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BKSY BlackSky Technology

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  • 10.510
  • -0.030-0.28%
Close Dec 13 16:00 ET
  • 10.584
  • +0.074+0.70%
Post 20:01 ET
323.49MMarket Cap-4.67P/E (TTM)

BlackSky Technology Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
698.27%1.04M
-283.42%-1.79M
77.05%-3.81M
60.93%-17.35M
68.83%-1.55M
98.51%-173K
106.46%977K
-30.97%-16.6M
17.55%-44.42M
67.05%-4.99M
Net income from continuing operations
-1,965.33%-12.59M
71.89%-9.4M
8.69%-15.81M
28.07%-53.86M
75.58%-3.79M
105.16%675K
-27.20%-33.43M
13.39%-17.32M
69.31%-74.88M
-320.18%-15.51M
Operating gains losses
79.20%-3.58M
-147.34%-5.23M
112.20%254K
15.70%-11.72M
-35.33%-3.49M
-170.34%-17.19M
221.64%11.04M
75.21%-2.08M
-172.91%-13.9M
93.46%-2.58M
Depreciation and amortization
-1.43%11.28M
-4.04%11.46M
12.61%11.38M
18.86%44.38M
9.20%10.9M
14.30%11.44M
24.78%11.94M
29.83%10.1M
161.01%37.34M
121.61%9.98M
Other non cash items
1,535.06%2.21M
2,036.19%2.03M
4,411.63%1.85M
883.22%11.96M
1,812.32%12.26M
66.45%-154K
-119.74%-105K
-108.57%-43K
-98.80%1.22M
221.86%641K
Change In working capital
-56.99%1.13M
-132.94%-3.03M
51.86%-4.95M
-35.60%-19.31M
-1,704.50%-20.86M
153.39%2.63M
272.13%9.2M
-265.01%-10.28M
-147.21%-14.24M
-1,104.17%-1.16M
-Change in receivables
-114.34%-497K
-226.40%-6.01M
70.33%-1.94M
-216.49%-20.44M
-5,958.11%-15.52M
264.23%3.47M
-231.12%-1.84M
-61.23%-6.54M
-376.65%-6.46M
-90.72%265K
-Change in prepaid assets
8.74%-1.05M
-85.15%101K
-142.21%-195K
-20.88%1.12M
49.60%1.13M
8.11%-1.16M
-2.02%680K
-62.13%462K
127.14%1.41M
197.05%756K
-Change in payables and accrued expense
649.17%994K
-90.13%393K
20.63%-2.35M
4,581.08%3.32M
424.02%2.48M
-159.74%-181K
447.99%3.98M
-293.48%-2.97M
-102.91%-74K
-129.95%-766K
-Change in other current assets
7,759.26%2.12M
-94.76%59K
4,400.00%344K
11,166.67%1.33M
-86.09%184K
102.07%27K
4,600.00%1.13M
-60.00%-8K
96.12%-12K
1,060.53%1.32M
-Change in other current liabilities
118.19%518K
-113.32%-772K
-74.62%438K
62.09%-1.58M
-1,005.12%-6.26M
39.15%-2.85M
578.81%5.8M
663.72%1.73M
-1,325.00%-4.17M
-1,551.28%-566K
-Change in other working capital
-128.74%-953K
692.04%3.2M
58.01%-1.24M
38.22%-3.05M
-32.75%-2.88M
-19.69%3.32M
89.55%-540K
-70.18%-2.95M
9.49%-4.94M
55.62%-2.17M
Cash from discontinued investing activities
Operating cash flow
698.27%1.04M
-283.42%-1.79M
77.05%-3.81M
60.81%-17.42M
67.70%-1.62M
98.51%-173K
106.46%977K
-30.97%-16.6M
17.48%-44.46M
66.79%-5.03M
Investing cash flow
Cash flow from continuing investing activities
46.68%-4.41M
53.76%-7.94M
-243.64%-15.11M
81.13%-15.21M
-107.86%-277K
45.41%-8.28M
69.08%-17.17M
178.35%10.52M
-26.70%-80.6M
124.94%3.52M
Net PPE purchase and sale
-48.39%-5.71M
40.92%-3.28M
-14.72%-3.3M
-30.62%-15.25M
-7.43%-2.98M
-6.47%-3.85M
-65.03%-5.55M
-49.22%-2.87M
-822.35%-11.68M
-277.66%-2.77M
Net business purchase and sale
----
----
----
1,075.37%9.45M
----
----
----
----
166.23%804K
-14.57%258K
Net investment purchase and sale
1,261.78%8.73M
207.61%4.98M
-101.76%-464K
150.97%19.03M
-114.70%-1.91M
88.57%-751K
89.44%-4.62M
--26.32M
---37.34M
--13M
Net other investing changes
-101.90%-7.43M
-37.69%-9.64M
12.22%-11.35M
12.18%-28.44M
30.53%-4.84M
29.45%-3.68M
19.63%-7M
-12.41%-12.93M
48.30%-32.39M
49.14%-6.96M
Cash from discontinued investing activities
Investing cash flow
46.68%-4.41M
53.76%-7.94M
-243.64%-15.11M
81.35%-15.21M
-110.89%-277K
45.41%-8.28M
69.08%-17.17M
178.35%10.52M
-28.24%-81.58M
118.01%2.54M
Financing cash flow
Cash flow from continuing financing activities
6,773.73%34.04M
3,244.16%21M
-97.01%862K
674.91%29.05M
352.50%1.36M
-1.59%-510K
-61.74%-668K
902.08%28.87M
-101.84%-5.05M
-71.66%-539K
Net issuance payments of debt
---10M
----
----
----
----
--0
----
----
----
----
Net common stock issuance
5,491.44%44.4M
156.85%1.65M
-95.59%1.3M
--32.73M
--1.87M
--794K
--642K
--29.43M
--0
--0
Proceeds from stock option exercised by employees
--0
7,700.00%156K
-66.67%1K
-78.72%10K
-90.00%1K
-66.67%4K
-75.00%2K
-82.35%3K
-83.96%47K
-66.67%10K
Net other financing activities
72.48%-360K
38.87%-802K
23.06%-437K
27.59%-3.69M
8.01%-505K
-154.47%-1.31M
-211.64%-1.31M
84.29%-568K
21.89%-5.1M
---549K
Cash from discontinued financing activities
Financing cash flow
6,773.73%34.04M
3,244.16%21M
-97.01%862K
674.91%29.05M
352.50%1.36M
-1.59%-510K
-61.74%-668K
902.08%28.87M
-101.84%-5.05M
-71.66%-539K
Net cash flow
Beginning cash position
-37.93%26.65M
-74.28%15.38M
-9.68%33.43M
-77.98%37.02M
-15.14%33.97M
-36.25%42.94M
-56.79%59.8M
-77.98%37.02M
1,489.94%168.1M
-79.75%40.04M
Current changes in cash
442.08%30.66M
166.83%11.27M
-179.25%-18.06M
97.27%-3.58M
82.15%-539K
67.18%-8.96M
76.27%-16.86M
176.71%22.78M
-183.21%-131.09M
89.79%-3.02M
End cash Position
68.68%57.31M
-37.93%26.65M
-74.28%15.38M
-9.68%33.43M
-9.68%33.43M
-15.14%33.97M
-36.25%42.94M
-56.79%59.8M
-77.98%37.02M
-77.98%37.02M
Free cash flow
-16.28%-4.68M
-10.36%-5.07M
63.51%-7.11M
41.75%-32.7M
40.99%-4.6M
73.63%-4.02M
75.13%-4.6M
-33.38%-19.48M
-1.79%-56.13M
50.85%-7.8M
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
--
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 698.27%1.04M-283.42%-1.79M77.05%-3.81M60.93%-17.35M68.83%-1.55M98.51%-173K106.46%977K-30.97%-16.6M17.55%-44.42M67.05%-4.99M
Net income from continuing operations -1,965.33%-12.59M71.89%-9.4M8.69%-15.81M28.07%-53.86M75.58%-3.79M105.16%675K-27.20%-33.43M13.39%-17.32M69.31%-74.88M-320.18%-15.51M
Operating gains losses 79.20%-3.58M-147.34%-5.23M112.20%254K15.70%-11.72M-35.33%-3.49M-170.34%-17.19M221.64%11.04M75.21%-2.08M-172.91%-13.9M93.46%-2.58M
Depreciation and amortization -1.43%11.28M-4.04%11.46M12.61%11.38M18.86%44.38M9.20%10.9M14.30%11.44M24.78%11.94M29.83%10.1M161.01%37.34M121.61%9.98M
Other non cash items 1,535.06%2.21M2,036.19%2.03M4,411.63%1.85M883.22%11.96M1,812.32%12.26M66.45%-154K-119.74%-105K-108.57%-43K-98.80%1.22M221.86%641K
Change In working capital -56.99%1.13M-132.94%-3.03M51.86%-4.95M-35.60%-19.31M-1,704.50%-20.86M153.39%2.63M272.13%9.2M-265.01%-10.28M-147.21%-14.24M-1,104.17%-1.16M
-Change in receivables -114.34%-497K-226.40%-6.01M70.33%-1.94M-216.49%-20.44M-5,958.11%-15.52M264.23%3.47M-231.12%-1.84M-61.23%-6.54M-376.65%-6.46M-90.72%265K
-Change in prepaid assets 8.74%-1.05M-85.15%101K-142.21%-195K-20.88%1.12M49.60%1.13M8.11%-1.16M-2.02%680K-62.13%462K127.14%1.41M197.05%756K
-Change in payables and accrued expense 649.17%994K-90.13%393K20.63%-2.35M4,581.08%3.32M424.02%2.48M-159.74%-181K447.99%3.98M-293.48%-2.97M-102.91%-74K-129.95%-766K
-Change in other current assets 7,759.26%2.12M-94.76%59K4,400.00%344K11,166.67%1.33M-86.09%184K102.07%27K4,600.00%1.13M-60.00%-8K96.12%-12K1,060.53%1.32M
-Change in other current liabilities 118.19%518K-113.32%-772K-74.62%438K62.09%-1.58M-1,005.12%-6.26M39.15%-2.85M578.81%5.8M663.72%1.73M-1,325.00%-4.17M-1,551.28%-566K
-Change in other working capital -128.74%-953K692.04%3.2M58.01%-1.24M38.22%-3.05M-32.75%-2.88M-19.69%3.32M89.55%-540K-70.18%-2.95M9.49%-4.94M55.62%-2.17M
Cash from discontinued investing activities
Operating cash flow 698.27%1.04M-283.42%-1.79M77.05%-3.81M60.81%-17.42M67.70%-1.62M98.51%-173K106.46%977K-30.97%-16.6M17.48%-44.46M66.79%-5.03M
Investing cash flow
Cash flow from continuing investing activities 46.68%-4.41M53.76%-7.94M-243.64%-15.11M81.13%-15.21M-107.86%-277K45.41%-8.28M69.08%-17.17M178.35%10.52M-26.70%-80.6M124.94%3.52M
Net PPE purchase and sale -48.39%-5.71M40.92%-3.28M-14.72%-3.3M-30.62%-15.25M-7.43%-2.98M-6.47%-3.85M-65.03%-5.55M-49.22%-2.87M-822.35%-11.68M-277.66%-2.77M
Net business purchase and sale ------------1,075.37%9.45M----------------166.23%804K-14.57%258K
Net investment purchase and sale 1,261.78%8.73M207.61%4.98M-101.76%-464K150.97%19.03M-114.70%-1.91M88.57%-751K89.44%-4.62M--26.32M---37.34M--13M
Net other investing changes -101.90%-7.43M-37.69%-9.64M12.22%-11.35M12.18%-28.44M30.53%-4.84M29.45%-3.68M19.63%-7M-12.41%-12.93M48.30%-32.39M49.14%-6.96M
Cash from discontinued investing activities
Investing cash flow 46.68%-4.41M53.76%-7.94M-243.64%-15.11M81.35%-15.21M-110.89%-277K45.41%-8.28M69.08%-17.17M178.35%10.52M-28.24%-81.58M118.01%2.54M
Financing cash flow
Cash flow from continuing financing activities 6,773.73%34.04M3,244.16%21M-97.01%862K674.91%29.05M352.50%1.36M-1.59%-510K-61.74%-668K902.08%28.87M-101.84%-5.05M-71.66%-539K
Net issuance payments of debt ---10M------------------0----------------
Net common stock issuance 5,491.44%44.4M156.85%1.65M-95.59%1.3M--32.73M--1.87M--794K--642K--29.43M--0--0
Proceeds from stock option exercised by employees --07,700.00%156K-66.67%1K-78.72%10K-90.00%1K-66.67%4K-75.00%2K-82.35%3K-83.96%47K-66.67%10K
Net other financing activities 72.48%-360K38.87%-802K23.06%-437K27.59%-3.69M8.01%-505K-154.47%-1.31M-211.64%-1.31M84.29%-568K21.89%-5.1M---549K
Cash from discontinued financing activities
Financing cash flow 6,773.73%34.04M3,244.16%21M-97.01%862K674.91%29.05M352.50%1.36M-1.59%-510K-61.74%-668K902.08%28.87M-101.84%-5.05M-71.66%-539K
Net cash flow
Beginning cash position -37.93%26.65M-74.28%15.38M-9.68%33.43M-77.98%37.02M-15.14%33.97M-36.25%42.94M-56.79%59.8M-77.98%37.02M1,489.94%168.1M-79.75%40.04M
Current changes in cash 442.08%30.66M166.83%11.27M-179.25%-18.06M97.27%-3.58M82.15%-539K67.18%-8.96M76.27%-16.86M176.71%22.78M-183.21%-131.09M89.79%-3.02M
End cash Position 68.68%57.31M-37.93%26.65M-74.28%15.38M-9.68%33.43M-9.68%33.43M-15.14%33.97M-36.25%42.94M-56.79%59.8M-77.98%37.02M-77.98%37.02M
Free cash flow -16.28%-4.68M-10.36%-5.07M63.51%-7.11M41.75%-32.7M40.99%-4.6M73.63%-4.02M75.13%-4.6M-33.38%-19.48M-1.79%-56.13M50.85%-7.8M
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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