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CBLU Clear Blue Technologies International Inc

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  • 0.050
  • 0.0000.00%
15min DelayTrading Oct 2 09:30 ET
6.22MMarket Cap-1219P/E (TTM)

Clear Blue Technologies International Inc 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
-69.88%-465.75K
121.58%337.84K
40.36%-2.06M
55.91%-564.41K
250.74%346.94K
69.82%-274.17K
-51.87%-1.57M
11.55%-3.45M
-9.29%-1.28M
66.03%-230.16K
Net income from continuing operations
37.60%-1.29M
-89.30%-1.17M
32.25%-3.89M
63.58%-662.99K
37.70%-540.93K
-22.77%-2.07M
54.94%-617.42K
-68.46%-5.75M
-29.88%-1.82M
-45.58%-868.27K
Operating gains losses
-7.32%81.31K
255.80%37.43K
-320.35%-85.97K
691.13%199.28K
-742.59%-348.96K
-38.38%87.73K
14.90%-24.03K
16.37%39.02K
---33.71K
---41.42K
Depreciation and amortization
87.64%218.56K
33.61%214.9K
10.37%556.76K
51.98%185.74K
-25.49%93.7K
-8.76%116.48K
24.83%160.84K
244.34%504.47K
205.37%122.22K
263.47%125.75K
Asset impairment expenditure
--0
--0
-58.40%282.5K
-77.76%93.66K
78.54%200K
--0
-171.51%-11.16K
223.54%679.12K
79.22%421.14K
3,110.48%112.02K
Remuneration paid in stock
-48.36%53.85K
-9.14%53.85K
-14.88%256.11K
318.35%158.19K
-166.24%-65.62K
5.84%104.27K
-9.46%59.27K
-53.29%300.86K
-89.20%37.81K
-37.27%99.07K
Other non cashItems
-70.57%386.49K
124.69%187.73K
52.01%737.76K
96.07%-20.62K
-40.78%205.37K
272.95%1.31M
-348.72%-760.34K
-31.66%485.35K
-359.15%-524.95K
4.45%346.81K
Change In working capital
-7.26%254.69K
477.92%1.17M
-4.15%756.52K
-108.76%-64.7K
619.99%856.88K
945.49%274.63K
-227.44%-310.29K
152.50%789.25K
281.22%738.73K
142.19%119.01K
-Change in receivables
-160.76%-517.12K
204.20%747.56K
-377.27%-920.91K
-467.56%-759.32K
-383.57%-295.27K
832.52%851.12K
-927.22%-717.44K
1,497.97%332.14K
316.80%206.59K
131.79%104.12K
-Change in inventory
-420.57%-841.14K
376.76%309.87K
-325.30%-186.52K
149.32%71.05K
-81.30%15.98K
-275.29%-161.58K
-327.43%-111.96K
104.37%82.79K
65.05%-144.07K
116.19%85.44K
-Change in prepaid assets
102.50%3.85K
94.00%-5.65K
6.98%140.05K
402.69%371.39K
-68.03%17.07K
-1,206.77%-154.33K
-708.19%-94.08K
-40.90%130.91K
168.40%73.88K
-85.45%53.37K
-Change in payables and accrued expense
728.63%1.55M
80.36%-80.74K
1,523.09%1.65M
263.22%1.12M
919.76%1.19M
-277.09%-246.92K
-9,832.02%-411.18K
-85.39%101.52K
-2.27%307.71K
-157.94%-144.94K
-Change in other current liabilities
----
----
----
----
--200.88K
----
----
----
----
----
-Change in other working capital
158.97%56.88K
-80.32%201.59K
-46.31%76.19K
-297.49%-581.84K
-1,384.45%-269.9K
-20.72%-96.44K
1,191.59%1.02M
125.98%141.9K
216.96%294.61K
147.85%21.01K
Interest paid (cash flow from operating activities)
5.72%-80.49K
-89.40%-159.91K
-34.58%-684.42K
-112.45%-455.39K
53.65%-59.23K
16.47%-85.37K
-44.09%-84.43K
-42.87%-508.57K
-318.52%-214.35K
14.97%-127.79K
Interest received (cash flow from operating activities)
--0
--0
116.47%17.41K
136.64%2.42K
22.94%5.72K
-381.17%-12.81K
305.94%22.08K
-65.48%8.04K
-226.66%-6.6K
-57.82%4.66K
Cash from discontinued investing activities
Operating cash flow
-69.88%-465.75K
121.58%337.84K
40.36%-2.06M
55.91%-564.41K
250.74%346.94K
69.82%-274.17K
-51.87%-1.57M
11.55%-3.45M
-3.14%-1.28M
53.68%-230.16K
Investing cash flow
Cash flow from continuing investing activities
52.77%793.09K
-277.45%-739.1K
52.19%-859.52K
-1,898.12%-800.9K
41.41%-381.96K
184.94%519.16K
66.19%-195.81K
37.06%-1.8M
104.38%44.54K
-0.17%-651.92K
Net PPE purchase and sale
-72.69%126.99K
---160
-98.16%-34.65K
-111.79%-34.69K
-56.56%-465.02K
8,959.94%465.06K
--0
79.37%-17.48K
2,025.14%294.2K
-999.94%-297.02K
Net intangibles purchas and sale
18.60%-720.35K
-84.32%-867.02K
-28.69%-3.07M
-10.77%-923.52K
-94.99%-795.94K
-67.99%-884.91K
24.20%-470.39K
16.37%-2.39M
23.27%-833.74K
34.56%-408.18K
Net business purchase and sale
----
----
--115.9K
----
----
----
----
--0
----
----
Net other investing changes
47.65%1.39M
-53.36%128.07K
250.38%2.13M
-92.91%41.41K
1,549.80%879K
1,286.05%939.01K
439.79%274.58K
614.66%609.05K
--584.08K
--53.28K
Cash from discontinued investing activities
Investing cash flow
52.77%793.09K
-277.45%-739.1K
52.19%-859.52K
-1,898.12%-800.9K
41.41%-381.96K
184.94%519.16K
66.19%-195.81K
37.06%-1.8M
104.38%44.54K
-0.17%-651.92K
Financing cash flow
Cash flow from continuing financing activities
-73.32%342.85K
102.51%251.25K
4.93%1.37M
66.29%-418.56K
-67.84%374.97K
-10.76%1.29M
296.55%124.06K
-75.75%1.3M
-133.22%-1.24M
7.13%1.17M
Net issuance payments of debt
236.76%409.85K
48.51%184.25K
-4.42%1.4M
83.96%782.5K
-67.84%374.97K
302.72%121.7K
296.55%124.06K
-70.81%1.47M
-89.67%425.36K
7.13%1.17M
Net common stock issuance
-105.44%-67K
--67K
----
----
--0
-25.01%1.23M
--0
----
----
--0
Proceeds from stock option exercised by employees
----
----
----
----
----
----
----
----
----
--0
Net other financing activities
----
----
-52.52%1.19M
-52.48%1.26M
--0
-810.55%-1.3M
--1.24M
1,112.50%2.52M
2,226.73%2.66M
----
Cash from discontinued financing activities
Financing cash flow
591.81%342.85K
-81.52%251.25K
-34.79%2.6M
-43.53%813.71K
-67.84%374.97K
-96.56%49.56K
2,253.80%1.36M
-25.75%3.98M
-62.44%1.44M
7.13%1.17M
Net cash flow
Beginning cash position
-43.71%384.44K
-37.37%534.45K
-59.68%853.33K
67.63%1.09M
104.97%746.1K
53.97%682.95K
-59.68%853.33K
-39.65%2.12M
20.42%647.9K
-39.07%364K
Current changes in cash
127.53%670.18K
62.66%-150.02K
74.76%-318.88K
-368.51%-551.6K
19.74%339.95K
470.18%294.54K
75.99%-401.77K
9.16%-1.26M
-86.99%205.43K
578.66%283.9K
Effect of exchange rate changes
----
--0
----
----
----
----
--231.39K
----
----
----
End cash Position
41.35%1.05M
-43.71%384.44K
-37.37%534.45K
-37.37%534.45K
67.63%1.09M
104.97%746.1K
53.97%682.95K
-59.68%853.33K
-59.68%853.33K
20.42%647.9K
Free cash from
-2.42%-1.19M
74.00%-529.34K
11.78%-5.17M
16.32%-1.52M
52.00%-449K
19.53%-1.16M
-22.58%-2.04M
14.41%-5.86M
22.37%-1.82M
18.50%-935.36K
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 with Explanatory Notes
--
--
--
--
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 -69.88%-465.75K121.58%337.84K40.36%-2.06M55.91%-564.41K250.74%346.94K69.82%-274.17K-51.87%-1.57M11.55%-3.45M-9.29%-1.28M66.03%-230.16K
Net income from continuing operations 37.60%-1.29M-89.30%-1.17M32.25%-3.89M63.58%-662.99K37.70%-540.93K-22.77%-2.07M54.94%-617.42K-68.46%-5.75M-29.88%-1.82M-45.58%-868.27K
Operating gains losses -7.32%81.31K255.80%37.43K-320.35%-85.97K691.13%199.28K-742.59%-348.96K-38.38%87.73K14.90%-24.03K16.37%39.02K---33.71K---41.42K
Depreciation and amortization 87.64%218.56K33.61%214.9K10.37%556.76K51.98%185.74K-25.49%93.7K-8.76%116.48K24.83%160.84K244.34%504.47K205.37%122.22K263.47%125.75K
Asset impairment expenditure --0--0-58.40%282.5K-77.76%93.66K78.54%200K--0-171.51%-11.16K223.54%679.12K79.22%421.14K3,110.48%112.02K
Remuneration paid in stock -48.36%53.85K-9.14%53.85K-14.88%256.11K318.35%158.19K-166.24%-65.62K5.84%104.27K-9.46%59.27K-53.29%300.86K-89.20%37.81K-37.27%99.07K
Other non cashItems -70.57%386.49K124.69%187.73K52.01%737.76K96.07%-20.62K-40.78%205.37K272.95%1.31M-348.72%-760.34K-31.66%485.35K-359.15%-524.95K4.45%346.81K
Change In working capital -7.26%254.69K477.92%1.17M-4.15%756.52K-108.76%-64.7K619.99%856.88K945.49%274.63K-227.44%-310.29K152.50%789.25K281.22%738.73K142.19%119.01K
-Change in receivables -160.76%-517.12K204.20%747.56K-377.27%-920.91K-467.56%-759.32K-383.57%-295.27K832.52%851.12K-927.22%-717.44K1,497.97%332.14K316.80%206.59K131.79%104.12K
-Change in inventory -420.57%-841.14K376.76%309.87K-325.30%-186.52K149.32%71.05K-81.30%15.98K-275.29%-161.58K-327.43%-111.96K104.37%82.79K65.05%-144.07K116.19%85.44K
-Change in prepaid assets 102.50%3.85K94.00%-5.65K6.98%140.05K402.69%371.39K-68.03%17.07K-1,206.77%-154.33K-708.19%-94.08K-40.90%130.91K168.40%73.88K-85.45%53.37K
-Change in payables and accrued expense 728.63%1.55M80.36%-80.74K1,523.09%1.65M263.22%1.12M919.76%1.19M-277.09%-246.92K-9,832.02%-411.18K-85.39%101.52K-2.27%307.71K-157.94%-144.94K
-Change in other current liabilities ------------------200.88K--------------------
-Change in other working capital 158.97%56.88K-80.32%201.59K-46.31%76.19K-297.49%-581.84K-1,384.45%-269.9K-20.72%-96.44K1,191.59%1.02M125.98%141.9K216.96%294.61K147.85%21.01K
Interest paid (cash flow from operating activities) 5.72%-80.49K-89.40%-159.91K-34.58%-684.42K-112.45%-455.39K53.65%-59.23K16.47%-85.37K-44.09%-84.43K-42.87%-508.57K-318.52%-214.35K14.97%-127.79K
Interest received (cash flow from operating activities) --0--0116.47%17.41K136.64%2.42K22.94%5.72K-381.17%-12.81K305.94%22.08K-65.48%8.04K-226.66%-6.6K-57.82%4.66K
Cash from discontinued investing activities
Operating cash flow -69.88%-465.75K121.58%337.84K40.36%-2.06M55.91%-564.41K250.74%346.94K69.82%-274.17K-51.87%-1.57M11.55%-3.45M-3.14%-1.28M53.68%-230.16K
Investing cash flow
Cash flow from continuing investing activities 52.77%793.09K-277.45%-739.1K52.19%-859.52K-1,898.12%-800.9K41.41%-381.96K184.94%519.16K66.19%-195.81K37.06%-1.8M104.38%44.54K-0.17%-651.92K
Net PPE purchase and sale -72.69%126.99K---160-98.16%-34.65K-111.79%-34.69K-56.56%-465.02K8,959.94%465.06K--079.37%-17.48K2,025.14%294.2K-999.94%-297.02K
Net intangibles purchas and sale 18.60%-720.35K-84.32%-867.02K-28.69%-3.07M-10.77%-923.52K-94.99%-795.94K-67.99%-884.91K24.20%-470.39K16.37%-2.39M23.27%-833.74K34.56%-408.18K
Net business purchase and sale ----------115.9K------------------0--------
Net other investing changes 47.65%1.39M-53.36%128.07K250.38%2.13M-92.91%41.41K1,549.80%879K1,286.05%939.01K439.79%274.58K614.66%609.05K--584.08K--53.28K
Cash from discontinued investing activities
Investing cash flow 52.77%793.09K-277.45%-739.1K52.19%-859.52K-1,898.12%-800.9K41.41%-381.96K184.94%519.16K66.19%-195.81K37.06%-1.8M104.38%44.54K-0.17%-651.92K
Financing cash flow
Cash flow from continuing financing activities -73.32%342.85K102.51%251.25K4.93%1.37M66.29%-418.56K-67.84%374.97K-10.76%1.29M296.55%124.06K-75.75%1.3M-133.22%-1.24M7.13%1.17M
Net issuance payments of debt 236.76%409.85K48.51%184.25K-4.42%1.4M83.96%782.5K-67.84%374.97K302.72%121.7K296.55%124.06K-70.81%1.47M-89.67%425.36K7.13%1.17M
Net common stock issuance -105.44%-67K--67K----------0-25.01%1.23M--0----------0
Proceeds from stock option exercised by employees --------------------------------------0
Net other financing activities ---------52.52%1.19M-52.48%1.26M--0-810.55%-1.3M--1.24M1,112.50%2.52M2,226.73%2.66M----
Cash from discontinued financing activities
Financing cash flow 591.81%342.85K-81.52%251.25K-34.79%2.6M-43.53%813.71K-67.84%374.97K-96.56%49.56K2,253.80%1.36M-25.75%3.98M-62.44%1.44M7.13%1.17M
Net cash flow
Beginning cash position -43.71%384.44K-37.37%534.45K-59.68%853.33K67.63%1.09M104.97%746.1K53.97%682.95K-59.68%853.33K-39.65%2.12M20.42%647.9K-39.07%364K
Current changes in cash 127.53%670.18K62.66%-150.02K74.76%-318.88K-368.51%-551.6K19.74%339.95K470.18%294.54K75.99%-401.77K9.16%-1.26M-86.99%205.43K578.66%283.9K
Effect of exchange rate changes ------0------------------231.39K------------
End cash Position 41.35%1.05M-43.71%384.44K-37.37%534.45K-37.37%534.45K67.63%1.09M104.97%746.1K53.97%682.95K-59.68%853.33K-59.68%853.33K20.42%647.9K
Free cash from -2.42%-1.19M74.00%-529.34K11.78%-5.17M16.32%-1.52M52.00%-449K19.53%-1.16M-22.58%-2.04M14.41%-5.86M22.37%-1.82M18.50%-935.36K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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