US Stock MarketDetailed Quotes

CEIN CAMBER ENERGY INC

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  • 0.020
  • 0.000-0.99%
15min DelayClose Oct 16 16:00 ET
4.58MMarket Cap-33P/E (TTM)

CAMBER ENERGY 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
88.69%-224.8K
-24.98%-1.19M
-42.07%-5.34M
76.97%-380.39K
-200.58%-2.03M
6.02%-1.99M
52.81%-948.13K
-88.07%-3.76M
66.43%-1.65M
408.42%2.01M
Net income from continuing operations
-121.10%-2.82M
-1,514.36%-26.35M
-90.24%-33.02M
-191.05%-7.75M
27.47%-7.88M
-564.73%-1.28M
55.19%-1.63M
-17.36%-17.36M
-120.18%-2.66M
-19.62%-10.86M
Operating gains losses
83.52%-109K
2,942.18%22.87M
4.16%9.08M
1,265.52%2.67M
--6.32M
---661.25K
--751.92K
247.56%8.72M
98.61%-229K
----
Depreciation and amortization
-28.69%406.04K
41.09%816.68K
-18.70%2.32M
6.53%1.61M
-237.67%-437.89K
9.71%569.43K
14.40%578.85K
-60.95%2.86M
224.05%1.51M
-85.42%318.07K
Other non cash items
266.52%844.07K
938.38%883.81K
1,102.83%1.87M
1,953.10%925.61K
2,085.78%625.96K
370.58%230.3K
-33.29%85.12K
-96.40%155.22K
-110.68%-49.95K
-97.97%28.64K
Change In working capital
271.31%1.46M
139.14%286.41K
4.99%-1.3M
150.85%938.96K
-115.05%-656.05K
69.51%-849.52K
33.03%-731.68K
55.61%-1.37M
51.97%-1.85M
499.71%4.36M
-Change in receivables
-252.73%-1.21M
367.72%3.24M
-249.04%-3.48M
-92.18%-2.26M
-130.25%-801.99K
742.65%792.09K
-223.54%-1.21M
123.58%2.33M
81.16%-1.17M
241.62%2.65M
-Change in inventory
68.10%782.43K
499.35%547.12K
110.04%480.69K
85.71%-262.69K
242.08%414.94K
121.20%465.45K
70.24%-137K
-1,554.00%-4.79M
-658.51%-1.84M
---292.05K
-Change in prepaid assets
98.65%-1.86K
-74.40%-187.69K
-89.69%47.1K
-21.94%123.98K
57.15%167.78K
-134.80%-137.03K
46.90%-107.62K
684.84%456.75K
172.92%158.83K
--106.76K
-Change in payables and accrued expense
333.17%3.14M
-300.67%-1.73M
241.55%6.38M
405.30%5.69M
1,382.73%1.17M
30.55%-1.35M
124.00%864.31K
-183.78%-4.51M
-57.93%1.13M
-103.52%-91.28K
-Change in other current liabilities
33.23%-223.77K
-71.46%-587.79K
2.29%-1.3M
----
----
---335.14K
---342.82K
---1.33M
----
----
-Change in other working capital
-255.64%-1.03M
-592.07%-989.03K
-152.89%-3.42M
-186.15%-1.05M
-215.19%-2.29M
-126.90%-289.35K
-90.84%200.99K
516.86%6.47M
280.96%1.22M
64,409.30%1.98M
Cash from discontinued investing activities
Operating cash flow
88.69%-224.8K
-24.98%-1.19M
-42.07%-5.34M
76.97%-380.39K
-200.58%-2.03M
6.02%-1.99M
52.81%-948.13K
-88.07%-3.76M
66.43%-1.65M
408.42%2.01M
Investing cash flow
Cash flow from continuing investing activities
86.46%-3.61K
732.03%162.6K
-89.95%661.15K
2,277.76%639.57K
-98.68%73.98K
-101.35%-26.67K
97.31%-25.73K
183.08%6.58M
-101.26%-29.37K
155.11%5.59M
Net PPE purchase and sale
86.46%-3.61K
732.03%162.6K
-85.86%506.19K
2,277.76%639.57K
-102.23%-80.98K
-23.83%-26.67K
-755.11%-25.73K
667.25%3.58M
-117.13%-29.37K
633.55%3.63M
Net business purchase and sale
----
----
--154.96K
--0
----
----
----
--0
--0
----
Net other investing changes
----
----
----
----
----
----
----
200.00%3M
--0
--1.96M
Cash from discontinued investing activities
Investing cash flow
86.46%-3.61K
732.03%162.6K
-89.95%661.15K
2,277.76%639.57K
-98.68%73.98K
-101.35%-26.67K
97.31%-25.73K
183.08%6.58M
-101.26%-29.37K
155.11%5.59M
Financing cash flow
Cash flow from continuing financing activities
-64.70%428.74K
250.75%524.06K
177.01%2.35M
-130.28%-664.22K
137.90%2.15M
22.75%1.21M
-118.19%-347.64K
-154.94%-3.05M
49.15%-288.44K
-163.70%-5.66M
Net issuance payments of debt
-82.42%428.74K
255.63%524.06K
180.92%4.47M
-869.13%-372.54K
150.52%2.25M
78.80%2.44M
106.18%147.36K
42.19%-5.52M
99.19%-38.44K
-111.06%-4.46M
Net other financing activities
----
----
-185.75%-2.12M
-16.67%-291.68K
90.97%-108.33K
-226.67%-1.23M
-111.52%-495K
-39.70%2.47M
-106.01%-250K
---1.2M
Cash from discontinued financing activities
Financing cash flow
-64.70%428.74K
250.75%524.06K
177.01%2.35M
-130.28%-664.22K
137.90%2.15M
22.75%1.21M
-118.19%-347.64K
-154.94%-3.05M
49.15%-288.44K
-163.70%-5.66M
Net cash flow
Beginning cash position
-78.74%407.71K
-72.03%906.06K
-6.59%3.24M
-70.78%1.43M
-66.43%1.12M
-26.62%1.92M
-6.59%3.24M
-55.76%3.47M
-25.90%4.9M
-55.40%3.33M
Current changes in cash
125.06%200.33K
62.29%-498.36K
-920.74%-2.33M
79.44%-405.04K
-90.08%192.54K
-193.64%-799.29K
-25.34%-1.32M
94.77%-228.59K
37.43%-1.97M
327.08%1.94M
Effect of exchange rate changes
----
----
----
----
----
----
----
----
----
---372.13K
End cash Position
-45.64%608.03K
-78.74%407.71K
-72.03%906.06K
-72.03%906.06K
-70.78%1.43M
-66.43%1.12M
-26.62%1.92M
-6.59%3.24M
-6.59%3.24M
-25.90%4.9M
Free cash flow
88.66%-228.41K
-26.04%-1.23M
-45.28%-5.59M
70.72%-492.28K
-205.34%-2.11M
5.80%-2.01M
51.98%-973.86K
31.09%-3.85M
68.24%-1.68M
210.33%2M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
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Unqualified Opinion with Explanatory Notes
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--
--
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Unqualified Opinion with Explanatory Notes
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(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 88.69%-224.8K-24.98%-1.19M-42.07%-5.34M76.97%-380.39K-200.58%-2.03M6.02%-1.99M52.81%-948.13K-88.07%-3.76M66.43%-1.65M408.42%2.01M
Net income from continuing operations -121.10%-2.82M-1,514.36%-26.35M-90.24%-33.02M-191.05%-7.75M27.47%-7.88M-564.73%-1.28M55.19%-1.63M-17.36%-17.36M-120.18%-2.66M-19.62%-10.86M
Operating gains losses 83.52%-109K2,942.18%22.87M4.16%9.08M1,265.52%2.67M--6.32M---661.25K--751.92K247.56%8.72M98.61%-229K----
Depreciation and amortization -28.69%406.04K41.09%816.68K-18.70%2.32M6.53%1.61M-237.67%-437.89K9.71%569.43K14.40%578.85K-60.95%2.86M224.05%1.51M-85.42%318.07K
Other non cash items 266.52%844.07K938.38%883.81K1,102.83%1.87M1,953.10%925.61K2,085.78%625.96K370.58%230.3K-33.29%85.12K-96.40%155.22K-110.68%-49.95K-97.97%28.64K
Change In working capital 271.31%1.46M139.14%286.41K4.99%-1.3M150.85%938.96K-115.05%-656.05K69.51%-849.52K33.03%-731.68K55.61%-1.37M51.97%-1.85M499.71%4.36M
-Change in receivables -252.73%-1.21M367.72%3.24M-249.04%-3.48M-92.18%-2.26M-130.25%-801.99K742.65%792.09K-223.54%-1.21M123.58%2.33M81.16%-1.17M241.62%2.65M
-Change in inventory 68.10%782.43K499.35%547.12K110.04%480.69K85.71%-262.69K242.08%414.94K121.20%465.45K70.24%-137K-1,554.00%-4.79M-658.51%-1.84M---292.05K
-Change in prepaid assets 98.65%-1.86K-74.40%-187.69K-89.69%47.1K-21.94%123.98K57.15%167.78K-134.80%-137.03K46.90%-107.62K684.84%456.75K172.92%158.83K--106.76K
-Change in payables and accrued expense 333.17%3.14M-300.67%-1.73M241.55%6.38M405.30%5.69M1,382.73%1.17M30.55%-1.35M124.00%864.31K-183.78%-4.51M-57.93%1.13M-103.52%-91.28K
-Change in other current liabilities 33.23%-223.77K-71.46%-587.79K2.29%-1.3M-----------335.14K---342.82K---1.33M--------
-Change in other working capital -255.64%-1.03M-592.07%-989.03K-152.89%-3.42M-186.15%-1.05M-215.19%-2.29M-126.90%-289.35K-90.84%200.99K516.86%6.47M280.96%1.22M64,409.30%1.98M
Cash from discontinued investing activities
Operating cash flow 88.69%-224.8K-24.98%-1.19M-42.07%-5.34M76.97%-380.39K-200.58%-2.03M6.02%-1.99M52.81%-948.13K-88.07%-3.76M66.43%-1.65M408.42%2.01M
Investing cash flow
Cash flow from continuing investing activities 86.46%-3.61K732.03%162.6K-89.95%661.15K2,277.76%639.57K-98.68%73.98K-101.35%-26.67K97.31%-25.73K183.08%6.58M-101.26%-29.37K155.11%5.59M
Net PPE purchase and sale 86.46%-3.61K732.03%162.6K-85.86%506.19K2,277.76%639.57K-102.23%-80.98K-23.83%-26.67K-755.11%-25.73K667.25%3.58M-117.13%-29.37K633.55%3.63M
Net business purchase and sale ----------154.96K--0--------------0--0----
Net other investing changes ----------------------------200.00%3M--0--1.96M
Cash from discontinued investing activities
Investing cash flow 86.46%-3.61K732.03%162.6K-89.95%661.15K2,277.76%639.57K-98.68%73.98K-101.35%-26.67K97.31%-25.73K183.08%6.58M-101.26%-29.37K155.11%5.59M
Financing cash flow
Cash flow from continuing financing activities -64.70%428.74K250.75%524.06K177.01%2.35M-130.28%-664.22K137.90%2.15M22.75%1.21M-118.19%-347.64K-154.94%-3.05M49.15%-288.44K-163.70%-5.66M
Net issuance payments of debt -82.42%428.74K255.63%524.06K180.92%4.47M-869.13%-372.54K150.52%2.25M78.80%2.44M106.18%147.36K42.19%-5.52M99.19%-38.44K-111.06%-4.46M
Net other financing activities ---------185.75%-2.12M-16.67%-291.68K90.97%-108.33K-226.67%-1.23M-111.52%-495K-39.70%2.47M-106.01%-250K---1.2M
Cash from discontinued financing activities
Financing cash flow -64.70%428.74K250.75%524.06K177.01%2.35M-130.28%-664.22K137.90%2.15M22.75%1.21M-118.19%-347.64K-154.94%-3.05M49.15%-288.44K-163.70%-5.66M
Net cash flow
Beginning cash position -78.74%407.71K-72.03%906.06K-6.59%3.24M-70.78%1.43M-66.43%1.12M-26.62%1.92M-6.59%3.24M-55.76%3.47M-25.90%4.9M-55.40%3.33M
Current changes in cash 125.06%200.33K62.29%-498.36K-920.74%-2.33M79.44%-405.04K-90.08%192.54K-193.64%-799.29K-25.34%-1.32M94.77%-228.59K37.43%-1.97M327.08%1.94M
Effect of exchange rate changes ---------------------------------------372.13K
End cash Position -45.64%608.03K-78.74%407.71K-72.03%906.06K-72.03%906.06K-70.78%1.43M-66.43%1.12M-26.62%1.92M-6.59%3.24M-6.59%3.24M-25.90%4.9M
Free cash flow 88.66%-228.41K-26.04%-1.23M-45.28%-5.59M70.72%-492.28K-205.34%-2.11M5.80%-2.01M51.98%-973.86K31.09%-3.85M68.24%-1.68M210.33%2M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

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Price Target

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