CA Stock MarketDetailed Quotes

COV Covalon Technologies Ltd

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  • 3.420
  • +0.030+0.88%
15min DelayTrading Dec 16 13:08 ET
93.70MMarket Cap-85.50P/E (TTM)

Covalon Technologies Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
(Q1)Dec 31, 2022
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
(Q3)Jun 30, 2022
(Q2)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
471.88%2.25M
52.08%-990.89K
123.34%95.04K
85.60%-603.85K
28.16%-2.07M
-175.28%-407.12K
-1,386.45%-7.99M
-171.03%-1.46M
-514.34%-4.19M
-4,688.19%-2.88M
Net income from continuing operations
388.59%1.45M
309.20%1.46M
-123.61%-851.54K
68.81%-501.77K
71.65%-698.08K
65.61%-380.82K
-2,308.76%-9.25M
-497.54%-4.08M
-324.96%-1.61M
-756.62%-2.46M
Operating gains losses
--85.02K
--0
---610.01K
----
----
----
---11.31K
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Depreciation and amortization
-9.14%246.42K
6.19%247.76K
-3.96%240.19K
44.76%271.2K
-4.78%233.32K
349.24%250.09K
47.45%1.03M
1,255.63%544.75K
-24.36%187.35K
25.18%245.05K
Asset impairment expenditure
--1.47K
--101.58K
--74.45K
--0
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----
----
----
----
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Remuneration paid in stock
39.21%150.1K
-52.95%81.46K
-25.83%115.93K
22.90%107.83K
850.49%173.15K
643.12%156.31K
29.11%211.44K
404.33%84.45K
630.55%87.74K
-71.68%18.22K
Other non cashItems
146.63%15.33K
245.67%3.14K
-13.64%25.78K
-204.75%-32.87K
-105.67%-2.16K
144.24%29.85K
-73.58%110.8K
-69.68%29.18K
-67.59%31.38K
-70.39%38.02K
Change In working capital
166.76%299.24K
-62.65%-2.89M
337.87%1.1M
84.49%-448.24K
-147.22%-1.77M
-129.66%-462.55K
92.29%-83.38K
123.00%1.97M
-67.53%-2.89M
-345.13%-717.55K
-Change in receivables
-155.50%-260.33K
-156.74%-2.22M
1,191.63%2.71M
149.43%469.08K
-1,241.55%-866.51K
-108.53%-248.06K
157.67%1.84M
-362.59%-193.73K
51.04%-948.99K
106.84%75.91K
-Change in inventory
-25.86%-1.02M
237.16%476.81K
93.19%-110.94K
-4,969.72%-811.92K
-2,649.23%-347.64K
-910.91%-1.63M
-102.93%-63.37K
-81.62%100.15K
-102.24%-16.02K
-98.18%13.64K
-Change in prepaid assets
-82.20%34.85K
-304.98%-196.78K
-122.23%-197.09K
113.09%195.83K
157.61%96K
515.78%886.45K
-1,525.98%-1.17M
435.65%705.71K
-411.58%-1.5M
-36.08%-166.65K
-Change in payables and accrued expense
809.87%1.54M
-28.36%-920.4K
-304.11%-1.24M
55.92%-217.43K
-25.81%-717.06K
161.70%607.4K
-241.73%-444.21K
743.05%1.6M
-284.13%-493.29K
-246.11%-569.96K
-Change in other working capital
103.72%3.12K
-132.99%-20.22K
24.62%-59.86K
-232.94%-83.8K
186.95%61.28K
-952.19%-79.41K
14.89%-248.21K
-543.02%-250.08K
178.56%63.03K
-1.64%-70.48K
Cash from discontinued investing activities
Operating cash flow
471.88%2.25M
52.08%-990.89K
123.34%95.04K
85.60%-603.85K
28.16%-2.07M
-175.28%-407.12K
-1,386.45%-7.99M
-171.03%-1.46M
-514.34%-4.19M
-4,688.11%-2.88M
Investing cash flow
Cash flow from continuing investing activities
75.26%-123.1K
45.41%-179.43K
78.02%-89.64K
-118.85%-497.64K
-104.82%-328.71K
-285.49%-407.82K
-202.67%-843.02K
-160.95%-349.35K
-237.51%-227.39K
-526.52%-160.49K
Net PPE purchase and sale
42.69%-88.32K
40.46%-111.45K
41.97%-74.22K
-16.91%-154.1K
-230.42%-187.18K
-20.92%-127.9K
-183.37%-498.18K
-508.71%-203.96K
-101.85%-131.8K
-126.34%-56.65K
Net intangibles purchas and sale
90.29%-33.65K
54.46%-64.5K
87.29%-18.36K
-74.68%-346.48K
-39.83%-141.64K
---144.49K
-25,836.92%-481.91K
-9,709.90%-182.27K
---198.34K
---101.3K
Net other investing changes
-138.57%-1.13K
-3,235.14%-3.48K
102.17%2.94K
-97.15%2.93K
104.36%111
-520,823.08%-135.44K
235.88%137.06K
137.43%36.88K
5,049.66%102.76K
-333.39%-2.54K
Cash from discontinued investing activities
Investing cash flow
75.26%-123.1K
45.41%-179.43K
78.02%-89.64K
-118.85%-497.64K
-104.82%-328.71K
-285.49%-407.82K
-202.67%-843.02K
-160.95%-349.35K
-237.51%-227.39K
-526.52%-160.49K
Financing cash flow
Cash flow from continuing financing activities
65.16%-205.85K
85.10%-104.78K
78.26%-150.05K
53.51%-590.84K
-280.87%-703.22K
-6,534.53%-690.19K
73.51%-2.19M
90.78%-720.19K
-145.29%-1.27M
-134.84%-184.64K
Net issuance payments of debt
-19.73%-205.85K
38.31%-104.78K
11.84%-150.05K
-116.06%-171.94K
30.58%-169.84K
-122.75%-170.19K
92.65%-585.18K
97.62%-184.57K
81.75%-79.58K
-140.18%-244.64K
Net common stock issuance
--0
--0
--0
64.84%-418.91K
---533.38K
---520K
---1.73M
---535.62K
---1.19M
--0
Proceeds from stock option exercised by employees
----
----
----
----
----
----
1,662.24%126K
--0
--0
--60K
Cash from discontinued financing activities
Financing cash flow
65.16%-205.85K
85.10%-104.78K
78.26%-150.05K
53.51%-590.84K
-280.87%-703.22K
-6,534.53%-690.19K
73.51%-2.19M
90.78%-720.19K
-145.29%-1.27M
-134.84%-184.64K
Net cash flow
Beginning cash position
-32.57%7.26M
-41.03%8.29M
-37.46%8.79M
-45.01%10.77M
-37.14%14.06M
-38.72%14.06M
554.32%22.95M
297.69%14.04M
415.97%19.58M
782.89%22.37M
Current changes in cash
213.26%1.92M
58.86%-1.28M
-7.60%-144.65K
70.26%-1.69M
-12.91%-3.1M
74.92%-134.43K
-155.24%-10.33M
-107.37%-1.36M
-2,527.25%-5.69M
-324.44%-2.75M
Effect of exchange rate changes
99.13%229.98K
223.80%242.58K
-364.20%-357.53K
-21.95%115.49K
-311.64%-195.95K
441.54%135.32K
97.97%1.45M
48.56%1.39M
403.53%147.97K
-227.12%-47.6K
End cash Position
2.36%9.41M
-32.57%7.26M
-41.03%8.29M
-34.52%9.19M
-45.01%10.77M
-37.14%14.06M
-38.72%14.06M
-38.72%14.06M
297.69%14.04M
415.97%19.58M
Free cash from
292.29%2.12M
51.31%-1.17M
100.36%2.46K
75.58%-1.1M
23.63%-2.4M
-256.20%-679.5K
-2,145.35%-9.08M
-191.35%-1.85M
-504.84%-4.52M
-3,585.48%-3.14M
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
--
--
--
(Q3)Jun 30, 2024(Q2)Mar 31, 2024(Q1)Dec 31, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023(Q1)Dec 31, 2022(FY)Sep 30, 2022(Q4)Sep 30, 2022(Q3)Jun 30, 2022(Q2)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 471.88%2.25M52.08%-990.89K123.34%95.04K85.60%-603.85K28.16%-2.07M-175.28%-407.12K-1,386.45%-7.99M-171.03%-1.46M-514.34%-4.19M-4,688.19%-2.88M
Net income from continuing operations 388.59%1.45M309.20%1.46M-123.61%-851.54K68.81%-501.77K71.65%-698.08K65.61%-380.82K-2,308.76%-9.25M-497.54%-4.08M-324.96%-1.61M-756.62%-2.46M
Operating gains losses --85.02K--0---610.01K---------------11.31K------------
Depreciation and amortization -9.14%246.42K6.19%247.76K-3.96%240.19K44.76%271.2K-4.78%233.32K349.24%250.09K47.45%1.03M1,255.63%544.75K-24.36%187.35K25.18%245.05K
Asset impairment expenditure --1.47K--101.58K--74.45K--0------------------------
Remuneration paid in stock 39.21%150.1K-52.95%81.46K-25.83%115.93K22.90%107.83K850.49%173.15K643.12%156.31K29.11%211.44K404.33%84.45K630.55%87.74K-71.68%18.22K
Other non cashItems 146.63%15.33K245.67%3.14K-13.64%25.78K-204.75%-32.87K-105.67%-2.16K144.24%29.85K-73.58%110.8K-69.68%29.18K-67.59%31.38K-70.39%38.02K
Change In working capital 166.76%299.24K-62.65%-2.89M337.87%1.1M84.49%-448.24K-147.22%-1.77M-129.66%-462.55K92.29%-83.38K123.00%1.97M-67.53%-2.89M-345.13%-717.55K
-Change in receivables -155.50%-260.33K-156.74%-2.22M1,191.63%2.71M149.43%469.08K-1,241.55%-866.51K-108.53%-248.06K157.67%1.84M-362.59%-193.73K51.04%-948.99K106.84%75.91K
-Change in inventory -25.86%-1.02M237.16%476.81K93.19%-110.94K-4,969.72%-811.92K-2,649.23%-347.64K-910.91%-1.63M-102.93%-63.37K-81.62%100.15K-102.24%-16.02K-98.18%13.64K
-Change in prepaid assets -82.20%34.85K-304.98%-196.78K-122.23%-197.09K113.09%195.83K157.61%96K515.78%886.45K-1,525.98%-1.17M435.65%705.71K-411.58%-1.5M-36.08%-166.65K
-Change in payables and accrued expense 809.87%1.54M-28.36%-920.4K-304.11%-1.24M55.92%-217.43K-25.81%-717.06K161.70%607.4K-241.73%-444.21K743.05%1.6M-284.13%-493.29K-246.11%-569.96K
-Change in other working capital 103.72%3.12K-132.99%-20.22K24.62%-59.86K-232.94%-83.8K186.95%61.28K-952.19%-79.41K14.89%-248.21K-543.02%-250.08K178.56%63.03K-1.64%-70.48K
Cash from discontinued investing activities
Operating cash flow 471.88%2.25M52.08%-990.89K123.34%95.04K85.60%-603.85K28.16%-2.07M-175.28%-407.12K-1,386.45%-7.99M-171.03%-1.46M-514.34%-4.19M-4,688.11%-2.88M
Investing cash flow
Cash flow from continuing investing activities 75.26%-123.1K45.41%-179.43K78.02%-89.64K-118.85%-497.64K-104.82%-328.71K-285.49%-407.82K-202.67%-843.02K-160.95%-349.35K-237.51%-227.39K-526.52%-160.49K
Net PPE purchase and sale 42.69%-88.32K40.46%-111.45K41.97%-74.22K-16.91%-154.1K-230.42%-187.18K-20.92%-127.9K-183.37%-498.18K-508.71%-203.96K-101.85%-131.8K-126.34%-56.65K
Net intangibles purchas and sale 90.29%-33.65K54.46%-64.5K87.29%-18.36K-74.68%-346.48K-39.83%-141.64K---144.49K-25,836.92%-481.91K-9,709.90%-182.27K---198.34K---101.3K
Net other investing changes -138.57%-1.13K-3,235.14%-3.48K102.17%2.94K-97.15%2.93K104.36%111-520,823.08%-135.44K235.88%137.06K137.43%36.88K5,049.66%102.76K-333.39%-2.54K
Cash from discontinued investing activities
Investing cash flow 75.26%-123.1K45.41%-179.43K78.02%-89.64K-118.85%-497.64K-104.82%-328.71K-285.49%-407.82K-202.67%-843.02K-160.95%-349.35K-237.51%-227.39K-526.52%-160.49K
Financing cash flow
Cash flow from continuing financing activities 65.16%-205.85K85.10%-104.78K78.26%-150.05K53.51%-590.84K-280.87%-703.22K-6,534.53%-690.19K73.51%-2.19M90.78%-720.19K-145.29%-1.27M-134.84%-184.64K
Net issuance payments of debt -19.73%-205.85K38.31%-104.78K11.84%-150.05K-116.06%-171.94K30.58%-169.84K-122.75%-170.19K92.65%-585.18K97.62%-184.57K81.75%-79.58K-140.18%-244.64K
Net common stock issuance --0--0--064.84%-418.91K---533.38K---520K---1.73M---535.62K---1.19M--0
Proceeds from stock option exercised by employees ------------------------1,662.24%126K--0--0--60K
Cash from discontinued financing activities
Financing cash flow 65.16%-205.85K85.10%-104.78K78.26%-150.05K53.51%-590.84K-280.87%-703.22K-6,534.53%-690.19K73.51%-2.19M90.78%-720.19K-145.29%-1.27M-134.84%-184.64K
Net cash flow
Beginning cash position -32.57%7.26M-41.03%8.29M-37.46%8.79M-45.01%10.77M-37.14%14.06M-38.72%14.06M554.32%22.95M297.69%14.04M415.97%19.58M782.89%22.37M
Current changes in cash 213.26%1.92M58.86%-1.28M-7.60%-144.65K70.26%-1.69M-12.91%-3.1M74.92%-134.43K-155.24%-10.33M-107.37%-1.36M-2,527.25%-5.69M-324.44%-2.75M
Effect of exchange rate changes 99.13%229.98K223.80%242.58K-364.20%-357.53K-21.95%115.49K-311.64%-195.95K441.54%135.32K97.97%1.45M48.56%1.39M403.53%147.97K-227.12%-47.6K
End cash Position 2.36%9.41M-32.57%7.26M-41.03%8.29M-34.52%9.19M-45.01%10.77M-37.14%14.06M-38.72%14.06M-38.72%14.06M297.69%14.04M415.97%19.58M
Free cash from 292.29%2.12M51.31%-1.17M100.36%2.46K75.58%-1.1M23.63%-2.4M-256.20%-679.5K-2,145.35%-9.08M-191.35%-1.85M-504.84%-4.52M-3,585.48%-3.14M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------------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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