US Stock MarketDetailed Quotes

CLSH CLS HOLDINGS USA INC

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  • 0.042850
  • -0.002550-5.62%
15min DelayClose Nov 29 13:00 ET
7.11MMarket Cap-857P/E (TTM)

CLS HOLDINGS USA INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Aug 31, 2024
(FY)May 31, 2024
(Q4)May 31, 2024
(Q3)Feb 29, 2024
(Q2)Nov 30, 2023
(Q1)Aug 31, 2023
(FY)May 31, 2023
(Q4)May 31, 2023
(Q3)Feb 28, 2023
(Q2)Nov 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-67.79%252.25K
451.82%808.69K
-72.13%219.84K
-151.80%-415.78K
161.57%221.38K
153.58%783.25K
92.72%-229.86K
231.38%788.72K
177.93%802.73K
51.55%-359.55K
Net income from continuing operations
-77.78%-820.86K
69.78%-4.49M
138.52%1.65M
-324.21%-4.37M
84.13%-1.3M
65.34%-461.73K
-508.28%-14.84M
-181.06%-4.28M
-3.27%-1.03M
-2,251.30%-8.21M
Operating gains losses
----
-109.01%-615.76K
-1,199.73%-3.85M
----
----
----
5,995.69%6.84M
--350.25K
---325.69K
--6.58M
Depreciation and amortization
-19.21%134.49K
-12.77%830.51K
40.83%332.38K
-30.78%165.38K
-30.79%166.27K
-29.74%166.47K
26.32%952.13K
8.08%236.02K
33.55%238.92K
34.12%240.26K
Other non cash items
-93.84%10.3K
505.20%985.43K
237.14%596.57K
-89.63%57.24K
-17.55%164.34K
209.06%167.28K
106.77%162.83K
-32.83%-434.99K
232.59%551.88K
139.24%199.34K
Change In working capital
-1.25%899.53K
-4.15%3.99M
-40.33%1.44M
-67.25%449.26K
43.79%1.19M
303.51%910.93K
461.50%4.16M
186.59%2.41M
577.85%1.37M
1,389.99%829.57K
-Change in receivables
-62.39%-531.24K
-301.51%-289.97K
-2.66%233.24K
-107.21%-21.01K
34.21%-175.07K
-170.48%-327.13K
123.58%143.9K
6.77%239.62K
747.32%291.34K
3.36%-266.12K
-Change in inventory
-79.55%-69.22K
158.08%1.04M
-68.79%417.15K
-51.32%256.13K
162.13%409.63K
95.17%-38.55K
118.48%404.67K
224.33%1.34M
618.78%526.19K
-18.02%-659.35K
-Change in prepaid assets
-57.21%10.19K
-46.40%99.64K
-20.54%33.6K
-111.16%-12.72K
-61.21%54.96K
121.24%23.81K
267.41%185.92K
140.40%42.29K
1,243.38%114.01K
178.83%141.7K
-Change in payables and accrued expense
24.87%964.59K
-17.36%979.41K
-111.48%-13.59K
-172.60%-223.44K
-59.29%443.97K
1,225.96%772.46K
25.45%1.19M
-79.70%118.37K
-129.71%-81.97K
241.74%1.09M
-Change in other current assets
15.34%103.5K
10.55%391.13K
13.97%103.41K
13.82%101.29K
10.73%96.69K
3.44%89.74K
8.89%353.8K
7.80%90.73K
7.90%89K
-0.77%87.32K
-Change in other current liabilities
-18.72%-103.19K
-15.32%-381.08K
-19.30%-103.13K
-17.86%-97.66K
-15.01%-93.37K
-8.68%-86.92K
0.86%-330.46K
27.65%-86.45K
-12.21%-82.86K
-2.87%-81.18K
-Change in other working capital
9.92%524.9K
-3.30%2.15M
14.74%767.18K
-13.48%446.66K
-11.74%456.04K
-8.01%477.52K
8.78%2.22M
-46.43%668.65K
595.15%516.25K
32.24%516.69K
Cash from discontinued investing activities
Operating cash flow
-67.79%252.25K
451.82%808.69K
-72.13%219.84K
-151.80%-415.78K
161.57%221.38K
153.58%783.25K
92.72%-229.86K
231.38%788.72K
177.93%802.73K
51.55%-359.55K
Investing cash flow
Cash flow from continuing investing activities
0
-36.82%-148.11K
-222.67%-57.46K
120.57%11.76K
-104.60%-23.57K
85.54%-78.86K
-110.91%-108.26K
98.18%-17.81K
-111.17%-57.18K
35.74%512.03K
Net PPE purchase and sale
--0
2.73%-148.11K
-431.50%-57.46K
493.58%11.76K
53.10%-23.57K
10.63%-78.86K
86.22%-152.28K
98.74%-10.81K
71.15%-2.99K
65.36%-50.24K
Net business purchase and sale
----
--0
--0
--0
----
----
52.75%-304.15K
98.91%-7K
---54.19K
--562.28K
Net other investing changes
----
----
----
----
----
----
-87.30%348.17K
--0
--0
--0
Cash from discontinued investing activities
Investing cash flow
--0
-36.82%-148.11K
-222.67%-57.46K
120.57%11.76K
-104.60%-23.57K
85.54%-78.86K
-110.91%-108.26K
98.18%-17.81K
-111.17%-57.18K
35.74%512.03K
Financing cash flow
Cash flow from continuing financing activities
439.62%2.27M
12.86%-1.06M
60.43%-261.25K
1.43%-656.78K
722.85%527.18K
-1,514.16%-668.13K
-139.82%-1.22M
-197.75%-660.31K
-127.32%-666.33K
203.04%64.07K
Net issuance payments of debt
439.62%2.27M
12.86%-1.06M
60.43%-261.25K
1.43%-656.78K
722.85%527.18K
-1,514.16%-668.13K
-139.82%-1.22M
-197.75%-660.31K
-127.32%-666.33K
203.04%64.07K
Cash from discontinued financing activities
Financing cash flow
439.62%2.27M
12.86%-1.06M
60.43%-261.25K
1.43%-656.78K
722.85%527.18K
-1,514.16%-668.13K
-139.82%-1.22M
-197.75%-660.31K
-127.32%-666.33K
203.04%64.07K
Net cash flow
Beginning cash position
-39.90%600.01K
-60.87%998.42K
-21.28%698.88K
117.62%1.76M
74.77%1.03M
-60.87%998.42K
53.24%2.55M
-74.30%887.81K
-47.29%808.59K
-69.81%592.04K
Current changes in cash
6,853.70%2.52M
74.35%-398.41K
-189.39%-98.87K
-1,439.05%-1.06M
234.79%724.99K
101.85%36.26K
-275.21%-1.55M
112.25%110.61K
-95.88%79.22K
150.71%216.55K
End cash Position
201.67%3.12M
-39.90%600.01K
-39.90%600.01K
-21.28%698.88K
117.62%1.76M
74.77%1.03M
-60.87%998.42K
-60.87%998.42K
-74.30%887.81K
-47.29%808.59K
Free cash flow
-64.19%252.25K
272.86%660.57K
-79.13%162.38K
-150.52%-404.02K
148.27%197.82K
145.44%704.39K
91.03%-382.13K
153.40%777.91K
176.87%799.74K
53.80%-409.79K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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--
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Unqualified Opinion with Explanatory Notes
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(Q1)Aug 31, 2024(FY)May 31, 2024(Q4)May 31, 2024(Q3)Feb 29, 2024(Q2)Nov 30, 2023(Q1)Aug 31, 2023(FY)May 31, 2023(Q4)May 31, 2023(Q3)Feb 28, 2023(Q2)Nov 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -67.79%252.25K451.82%808.69K-72.13%219.84K-151.80%-415.78K161.57%221.38K153.58%783.25K92.72%-229.86K231.38%788.72K177.93%802.73K51.55%-359.55K
Net income from continuing operations -77.78%-820.86K69.78%-4.49M138.52%1.65M-324.21%-4.37M84.13%-1.3M65.34%-461.73K-508.28%-14.84M-181.06%-4.28M-3.27%-1.03M-2,251.30%-8.21M
Operating gains losses -----109.01%-615.76K-1,199.73%-3.85M------------5,995.69%6.84M--350.25K---325.69K--6.58M
Depreciation and amortization -19.21%134.49K-12.77%830.51K40.83%332.38K-30.78%165.38K-30.79%166.27K-29.74%166.47K26.32%952.13K8.08%236.02K33.55%238.92K34.12%240.26K
Other non cash items -93.84%10.3K505.20%985.43K237.14%596.57K-89.63%57.24K-17.55%164.34K209.06%167.28K106.77%162.83K-32.83%-434.99K232.59%551.88K139.24%199.34K
Change In working capital -1.25%899.53K-4.15%3.99M-40.33%1.44M-67.25%449.26K43.79%1.19M303.51%910.93K461.50%4.16M186.59%2.41M577.85%1.37M1,389.99%829.57K
-Change in receivables -62.39%-531.24K-301.51%-289.97K-2.66%233.24K-107.21%-21.01K34.21%-175.07K-170.48%-327.13K123.58%143.9K6.77%239.62K747.32%291.34K3.36%-266.12K
-Change in inventory -79.55%-69.22K158.08%1.04M-68.79%417.15K-51.32%256.13K162.13%409.63K95.17%-38.55K118.48%404.67K224.33%1.34M618.78%526.19K-18.02%-659.35K
-Change in prepaid assets -57.21%10.19K-46.40%99.64K-20.54%33.6K-111.16%-12.72K-61.21%54.96K121.24%23.81K267.41%185.92K140.40%42.29K1,243.38%114.01K178.83%141.7K
-Change in payables and accrued expense 24.87%964.59K-17.36%979.41K-111.48%-13.59K-172.60%-223.44K-59.29%443.97K1,225.96%772.46K25.45%1.19M-79.70%118.37K-129.71%-81.97K241.74%1.09M
-Change in other current assets 15.34%103.5K10.55%391.13K13.97%103.41K13.82%101.29K10.73%96.69K3.44%89.74K8.89%353.8K7.80%90.73K7.90%89K-0.77%87.32K
-Change in other current liabilities -18.72%-103.19K-15.32%-381.08K-19.30%-103.13K-17.86%-97.66K-15.01%-93.37K-8.68%-86.92K0.86%-330.46K27.65%-86.45K-12.21%-82.86K-2.87%-81.18K
-Change in other working capital 9.92%524.9K-3.30%2.15M14.74%767.18K-13.48%446.66K-11.74%456.04K-8.01%477.52K8.78%2.22M-46.43%668.65K595.15%516.25K32.24%516.69K
Cash from discontinued investing activities
Operating cash flow -67.79%252.25K451.82%808.69K-72.13%219.84K-151.80%-415.78K161.57%221.38K153.58%783.25K92.72%-229.86K231.38%788.72K177.93%802.73K51.55%-359.55K
Investing cash flow
Cash flow from continuing investing activities 0-36.82%-148.11K-222.67%-57.46K120.57%11.76K-104.60%-23.57K85.54%-78.86K-110.91%-108.26K98.18%-17.81K-111.17%-57.18K35.74%512.03K
Net PPE purchase and sale --02.73%-148.11K-431.50%-57.46K493.58%11.76K53.10%-23.57K10.63%-78.86K86.22%-152.28K98.74%-10.81K71.15%-2.99K65.36%-50.24K
Net business purchase and sale ------0--0--0--------52.75%-304.15K98.91%-7K---54.19K--562.28K
Net other investing changes -------------------------87.30%348.17K--0--0--0
Cash from discontinued investing activities
Investing cash flow --0-36.82%-148.11K-222.67%-57.46K120.57%11.76K-104.60%-23.57K85.54%-78.86K-110.91%-108.26K98.18%-17.81K-111.17%-57.18K35.74%512.03K
Financing cash flow
Cash flow from continuing financing activities 439.62%2.27M12.86%-1.06M60.43%-261.25K1.43%-656.78K722.85%527.18K-1,514.16%-668.13K-139.82%-1.22M-197.75%-660.31K-127.32%-666.33K203.04%64.07K
Net issuance payments of debt 439.62%2.27M12.86%-1.06M60.43%-261.25K1.43%-656.78K722.85%527.18K-1,514.16%-668.13K-139.82%-1.22M-197.75%-660.31K-127.32%-666.33K203.04%64.07K
Cash from discontinued financing activities
Financing cash flow 439.62%2.27M12.86%-1.06M60.43%-261.25K1.43%-656.78K722.85%527.18K-1,514.16%-668.13K-139.82%-1.22M-197.75%-660.31K-127.32%-666.33K203.04%64.07K
Net cash flow
Beginning cash position -39.90%600.01K-60.87%998.42K-21.28%698.88K117.62%1.76M74.77%1.03M-60.87%998.42K53.24%2.55M-74.30%887.81K-47.29%808.59K-69.81%592.04K
Current changes in cash 6,853.70%2.52M74.35%-398.41K-189.39%-98.87K-1,439.05%-1.06M234.79%724.99K101.85%36.26K-275.21%-1.55M112.25%110.61K-95.88%79.22K150.71%216.55K
End cash Position 201.67%3.12M-39.90%600.01K-39.90%600.01K-21.28%698.88K117.62%1.76M74.77%1.03M-60.87%998.42K-60.87%998.42K-74.30%887.81K-47.29%808.59K
Free cash flow -64.19%252.25K272.86%660.57K-79.13%162.38K-150.52%-404.02K148.27%197.82K145.44%704.39K91.03%-382.13K153.40%777.91K176.87%799.74K53.80%-409.79K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion with Explanatory Notes------

Analysis

Analyst Rating

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Price Target

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