US Stock MarketDetailed Quotes

BWLP BW LPG LIMITED

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  • 19.080
  • +0.670+3.64%
Close Jun 28 16:00 ET
  • 19.450
  • +0.370+1.94%
Post 19:44 ET
2.51BMarket Cap5.23P/E (TTM)

BW LPG LIMITED Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
17.74%155.18M
110.29%503.96M
78.74%171.51M
162.11%122.43M
100.89%78.23M
127.06%131.8M
28.19%239.65M
53.08%95.95M
58.58%46.71M
67.37%38.94M
Other non cash items
-52.10%2.81M
-36.31%18.65M
-51.68%2.79M
-26.08%5.04M
-40.89%4.96M
-29.43%5.87M
-19.41%29.29M
-39.22%5.76M
-30.79%6.82M
-13.32%8.39M
Change In working capital
535.75%221.62M
-284.12%-182.05M
-141.03%-63.39M
-245.01%-106.54M
141.66%39.91M
-171.56%-50.86M
13,352.79%98.88M
361.07%154.49M
-1,434.79%-30.88M
-790.57%-95.8M
-Change in receivables
205.88%136.18M
-200.59%-112.65M
-151.66%-75.03M
-459.25%-104.77M
301.45%195.76M
-255.58%-128.62M
8,609.57%111.99M
353.25%145.23M
-410.56%-18.73M
-335.95%-97.18M
-Change in inventory
368.46%92.06M
-2.83%-52.66M
1.47%-57.39M
-3,238.81%-52.17M
298.57%37.24M
-18.55%19.65M
-30.99%-51.21M
-926.36%-58.24M
110.04%1.66M
23.77%-18.76M
-Change in other current assets
360.49%96.97M
-2,359.84%-69.45M
-1,639.28%-77.01M
314.50%9.26M
-884.17%-22.75M
348.02%21.06M
-61.53%3.07M
242.37%5M
-232.70%-4.32M
42.34%-2.31M
Cash from discontinued investing activities
Operating cash flow
224.01%405.58M
1.60%513.36M
-44.66%162.53M
24.61%77.09M
1,118.40%149.75M
-23.87%125.17M
64.43%505.3M
1,341.50%293.72M
-1.80%61.86M
-121.78%-14.7M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
36.75%63.1M
-301.03%-116.05M
-373.62%-38.3M
56.76%-1.75M
-289.14%-67.87M
35.77%46.14M
147.91%57.73M
-130.10%-8.09M
93.42%-4.05M
238.33%35.88M
Net intangibles purchase and sale
-152.13%-237K
-515.53%-634K
---9K
40.68%-35K
-3,206.67%-496K
-224.14%-94K
78.32%-103K
--0
---59K
93.48%-15K
Net business purchase and sale
----
99.38%-301K
----
----
----
----
-1,148.74%-48.59M
----
----
----
Net investment purchase and sale
---27.82M
--0
--0
--0
----
--0
-100.08%-21K
--0
-100.77%-21K
----
Net other investing changes
4.04%2.01M
70.40%175.43M
-95.13%2.27M
-22.19%1.47M
6,062.65%115.49M
-96.33%1.93M
-36.00%102.95M
2,435.42%46.6M
-98.25%1.89M
-95.85%1.87M
Cash from discontinued investing activities
Investing cash flow
-15.67%41.78M
-39.08%68.57M
-242.77%-34.13M
225.57%2.64M
33.29%50.51M
-42.87%49.54M
48.64%112.55M
-134.58%-9.96M
-104.25%-2.1M
-1.55%37.9M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-5,510.72%-136.84M
81.41%-68.46M
99.97%-38K
97.59%-1.08M
60.69%-69.87M
112.33%2.53M
-214.52%-368.34M
-2,851.52%-125.06M
46.95%-44.92M
-3,473.15%-177.77M
Net common stock issuance
98.34%-100K
9.97%-23.7M
--0
73.34%-3.65M
-2,012.01%-14.02M
54.42%-6.03M
-375.14%-26.32M
98.09%-124K
---13.7M
--733K
Cash dividends paid
-72.25%-118.39M
-220.03%-405.49M
-209.24%-104.9M
-300.07%-106.13M
-198.85%-125.73M
-184.22%-68.73M
-27.33%-126.71M
-149.34%-33.92M
-89.98%-26.53M
-70.48%-42.07M
Net other financing activities
44.01%-888K
----
----
----
----
-103.23%-1.59M
--79.89M
--1.48M
44.54%-406K
6,579.48%30M
Cash from discontinued financing activities
Financing cash flow
-182.93%-295.42M
-23.60%-645.29M
10.75%-160.72M
-35.43%-140.74M
-14.61%-240.6M
-270.43%-104.41M
-68.57%-522.1M
-283.67%-180.07M
12.44%-103.92M
-389.87%-209.93M
Net cash flow
Beginning cash position
-26.65%162.04M
73.85%225.4M
56.01%189.87M
51.26%250.87M
-17.41%291.22M
70.40%220.92M
130.05%129.65M
-4.48%121.7M
24.14%165.86M
400.44%352.6M
Current changes in cash
116.12%151.94M
-166.17%-63.36M
-131.16%-32.31M
-38.15%-61.01M
78.40%-40.34M
-68.47%70.3M
30.64%95.75M
4,535.45%103.7M
-612.46%-44.16M
-395.70%-186.74M
End cash Position
7.81%313.97M
-28.11%162.04M
-28.11%162.04M
56.01%189.87M
51.26%250.87M
-17.41%291.22M
73.85%225.4M
73.85%225.4M
-4.48%121.7M
24.14%165.86M
Free cash flow
244.66%403.11M
-13.58%396.68M
-56.31%124.22M
30.39%75.3M
309.15%81.38M
-23.60%116.96M
284.13%459.01M
1,599.86%284.34M
771.11%57.75M
-203.22%-38.91M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(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(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 17.74%155.18M110.29%503.96M78.74%171.51M162.11%122.43M100.89%78.23M127.06%131.8M28.19%239.65M53.08%95.95M58.58%46.71M67.37%38.94M
Other non cash items -52.10%2.81M-36.31%18.65M-51.68%2.79M-26.08%5.04M-40.89%4.96M-29.43%5.87M-19.41%29.29M-39.22%5.76M-30.79%6.82M-13.32%8.39M
Change In working capital 535.75%221.62M-284.12%-182.05M-141.03%-63.39M-245.01%-106.54M141.66%39.91M-171.56%-50.86M13,352.79%98.88M361.07%154.49M-1,434.79%-30.88M-790.57%-95.8M
-Change in receivables 205.88%136.18M-200.59%-112.65M-151.66%-75.03M-459.25%-104.77M301.45%195.76M-255.58%-128.62M8,609.57%111.99M353.25%145.23M-410.56%-18.73M-335.95%-97.18M
-Change in inventory 368.46%92.06M-2.83%-52.66M1.47%-57.39M-3,238.81%-52.17M298.57%37.24M-18.55%19.65M-30.99%-51.21M-926.36%-58.24M110.04%1.66M23.77%-18.76M
-Change in other current assets 360.49%96.97M-2,359.84%-69.45M-1,639.28%-77.01M314.50%9.26M-884.17%-22.75M348.02%21.06M-61.53%3.07M242.37%5M-232.70%-4.32M42.34%-2.31M
Cash from discontinued investing activities
Operating cash flow 224.01%405.58M1.60%513.36M-44.66%162.53M24.61%77.09M1,118.40%149.75M-23.87%125.17M64.43%505.3M1,341.50%293.72M-1.80%61.86M-121.78%-14.7M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 36.75%63.1M-301.03%-116.05M-373.62%-38.3M56.76%-1.75M-289.14%-67.87M35.77%46.14M147.91%57.73M-130.10%-8.09M93.42%-4.05M238.33%35.88M
Net intangibles purchase and sale -152.13%-237K-515.53%-634K---9K40.68%-35K-3,206.67%-496K-224.14%-94K78.32%-103K--0---59K93.48%-15K
Net business purchase and sale ----99.38%-301K-----------------1,148.74%-48.59M------------
Net investment purchase and sale ---27.82M--0--0--0------0-100.08%-21K--0-100.77%-21K----
Net other investing changes 4.04%2.01M70.40%175.43M-95.13%2.27M-22.19%1.47M6,062.65%115.49M-96.33%1.93M-36.00%102.95M2,435.42%46.6M-98.25%1.89M-95.85%1.87M
Cash from discontinued investing activities
Investing cash flow -15.67%41.78M-39.08%68.57M-242.77%-34.13M225.57%2.64M33.29%50.51M-42.87%49.54M48.64%112.55M-134.58%-9.96M-104.25%-2.1M-1.55%37.9M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -5,510.72%-136.84M81.41%-68.46M99.97%-38K97.59%-1.08M60.69%-69.87M112.33%2.53M-214.52%-368.34M-2,851.52%-125.06M46.95%-44.92M-3,473.15%-177.77M
Net common stock issuance 98.34%-100K9.97%-23.7M--073.34%-3.65M-2,012.01%-14.02M54.42%-6.03M-375.14%-26.32M98.09%-124K---13.7M--733K
Cash dividends paid -72.25%-118.39M-220.03%-405.49M-209.24%-104.9M-300.07%-106.13M-198.85%-125.73M-184.22%-68.73M-27.33%-126.71M-149.34%-33.92M-89.98%-26.53M-70.48%-42.07M
Net other financing activities 44.01%-888K-----------------103.23%-1.59M--79.89M--1.48M44.54%-406K6,579.48%30M
Cash from discontinued financing activities
Financing cash flow -182.93%-295.42M-23.60%-645.29M10.75%-160.72M-35.43%-140.74M-14.61%-240.6M-270.43%-104.41M-68.57%-522.1M-283.67%-180.07M12.44%-103.92M-389.87%-209.93M
Net cash flow
Beginning cash position -26.65%162.04M73.85%225.4M56.01%189.87M51.26%250.87M-17.41%291.22M70.40%220.92M130.05%129.65M-4.48%121.7M24.14%165.86M400.44%352.6M
Current changes in cash 116.12%151.94M-166.17%-63.36M-131.16%-32.31M-38.15%-61.01M78.40%-40.34M-68.47%70.3M30.64%95.75M4,535.45%103.7M-612.46%-44.16M-395.70%-186.74M
End cash Position 7.81%313.97M-28.11%162.04M-28.11%162.04M56.01%189.87M51.26%250.87M-17.41%291.22M73.85%225.4M73.85%225.4M-4.48%121.7M24.14%165.86M
Free cash flow 244.66%403.11M-13.58%396.68M-56.31%124.22M30.39%75.3M309.15%81.38M-23.60%116.96M284.13%459.01M1,599.86%284.34M771.11%57.75M-203.22%-38.91M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

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