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CCLDO CARECLOUD INC 8.75% CUM RED PERP PFD SER B

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  • 16.907
  • -0.073-0.43%
Trading Nov 26 11:07 ET
0Market Cap0.00P/E (TTM)

CARECLOUD INC 8.75% CUM RED PERP PFD SER B 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
63.88%7.07M
-32.98%4.28M
297.46%4.07M
-26.90%15.46M
-38.16%3.74M
-38.18%4.31M
26.71%6.39M
-66.86%1.02M
58.62%21.15M
-1.24%6.05M
Net income from continuing operations
213.57%3.12M
191.38%1.67M
39.90%-241K
-996.06%-48.67M
-8,855.91%-43.69M
-360.32%-2.75M
-166.93%-1.83M
-135.18%-401K
91.54%5.43M
-85.83%499K
Operating gains losses
-113.57%-57K
-124.60%-46K
0.00%-11K
29.51%790K
-47.85%194K
4.22%420K
274.77%187K
81.03%-11K
291.03%610K
53.09%372K
Depreciation and amortization
-17.19%3.32M
9.83%3.8M
25.43%4.02M
9.21%17.04M
-1.77%6.37M
35.39%4.01M
12.31%3.46M
4.06%3.21M
-3.98%15.6M
1.36%6.48M
Deferred tax
--0
--0
--0
-790.79%-525K
-4,428.57%-606K
-50.00%17K
575.00%38K
-27.78%26K
-73.70%76K
-90.60%14K
Other non cash items
-31.65%663K
15.09%572K
-15.03%735K
127.19%596K
33.66%-1.74M
236.04%970K
-21.61%497K
71.63%865K
-29.40%-2.19M
39.52%-2.62M
Change In working capital
-212.29%-393K
-188.84%-2.07M
106.11%234K
72.55%-1.11M
117.62%43K
-80.26%350K
179.55%2.33M
-45.46%-3.83M
62.62%-4.03M
85.43%-244K
-Change in receivables
325.41%1.11M
-121.02%-548K
39.10%-472K
-14.73%1.55M
-85.85%211K
-117.20%-492K
362.01%2.61M
49.61%-775K
246.69%1.82M
119.59%1.49M
-Change in inventory
77.63%-17K
87.59%-17K
-112.93%-15K
-168.85%-84K
-64.86%13K
-80.95%-76K
-434.15%-137K
34.88%116K
217.31%122K
1,333.33%37K
-Change in payables and accrued expense
-413.39%-2.25M
-55.61%-680K
128.21%721K
50.61%-3.26M
57.92%-980K
152.26%717K
75.83%-437K
-135.79%-2.56M
36.40%-6.59M
31.64%-2.33M
-Change in other current assets
279.10%762K
-377.78%-825K
--0
10.18%682K
43.45%799K
-38.34%201K
277.84%297K
-534.02%-615K
-32.79%619K
-47.25%557K
Cash from discontinued investing activities
Operating cash flow
63.88%7.07M
-32.98%4.28M
297.46%4.07M
-26.90%15.46M
-38.16%3.74M
-38.18%4.31M
26.71%6.39M
-66.86%1.02M
58.62%21.15M
-1.24%6.05M
Investing cash flow
Cash flow from continuing investing activities
48.44%-1.67M
47.24%-1.6M
38.53%-1.87M
1.31%-11.61M
13.35%-2.29M
7.18%-3.25M
-7.35%-3.04M
-8.65%-3.04M
49.16%-11.77M
19.76%-2.64M
Capital expenditure reported
38.55%-1.34M
34.46%-1.48M
28.77%-1.57M
6.85%-8.55M
13.43%-1.92M
5.79%-2.18M
6.21%-2.25M
2.17%-2.2M
-20.21%-9.18M
6.23%-2.21M
Net PPE purchase and sale
68.67%-334K
83.84%-127K
64.31%-298K
-18.35%-3.06M
12.96%-376K
9.89%-1.07M
-83.22%-786K
-53.49%-835K
11.61%-2.59M
53.85%-432K
Cash from discontinued investing activities
Investing cash flow
48.44%-1.67M
47.24%-1.6M
38.53%-1.87M
1.31%-11.61M
13.35%-2.29M
7.18%-3.25M
-7.35%-3.04M
-8.65%-3.04M
49.16%-11.77M
19.76%-2.64M
Financing cash flow
Cash flow from continuing financing activities
-100.15%-5.17M
-2.48%-4.14M
23.11%-1.37M
-73.66%-13.29M
-239.64%-4.88M
71.47%-2.58M
-130.09%-4.04M
-422.51%-1.79M
-1,373.99%-7.65M
295.09%3.49M
Net issuance payments of debt
-422.08%-5.15M
-5,031.25%-4.11M
-169.33%-1.22M
210.87%1.11M
-127.96%-2.17M
121.52%1.6M
-108.76%-80K
178.37%1.76M
-114.42%-1M
356.82%7.77M
Net preferred stock issuance
--0
--0
--0
-86.90%1.43M
--0
-100.41%-10K
--0
-78.35%1.44M
--10.9M
--621K
Cash dividends paid
--0
--0
--0
6.62%-14.3M
31.99%-2.61M
-3.06%-3.91M
-4.41%-3.91M
1.72%-3.88M
-6.07%-15.31M
-5.65%-3.84M
Net other financing activities
93.82%-16K
37.74%-33K
86.43%-151K
31.63%-1.52M
90.63%-99K
-7.47%-259K
63.45%-53K
-41.60%-1.11M
-1.18%-2.23M
-1,551.56%-1.06M
Cash from discontinued financing activities
Financing cash flow
-100.15%-5.17M
-2.48%-4.14M
23.11%-1.37M
-73.66%-13.29M
-239.64%-4.88M
71.47%-2.58M
-130.09%-4.04M
-422.51%-1.79M
-1,373.99%-7.65M
295.09%3.49M
Net cash flow
Beginning cash position
-65.86%2.62M
-49.30%4.14M
-72.92%3.33M
18.95%12.3M
31.62%6.41M
-24.99%7.67M
-19.49%8.16M
18.95%12.3M
-50.59%10.34M
-47.74%4.87M
Current changes in cash
115.14%229K
-111.58%-1.46M
121.67%824K
-644.23%-9.44M
-149.72%-3.43M
72.82%-1.51M
-252.20%-691K
-7,213.46%-3.8M
116.78%1.73M
564.55%6.9M
Effect of exchange rate changes
-125.30%-64K
-130.10%-59K
94.93%-17K
108.44%469K
-33.52%355K
18.78%253K
152.97%196K
-120.39%-335K
188.58%225K
4,954.55%534K
End cash Position
-56.57%2.78M
-65.86%2.62M
-49.30%4.14M
-72.92%3.33M
-72.92%3.33M
31.62%6.41M
-24.99%7.67M
-19.49%8.16M
18.95%12.3M
18.95%12.3M
Free cash flow
405.15%5.4M
-20.05%2.68M
209.03%2.2M
-58.99%3.85M
-57.43%1.45M
-69.32%1.07M
51.52%3.35M
-795.17%-2.02M
238.77%9.38M
20.33%3.4M
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 63.88%7.07M-32.98%4.28M297.46%4.07M-26.90%15.46M-38.16%3.74M-38.18%4.31M26.71%6.39M-66.86%1.02M58.62%21.15M-1.24%6.05M
Net income from continuing operations 213.57%3.12M191.38%1.67M39.90%-241K-996.06%-48.67M-8,855.91%-43.69M-360.32%-2.75M-166.93%-1.83M-135.18%-401K91.54%5.43M-85.83%499K
Operating gains losses -113.57%-57K-124.60%-46K0.00%-11K29.51%790K-47.85%194K4.22%420K274.77%187K81.03%-11K291.03%610K53.09%372K
Depreciation and amortization -17.19%3.32M9.83%3.8M25.43%4.02M9.21%17.04M-1.77%6.37M35.39%4.01M12.31%3.46M4.06%3.21M-3.98%15.6M1.36%6.48M
Deferred tax --0--0--0-790.79%-525K-4,428.57%-606K-50.00%17K575.00%38K-27.78%26K-73.70%76K-90.60%14K
Other non cash items -31.65%663K15.09%572K-15.03%735K127.19%596K33.66%-1.74M236.04%970K-21.61%497K71.63%865K-29.40%-2.19M39.52%-2.62M
Change In working capital -212.29%-393K-188.84%-2.07M106.11%234K72.55%-1.11M117.62%43K-80.26%350K179.55%2.33M-45.46%-3.83M62.62%-4.03M85.43%-244K
-Change in receivables 325.41%1.11M-121.02%-548K39.10%-472K-14.73%1.55M-85.85%211K-117.20%-492K362.01%2.61M49.61%-775K246.69%1.82M119.59%1.49M
-Change in inventory 77.63%-17K87.59%-17K-112.93%-15K-168.85%-84K-64.86%13K-80.95%-76K-434.15%-137K34.88%116K217.31%122K1,333.33%37K
-Change in payables and accrued expense -413.39%-2.25M-55.61%-680K128.21%721K50.61%-3.26M57.92%-980K152.26%717K75.83%-437K-135.79%-2.56M36.40%-6.59M31.64%-2.33M
-Change in other current assets 279.10%762K-377.78%-825K--010.18%682K43.45%799K-38.34%201K277.84%297K-534.02%-615K-32.79%619K-47.25%557K
Cash from discontinued investing activities
Operating cash flow 63.88%7.07M-32.98%4.28M297.46%4.07M-26.90%15.46M-38.16%3.74M-38.18%4.31M26.71%6.39M-66.86%1.02M58.62%21.15M-1.24%6.05M
Investing cash flow
Cash flow from continuing investing activities 48.44%-1.67M47.24%-1.6M38.53%-1.87M1.31%-11.61M13.35%-2.29M7.18%-3.25M-7.35%-3.04M-8.65%-3.04M49.16%-11.77M19.76%-2.64M
Capital expenditure reported 38.55%-1.34M34.46%-1.48M28.77%-1.57M6.85%-8.55M13.43%-1.92M5.79%-2.18M6.21%-2.25M2.17%-2.2M-20.21%-9.18M6.23%-2.21M
Net PPE purchase and sale 68.67%-334K83.84%-127K64.31%-298K-18.35%-3.06M12.96%-376K9.89%-1.07M-83.22%-786K-53.49%-835K11.61%-2.59M53.85%-432K
Cash from discontinued investing activities
Investing cash flow 48.44%-1.67M47.24%-1.6M38.53%-1.87M1.31%-11.61M13.35%-2.29M7.18%-3.25M-7.35%-3.04M-8.65%-3.04M49.16%-11.77M19.76%-2.64M
Financing cash flow
Cash flow from continuing financing activities -100.15%-5.17M-2.48%-4.14M23.11%-1.37M-73.66%-13.29M-239.64%-4.88M71.47%-2.58M-130.09%-4.04M-422.51%-1.79M-1,373.99%-7.65M295.09%3.49M
Net issuance payments of debt -422.08%-5.15M-5,031.25%-4.11M-169.33%-1.22M210.87%1.11M-127.96%-2.17M121.52%1.6M-108.76%-80K178.37%1.76M-114.42%-1M356.82%7.77M
Net preferred stock issuance --0--0--0-86.90%1.43M--0-100.41%-10K--0-78.35%1.44M--10.9M--621K
Cash dividends paid --0--0--06.62%-14.3M31.99%-2.61M-3.06%-3.91M-4.41%-3.91M1.72%-3.88M-6.07%-15.31M-5.65%-3.84M
Net other financing activities 93.82%-16K37.74%-33K86.43%-151K31.63%-1.52M90.63%-99K-7.47%-259K63.45%-53K-41.60%-1.11M-1.18%-2.23M-1,551.56%-1.06M
Cash from discontinued financing activities
Financing cash flow -100.15%-5.17M-2.48%-4.14M23.11%-1.37M-73.66%-13.29M-239.64%-4.88M71.47%-2.58M-130.09%-4.04M-422.51%-1.79M-1,373.99%-7.65M295.09%3.49M
Net cash flow
Beginning cash position -65.86%2.62M-49.30%4.14M-72.92%3.33M18.95%12.3M31.62%6.41M-24.99%7.67M-19.49%8.16M18.95%12.3M-50.59%10.34M-47.74%4.87M
Current changes in cash 115.14%229K-111.58%-1.46M121.67%824K-644.23%-9.44M-149.72%-3.43M72.82%-1.51M-252.20%-691K-7,213.46%-3.8M116.78%1.73M564.55%6.9M
Effect of exchange rate changes -125.30%-64K-130.10%-59K94.93%-17K108.44%469K-33.52%355K18.78%253K152.97%196K-120.39%-335K188.58%225K4,954.55%534K
End cash Position -56.57%2.78M-65.86%2.62M-49.30%4.14M-72.92%3.33M-72.92%3.33M31.62%6.41M-24.99%7.67M-19.49%8.16M18.95%12.3M18.95%12.3M
Free cash flow 405.15%5.4M-20.05%2.68M209.03%2.2M-58.99%3.85M-57.43%1.45M-69.32%1.07M51.52%3.35M-795.17%-2.02M238.77%9.38M20.33%3.4M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

Analyst Rating

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Price Target

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