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CELPQ CYPRESS ENVIRONMENTAL PARTNERS LP

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15min DelayClose Dec 20 09:30 ET
0Market Cap0.00P/E (TTM)

CYPRESS ENVIRONMENTAL PARTNERS LP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
(Q3)Sep 30, 2020
(Q2)Jun 30, 2020
(Q1)Mar 31, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-84.98%3.42M
-41.18%5.39M
145.35%843K
-224.27%-13.7M
147.06%10.88M
48.19%22.74M
-10.90%9.17M
-113.19%-1.86M
243.52%11.03M
4.41M
Net income from continuing operations
-232.64%-9.44M
-208.01%-3.5M
36.60%-764K
-632.02%-2.03M
-258.84%-3.15M
-119.80%-2.84M
-162.38%-1.14M
-121.99%-1.21M
-93.25%381K
---877K
Operating gains losses
44.44%-195K
97.98%-7K
188.82%135K
43.75%-144K
-144.42%-179K
-538.75%-351K
-206.46%-346K
-7,700.00%-152K
-166.67%-256K
--403K
Depreciation and amortization
-1.11%4.72M
0.68%1.19M
1.95%678K
-2.56%1.41M
-2.50%1.44M
7.21%4.77M
294.00%1.18M
-52.09%665K
4.18%1.45M
--1.48M
Deferred tax
--0
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--0
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Other non cash items
64.66%955K
69.86%248K
103.45%295K
60.00%232K
25.00%180K
180.44%580K
113.13%146K
11.54%145K
10.69%145K
--144K
Change In working capital
-72.73%5.14M
-26.40%6.28M
108.14%130K
-251.44%-13.53M
309.83%12.26M
571.43%18.86M
-0.42%8.53M
-123.53%-1.6M
317.51%8.93M
--2.99M
-Change in receivables
-85.20%4.51M
-58.23%4.99M
148.67%2.52M
-180.00%-7.85M
-36.93%4.86M
1,671.19%30.48M
-36.89%11.95M
-78.52%1.01M
368.25%9.82M
--7.7M
-Change in prepaid assets
145.60%409K
55.25%-115K
217.02%298K
153.50%84K
124.61%142K
-731.69%-897K
-1,323.81%-257K
1,442.86%94K
-228.69%-157K
---577K
-Change in payables and accrued expense
102.07%222K
121.84%827K
-1.44%-2.11M
-688.36%-5.76M
275.81%7.26M
-387.15%-10.73M
63.56%-3.79M
-199.90%-2.08M
-28.52%-730K
---4.13M
Cash from discontinued investing activities
-101.91%-99K
-116.20%-87K
82.85%5.18M
537K
Operating cash flow
-88.12%3.32M
-45.33%5.31M
-70.15%831K
-224.27%-13.7M
147.06%10.88M
53.59%27.92M
-26.04%9.71M
-80.25%2.78M
243.52%11.03M
--4.41M
Investing cash flow
Cash flow from continuing investing activities
96.50%-52K
105.10%5K
116.98%9K
76.72%-71K
100.49%5K
14.06%-1.49M
60.64%-98K
88.68%-53K
53.79%-305K
-1.03M
Net PPE purchase and sale
96.50%-52K
105.10%5K
116.98%9K
76.72%-71K
100.49%5K
14.06%-1.49M
60.64%-98K
88.68%-53K
53.79%-305K
---1.03M
Cash from discontinued investing activities
Investing cash flow
170.92%1.17M
746.11%1.25M
93.70%-8K
76.72%-71K
100.49%5K
14.43%-1.65M
57.49%-193K
72.86%-127K
53.79%-305K
---1.03M
Financing cash flow
Cash flow from continuing financing activities
58.61%-9.26M
-20.72%-1.28M
110.65%2.06M
152.93%13.35M
-200.87%-23.39M
-42.02%-22.38M
88.91%-1.06M
-189.55%-19.29M
-785.88%-25.22M
23.19M
Net issuance payments of debt
39.53%-7.82M
-12,188.89%-1.11M
100.54%102K
164.11%13.44M
-175.21%-20.26M
-963.82%-12.94M
99.85%-9K
-520.93%-18.9M
-3,019.92%-20.97M
--26.94M
Cash dividends paid
99.76%-22K
99.04%-10K
605.96%1.95M
--0
45.31%-1.97M
34.85%-9.28M
70.74%-1.04M
89.18%-386K
-19.42%-4.26M
---3.59M
Net other financing activities
-779.50%-1.42M
-3,900.00%-160K
--0
---91K
-642.04%-1.17M
45.79%-161K
95.45%-4K
--0
--0
---157K
Cash from discontinued financing activities
-33.35%-2.14M
74.55%-14K
-814.86%-1.6M
-55K
Financing cash flow
52.47%-11.4M
-16.01%-1.29M
99.68%-66K
152.93%13.35M
-200.87%-23.39M
-50.51%-23.98M
88.55%-1.11M
-212.76%-20.83M
-785.88%-25.22M
--23.19M
Net cash flow
Beginning cash position
14.11%18.54M
-37.11%6.38M
-80.15%5.62M
-85.89%6.04M
14.11%18.54M
2.01%16.25M
-23.71%10.14M
347.90%28.31M
537.04%42.81M
--16.25M
Current changes in cash
-401.44%-6.91M
-37.35%5.26M
104.16%757K
97.08%-424K
-147.06%-12.5M
625.00%2.29M
183.63%8.4M
-360.92%-18.18M
-4,781.82%-14.5M
--26.57M
Effect of exchange rate changes
-200.00%-2K
-128.57%-2K
---3K
50.00%3K
--0
-50.00%2K
133.33%7K
--0
101.96%2K
---7K
End cash Position
-37.25%11.64M
-37.25%11.64M
-37.11%6.38M
-80.15%5.62M
-85.89%6.04M
14.11%18.54M
14.11%18.54M
-23.71%10.14M
347.90%28.31M
--42.81M
Free cash flow
-87.66%3.26M
-44.72%5.31M
-68.18%878K
-228.61%-13.78M
223.79%10.85M
60.71%26.43M
-25.57%9.61M
-79.75%2.76M
322.19%10.71M
--3.35M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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Unqualified Opinion
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(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021(Q1)Mar 31, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020(Q3)Sep 30, 2020(Q2)Jun 30, 2020(Q1)Mar 31, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -84.98%3.42M-41.18%5.39M145.35%843K-224.27%-13.7M147.06%10.88M48.19%22.74M-10.90%9.17M-113.19%-1.86M243.52%11.03M4.41M
Net income from continuing operations -232.64%-9.44M-208.01%-3.5M36.60%-764K-632.02%-2.03M-258.84%-3.15M-119.80%-2.84M-162.38%-1.14M-121.99%-1.21M-93.25%381K---877K
Operating gains losses 44.44%-195K97.98%-7K188.82%135K43.75%-144K-144.42%-179K-538.75%-351K-206.46%-346K-7,700.00%-152K-166.67%-256K--403K
Depreciation and amortization -1.11%4.72M0.68%1.19M1.95%678K-2.56%1.41M-2.50%1.44M7.21%4.77M294.00%1.18M-52.09%665K4.18%1.45M--1.48M
Deferred tax --0------------------0----------------
Other non cash items 64.66%955K69.86%248K103.45%295K60.00%232K25.00%180K180.44%580K113.13%146K11.54%145K10.69%145K--144K
Change In working capital -72.73%5.14M-26.40%6.28M108.14%130K-251.44%-13.53M309.83%12.26M571.43%18.86M-0.42%8.53M-123.53%-1.6M317.51%8.93M--2.99M
-Change in receivables -85.20%4.51M-58.23%4.99M148.67%2.52M-180.00%-7.85M-36.93%4.86M1,671.19%30.48M-36.89%11.95M-78.52%1.01M368.25%9.82M--7.7M
-Change in prepaid assets 145.60%409K55.25%-115K217.02%298K153.50%84K124.61%142K-731.69%-897K-1,323.81%-257K1,442.86%94K-228.69%-157K---577K
-Change in payables and accrued expense 102.07%222K121.84%827K-1.44%-2.11M-688.36%-5.76M275.81%7.26M-387.15%-10.73M63.56%-3.79M-199.90%-2.08M-28.52%-730K---4.13M
Cash from discontinued investing activities -101.91%-99K-116.20%-87K82.85%5.18M537K
Operating cash flow -88.12%3.32M-45.33%5.31M-70.15%831K-224.27%-13.7M147.06%10.88M53.59%27.92M-26.04%9.71M-80.25%2.78M243.52%11.03M--4.41M
Investing cash flow
Cash flow from continuing investing activities 96.50%-52K105.10%5K116.98%9K76.72%-71K100.49%5K14.06%-1.49M60.64%-98K88.68%-53K53.79%-305K-1.03M
Net PPE purchase and sale 96.50%-52K105.10%5K116.98%9K76.72%-71K100.49%5K14.06%-1.49M60.64%-98K88.68%-53K53.79%-305K---1.03M
Cash from discontinued investing activities
Investing cash flow 170.92%1.17M746.11%1.25M93.70%-8K76.72%-71K100.49%5K14.43%-1.65M57.49%-193K72.86%-127K53.79%-305K---1.03M
Financing cash flow
Cash flow from continuing financing activities 58.61%-9.26M-20.72%-1.28M110.65%2.06M152.93%13.35M-200.87%-23.39M-42.02%-22.38M88.91%-1.06M-189.55%-19.29M-785.88%-25.22M23.19M
Net issuance payments of debt 39.53%-7.82M-12,188.89%-1.11M100.54%102K164.11%13.44M-175.21%-20.26M-963.82%-12.94M99.85%-9K-520.93%-18.9M-3,019.92%-20.97M--26.94M
Cash dividends paid 99.76%-22K99.04%-10K605.96%1.95M--045.31%-1.97M34.85%-9.28M70.74%-1.04M89.18%-386K-19.42%-4.26M---3.59M
Net other financing activities -779.50%-1.42M-3,900.00%-160K--0---91K-642.04%-1.17M45.79%-161K95.45%-4K--0--0---157K
Cash from discontinued financing activities -33.35%-2.14M74.55%-14K-814.86%-1.6M-55K
Financing cash flow 52.47%-11.4M-16.01%-1.29M99.68%-66K152.93%13.35M-200.87%-23.39M-50.51%-23.98M88.55%-1.11M-212.76%-20.83M-785.88%-25.22M--23.19M
Net cash flow
Beginning cash position 14.11%18.54M-37.11%6.38M-80.15%5.62M-85.89%6.04M14.11%18.54M2.01%16.25M-23.71%10.14M347.90%28.31M537.04%42.81M--16.25M
Current changes in cash -401.44%-6.91M-37.35%5.26M104.16%757K97.08%-424K-147.06%-12.5M625.00%2.29M183.63%8.4M-360.92%-18.18M-4,781.82%-14.5M--26.57M
Effect of exchange rate changes -200.00%-2K-128.57%-2K---3K50.00%3K--0-50.00%2K133.33%7K--0101.96%2K---7K
End cash Position -37.25%11.64M-37.25%11.64M-37.11%6.38M-80.15%5.62M-85.89%6.04M14.11%18.54M14.11%18.54M-23.71%10.14M347.90%28.31M--42.81M
Free cash flow -87.66%3.26M-44.72%5.31M-68.18%878K-228.61%-13.78M223.79%10.85M60.71%26.43M-25.57%9.61M-79.75%2.76M322.19%10.71M--3.35M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--------
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