5M | -41.69%-46.26M |
Other non cash items | -6.37%14.12M | -21.53%14.16M | -62.50%7.25M | -8.31%65.84M | -41.45%13.37M | -14.93%15.08M | 19.47%18.05M | 19.85%19.34M | 40.33%71.81M | 41.36%22.84M |
Change In working capital | -31.91%38.68M | -138.42%-25.55M | -560.94%-173.4M | 90.64%-7.89M | -391.21%-168.82M | -52.24%56.8M | 206.29%66.51M | 118.94%37.62M | -154.67%-84.31M | 48.81%57.97M |
-Change in receivables | 276.71%11.69M | -88.89%-77.34M | -112.59%-69.59M | -585.47%-104.61M | -126.52%-24.32M | -107.72%-6.62M | -2,067.61%-40.95M | 41.07%-32.73M | 108.22%21.55M | 76.66%-10.74M |
-Change in inventory | -92.78%908K | 420.04%15.82M | -35.13%15.57M | 123.19%30.17M | 93.19%-1.47M | 172.01%12.58M | 88.12%-4.94M | 148.55%24.01M | -15.69%-130.1M | 26.12%-21.57M |
-Change in prepaid assets | 194.10%54.62M | -117.35%-1.74M | -194.82%-79.16M | 22.13%-51.01M | -59.60%-52.79M | 201.93%18.57M | -70.82%10.05M | 44.83%-26.85M | 47.43%-65.51M | 33.71%-33.07M |
-Change in payables and accrued expense | -38.82%3.73M | -30.11%51.22M | -156.67%-25.8M | 120.28%30.85M | -218.59%-94.06M | -13.40%6.1M | 158.85%73.29M | 139.95%45.53M | -179.76%-152.14M | 59.21%79.32M |
-Change in other working capital | -223.30%-32.28M | -146.51%-13.51M | -152.13%-14.42M | -64.15%86.71M | -91.32%3.82M | -57.67%26.18M | -56.66%29.06M | -59.90%27.66M | -47.72%241.89M | -61.45%44.03M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -8.20%263.66M | -36.52%159.83M | -85.66%28.66M | 38.16%785.78M | -67.59%46.9M | 7.78%287.21M | 98.18%251.78M | 555.44%199.9M | -51.50%568.73M | -46.96%144.71M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -107.18%-8.92M | 10.35%-112.49M | -50.64%-79.58M | 8.14%-195.94M | 76.13%-13.32M | 94.96%-4.31M | -792.52%-125.49M | 41.43%-52.83M | 62.14%-213.32M | 81.86%-55.81M |
Net PPE purchase and sale | -37.72%-29.8M | 8.70%-53.45M | 85.39%-9.37M | 39.12%-177.72M | 37.20%-33.41M | 71.28%-21.64M | 22.99%-58.55M | 26.58%-64.12M | 27.22%-291.9M | 51.23%-53.2M |
Net business purchase and sale | --0 | -0.52%-75.39M | ---77.08M | -525.80%-77M | --0 | 83.75%-2M | ---75M | --0 | -53.76%-12.3M | --0 |
Net investment purchase and sale | 7.77%20.78M | 102.85%16.21M | -39.15%6.87M | -37.17%58.49M | 885.66%19.94M | 785.12%19.28M | -91.49%7.99M | 2,799.52%11.28M | 160.49%93.1M | 98.71%-2.54M |
Net other investing changes | 96.30%106K | 98.53%135K | -200.00%-6K | 112.57%278K | 320.59%150K | 17.39%54K | -74.14%68K | 100.24%6K | -430.22%-2.21M | 94.77%-68K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -107.18%-8.92M | 10.35%-112.49M | -50.64%-79.58M | 8.14%-195.94M | 76.13%-13.32M | 94.96%-4.31M | -792.52%-125.49M | 41.43%-52.83M | 62.14%-213.32M | 81.86%-55.81M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -10.66%10.57M | -16,179.16%-151.56M | 95.48%-11.72M | -19.27%-598.34M | -74.98%-350.28M | 8.58%11.83M | 99.54%-931K | -131.75%-258.96M | -9.46%-501.69M | -97.09%-200.19M |
Net common stock issuance | -11.32%10.94M | ---150.01M | 105.16%14.34M | -38.37%-565.77M | -87.50%-300M | 8.98%12.34M | --0 | -361.90%-278.1M | -17.02%-408.89M | -60.00%-160M |
Net other financing activities | 26.88%-370K | -66.17%-1.55M | -236.11%-26.06M | 64.90%-32.58M | -25.11%-50.28M | -19.34%-506K | -42.35%-931K | 137.15%19.14M | 14.80%-92.8M | -2,454.86%-40.19M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -10.66%10.57M | -16,179.16%-151.56M | 95.48%-11.72M | -19.27%-598.34M | -74.98%-350.28M | 8.58%11.83M | 99.54%-931K | -131.75%-258.96M | -9.46%-501.69M | -97.09%-200.19M |
Net cash flow | ||||||||||
Beginning cash position | -19.93%762.46M | 4.11%866.88M | -0.41%938.52M | -14.34%942.36M | 18.63%1.24B | 8.44%952.3M | -10.16%832.68M | -14.34%942.36M | 14.42%1.1B | -15.64%1.04B |
Current changes in cash | -9.98%265.32M | -183.14%-104.23M | 44.02%-62.64M | 94.18%-8.51M | -184.58%-316.71M | 53.55%294.73M | 325.92%125.36M | 34.73%-111.9M | -197.01%-146.27M | 18.43%-111.29M |
Effect of exchange rate changes | 297.92%15.2M | 96.66%-192K | -505.40%-9M | 140.57%4.67M | 78.22%15.88M | 69.76%-7.68M | -184.42%-5.74M | 221.63%2.22M | 4.98%-11.51M | 574.84%8.91M |
End cash Position | -15.84%1.04B | -19.93%762.46M | 4.11%866.88M | -0.41%938.52M | -0.41%938.52M | 18.63%1.24B | 8.44%952.3M | -10.16%832.68M | -14.34%942.36M | -14.34%942.36M |
Free cash flow | -11.94%233.86M | -44.95%106.38M | -85.79%19.3M | 119.65%608.06M | -85.26%13.48M | 38.94%265.57M | 278.70%193.23M | 338.92%135.78M | -64.12%276.83M | -44.12%91.5M |
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 | -- |