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ARTNA Artesian Resources

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  • 36.890
  • +0.256+0.70%
Close Aug 16 16:00 ET
  • 36.890
  • 0.0000.00%
Post 16:02 ET
379.80MMarket Cap20.72P/E (TTM)

Artesian Resources Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
45.66%6.87M
19.85%12.59M
31.26%31.85M
1,181.66%8.49M
-28.99%8.14M
166.42%4.71M
-11.09%10.51M
-22.50%24.27M
-106.75%-785K
94.11%11.46M
Net income from continuing operations
19.85%5.33M
19.06%4.41M
-7.22%16.7M
49.68%3.48M
-17.46%5.07M
-11.95%4.44M
-17.35%3.71M
6.96%18M
-24.02%2.33M
21.52%6.14M
Depreciation and amortization
6.50%3.42M
7.48%3.47M
5.67%13.34M
5.60%3.45M
7.26%3.44M
5.24%3.22M
4.51%3.22M
6.18%12.62M
11.72%3.27M
8.08%3.21M
Deferred tax
-79.77%106K
-10.10%-109K
67.09%3.81M
-78.86%148K
45.81%3.24M
177.74%524K
-391.18%-99K
-18.59%2.28M
-86.61%700K
243.43%2.22M
Other non cash items
19.56%-218K
75.88%-48K
-64.44%-888K
111.11%152K
-116.73%-570K
-20.98%-271K
-59.20%-199K
-163.41%-540K
-74.83%72K
-246.05%-263K
Change In working capital
43.13%-1.88M
26.02%4.76M
82.51%-1.45M
115.21%1.1M
-3,421.98%-3.02M
39.77%-3.31M
-12.00%3.78M
-26,922.58%-8.32M
-2,503.33%-7.21M
103.32%91K
-Change in receivables
5.73%-2.24M
-16.96%3.68M
108.62%292K
-30.67%-1.1M
80.77%-676K
-12.58%-2.37M
44.23%4.44M
-181.93%-3.39M
54.63%-838K
-1,495.24%-3.52M
-Change in inventory
117.05%90K
302.51%1.13M
53.74%-1.28M
77.42%-496K
-17.31%301K
-3,005.88%-528K
39.28%-558K
-595.73%-2.77M
-722.85%-2.2M
282.91%364K
-Change in prepaid assets
257.14%550K
42.65%1.54M
-204.37%-502K
528.13%1.78M
-54.57%-3.52M
-85.29%154K
-49.15%1.08M
156.00%481K
-310.10%-416K
17.57%-2.28M
-Change in payables and accrued expense
36.88%-332K
-140.50%-772K
148.72%2.18M
274.71%1.99M
-31.19%1.04M
90.20%-526K
-160.91%-321K
-230.28%-4.48M
-148.32%-1.14M
2,454.69%1.51M
-Change in other current assets
58.16%-82K
-26.51%-105K
-1,243.24%-497K
-32.81%-421K
113.68%203K
-310.75%-196K
-190.22%-83K
84.32%-37K
-26.80%-317K
11.76%95K
-Change in other current liabilities
-179.49%-62K
0.86%-115K
-146.60%-3.17M
93.69%-180K
-129.78%-2.95M
153.79%78K
-6.42%-116K
1,370.84%6.8M
-2,516.51%-2.85M
7,778.29%9.91M
-Change in other working capital
128.57%192K
8.79%-602K
130.88%1.52M
-187.80%-482K
143.09%2.58M
-91.68%84K
-32.26%-660K
-2,716.00%-4.93M
151.83%549K
-8,191.89%-5.99M
Cash from discontinued investing activities
Operating cash flow
45.66%6.87M
19.85%12.59M
31.26%31.85M
1,181.66%8.49M
-28.99%8.14M
166.42%4.71M
-11.09%10.51M
-22.50%24.27M
-106.75%-785K
94.11%11.46M
Investing cash flow
Cash flow from continuing investing activities
39.15%-9.44M
50.29%-8.32M
-13.37%-62.08M
-12.78%-13.32M
-23.35%-16.51M
8.50%-15.51M
-32.70%-16.74M
-34.46%-54.76M
-13.10%-11.81M
-23.01%-13.39M
Capital expenditure reported
39.11%-9.45M
46.87%-8.92M
-28.24%-62.18M
-12.82%-13.34M
-23.37%-16.52M
-15.05%-15.52M
-71.79%-16.79M
-18.79%-48.48M
-13.24%-11.82M
-22.26%-13.39M
Net business purchase and sale
----
----
--0
--0
----
----
----
---6.34M
--0
--0
Net other investing changes
9.09%12K
1,032.08%600K
52.31%99K
43.75%23K
50.00%12K
-71.79%11K
2,550.00%53K
-27.78%65K
700.00%16K
-89.04%8K
Cash from discontinued investing activities
Investing cash flow
39.15%-9.44M
50.29%-8.32M
-13.37%-62.08M
-12.78%-13.32M
-23.35%-16.51M
8.50%-15.51M
-32.70%-16.74M
-34.46%-54.76M
-13.10%-11.81M
-23.01%-13.39M
Financing cash flow
Cash flow from continuing financing activities
-104.09%-679K
-45.90%2.73M
-0.91%31.42M
-93.68%872K
391.61%8.91M
11.26%16.6M
325.95%5.04M
234.57%31.71M
907.55%13.79M
-65.27%1.81M
Net issuance payments of debt
96.33%-805K
-82.17%416K
-170.25%-16.61M
-117.10%-1.92M
6,091.14%4.89M
-283.79%-21.92M
442.56%2.33M
1,017.39%23.64M
949.24%11.21M
-97.63%79K
Net common stock issuance
-99.75%90K
-3.23%90K
1,673.83%37.07M
-39.48%233K
-65.28%267K
9,042.86%36.48M
-82.68%93K
50.36%2.09M
49.81%385K
300.52%769K
Cash dividends paid
-19.95%-3.04M
-12.62%-2.98M
-8.94%-11.24M
-12.68%-2.98M
-19.45%-3.08M
1.63%-2.54M
-5.08%-2.65M
-5.02%-10.32M
-5.01%-2.64M
-5.18%-2.58M
Net other financing activities
-32.75%3.08M
-1.12%5.2M
36.24%22.2M
14.32%5.53M
92.75%6.83M
-11.59%4.58M
92.36%5.26M
3.15%16.3M
158.69%4.84M
-14.39%3.55M
Cash from discontinued financing activities
Financing cash flow
-104.09%-679K
-45.90%2.73M
-0.91%31.42M
-93.68%872K
391.61%8.91M
11.26%16.6M
325.95%5.04M
234.57%31.71M
907.55%13.79M
-65.27%1.81M
Net cash flow
Beginning cash position
8,163.48%9.5M
91.37%2.51M
1,322.83%1.31M
5,879.63%6.46M
2,592.27%5.92M
-75.94%115K
1,322.83%1.31M
228.57%92K
-82.30%108K
-40.38%220K
Current changes in cash
-155.99%-3.25M
686.10%7M
-1.73%1.2M
-429.14%-3.95M
577.68%535K
2,351.16%5.81M
-409.33%-1.19M
1,801.56%1.22M
331.85%1.2M
-146.47%-112K
End cash Position
5.54%6.25M
8,163.48%9.5M
91.37%2.51M
91.37%2.51M
5,879.63%6.46M
2,592.27%5.92M
-75.94%115K
1,322.83%1.31M
1,322.83%1.31M
-82.30%108K
Free cash flow
76.08%-2.59M
158.42%3.67M
-25.22%-30.33M
61.55%-4.85M
-334.01%-8.39M
7.80%-10.81M
-407.68%-6.29M
-154.82%-24.22M
-1,161.28%-12.61M
61.74%-1.93M
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
--
--
--
--
--
--
--
(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(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 45.66%6.87M19.85%12.59M31.26%31.85M1,181.66%8.49M-28.99%8.14M166.42%4.71M-11.09%10.51M-22.50%24.27M-106.75%-785K94.11%11.46M
Net income from continuing operations 19.85%5.33M19.06%4.41M-7.22%16.7M49.68%3.48M-17.46%5.07M-11.95%4.44M-17.35%3.71M6.96%18M-24.02%2.33M21.52%6.14M
Depreciation and amortization 6.50%3.42M7.48%3.47M5.67%13.34M5.60%3.45M7.26%3.44M5.24%3.22M4.51%3.22M6.18%12.62M11.72%3.27M8.08%3.21M
Deferred tax -79.77%106K-10.10%-109K67.09%3.81M-78.86%148K45.81%3.24M177.74%524K-391.18%-99K-18.59%2.28M-86.61%700K243.43%2.22M
Other non cash items 19.56%-218K75.88%-48K-64.44%-888K111.11%152K-116.73%-570K-20.98%-271K-59.20%-199K-163.41%-540K-74.83%72K-246.05%-263K
Change In working capital 43.13%-1.88M26.02%4.76M82.51%-1.45M115.21%1.1M-3,421.98%-3.02M39.77%-3.31M-12.00%3.78M-26,922.58%-8.32M-2,503.33%-7.21M103.32%91K
-Change in receivables 5.73%-2.24M-16.96%3.68M108.62%292K-30.67%-1.1M80.77%-676K-12.58%-2.37M44.23%4.44M-181.93%-3.39M54.63%-838K-1,495.24%-3.52M
-Change in inventory 117.05%90K302.51%1.13M53.74%-1.28M77.42%-496K-17.31%301K-3,005.88%-528K39.28%-558K-595.73%-2.77M-722.85%-2.2M282.91%364K
-Change in prepaid assets 257.14%550K42.65%1.54M-204.37%-502K528.13%1.78M-54.57%-3.52M-85.29%154K-49.15%1.08M156.00%481K-310.10%-416K17.57%-2.28M
-Change in payables and accrued expense 36.88%-332K-140.50%-772K148.72%2.18M274.71%1.99M-31.19%1.04M90.20%-526K-160.91%-321K-230.28%-4.48M-148.32%-1.14M2,454.69%1.51M
-Change in other current assets 58.16%-82K-26.51%-105K-1,243.24%-497K-32.81%-421K113.68%203K-310.75%-196K-190.22%-83K84.32%-37K-26.80%-317K11.76%95K
-Change in other current liabilities -179.49%-62K0.86%-115K-146.60%-3.17M93.69%-180K-129.78%-2.95M153.79%78K-6.42%-116K1,370.84%6.8M-2,516.51%-2.85M7,778.29%9.91M
-Change in other working capital 128.57%192K8.79%-602K130.88%1.52M-187.80%-482K143.09%2.58M-91.68%84K-32.26%-660K-2,716.00%-4.93M151.83%549K-8,191.89%-5.99M
Cash from discontinued investing activities
Operating cash flow 45.66%6.87M19.85%12.59M31.26%31.85M1,181.66%8.49M-28.99%8.14M166.42%4.71M-11.09%10.51M-22.50%24.27M-106.75%-785K94.11%11.46M
Investing cash flow
Cash flow from continuing investing activities 39.15%-9.44M50.29%-8.32M-13.37%-62.08M-12.78%-13.32M-23.35%-16.51M8.50%-15.51M-32.70%-16.74M-34.46%-54.76M-13.10%-11.81M-23.01%-13.39M
Capital expenditure reported 39.11%-9.45M46.87%-8.92M-28.24%-62.18M-12.82%-13.34M-23.37%-16.52M-15.05%-15.52M-71.79%-16.79M-18.79%-48.48M-13.24%-11.82M-22.26%-13.39M
Net business purchase and sale ----------0--0---------------6.34M--0--0
Net other investing changes 9.09%12K1,032.08%600K52.31%99K43.75%23K50.00%12K-71.79%11K2,550.00%53K-27.78%65K700.00%16K-89.04%8K
Cash from discontinued investing activities
Investing cash flow 39.15%-9.44M50.29%-8.32M-13.37%-62.08M-12.78%-13.32M-23.35%-16.51M8.50%-15.51M-32.70%-16.74M-34.46%-54.76M-13.10%-11.81M-23.01%-13.39M
Financing cash flow
Cash flow from continuing financing activities -104.09%-679K-45.90%2.73M-0.91%31.42M-93.68%872K391.61%8.91M11.26%16.6M325.95%5.04M234.57%31.71M907.55%13.79M-65.27%1.81M
Net issuance payments of debt 96.33%-805K-82.17%416K-170.25%-16.61M-117.10%-1.92M6,091.14%4.89M-283.79%-21.92M442.56%2.33M1,017.39%23.64M949.24%11.21M-97.63%79K
Net common stock issuance -99.75%90K-3.23%90K1,673.83%37.07M-39.48%233K-65.28%267K9,042.86%36.48M-82.68%93K50.36%2.09M49.81%385K300.52%769K
Cash dividends paid -19.95%-3.04M-12.62%-2.98M-8.94%-11.24M-12.68%-2.98M-19.45%-3.08M1.63%-2.54M-5.08%-2.65M-5.02%-10.32M-5.01%-2.64M-5.18%-2.58M
Net other financing activities -32.75%3.08M-1.12%5.2M36.24%22.2M14.32%5.53M92.75%6.83M-11.59%4.58M92.36%5.26M3.15%16.3M158.69%4.84M-14.39%3.55M
Cash from discontinued financing activities
Financing cash flow -104.09%-679K-45.90%2.73M-0.91%31.42M-93.68%872K391.61%8.91M11.26%16.6M325.95%5.04M234.57%31.71M907.55%13.79M-65.27%1.81M
Net cash flow
Beginning cash position 8,163.48%9.5M91.37%2.51M1,322.83%1.31M5,879.63%6.46M2,592.27%5.92M-75.94%115K1,322.83%1.31M228.57%92K-82.30%108K-40.38%220K
Current changes in cash -155.99%-3.25M686.10%7M-1.73%1.2M-429.14%-3.95M577.68%535K2,351.16%5.81M-409.33%-1.19M1,801.56%1.22M331.85%1.2M-146.47%-112K
End cash Position 5.54%6.25M8,163.48%9.5M91.37%2.51M91.37%2.51M5,879.63%6.46M2,592.27%5.92M-75.94%115K1,322.83%1.31M1,322.83%1.31M-82.30%108K
Free cash flow 76.08%-2.59M158.42%3.67M-25.22%-30.33M61.55%-4.85M-334.01%-8.39M7.80%-10.81M-407.68%-6.29M-154.82%-24.22M-1,161.28%-12.61M61.74%-1.93M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

Analysis

Analyst Rating

No Data

Price Target

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