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CPIX Cumberland Pharmaceuticals

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  • 1.370
  • -0.010-0.72%
Close Aug 26 16:00 ET
  • 1.370
  • 0.0000.00%
Post 19:38 ET
19.31MMarket Cap-1902P/E (TTM)

Cumberland Pharmaceuticals 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
-116.34%-855.66K
-50.66%-2.14M
-27.91%6.09M
-71.41%1.04M
-53.08%1.24M
124.64%5.24M
-842.34%-1.42M
94.41%8.45M
149.80%3.64M
540.11%2.64M
Net income from continuing operations
-227.89%-1.1M
-1,204.25%-1.9M
-12.05%-6.33M
-156.21%-6.3M
-151.22%-1.06M
163.18%862.15K
112.28%172.29K
-56.82%-5.65M
36.67%-2.46M
61.05%-423.23K
Operating gains losses
----
----
--20.26K
----
----
----
----
----
----
----
Depreciation and amortization
-4.84%1.42M
0.56%1.44M
8.30%5.77M
304.27%2.07M
-49.65%777.74K
-7.49%1.5M
-13.66%1.43M
15.67%5.33M
-52.51%511.48K
43.86%1.54M
Other non cash items
-111.38%-179.37K
83.38%-355.84K
19.06%-1.71M
67.96%-373.41K
11.39%-771.65K
334.80%1.58M
-459.95%-2.14M
37.69%-2.11M
6.66%-1.17M
-13.36%-870.82K
Change In working capital
-189.05%-1.07M
-44.00%-1.39M
-55.61%4.63M
-66.95%2.19M
0.65%2.21M
-56.71%1.2M
16.36%-967.33K
27.63%10.44M
25.30%6.62M
10,729.19%2.2M
-Change in receivables
-271.63%-795.18K
-321.42%-1.07M
155.68%3.4M
21.54%2.51M
97.95%-54.56K
-79.23%463.31K
106.21%481.61K
-211.19%-6.12M
-30.41%2.07M
-277.93%-2.66M
-Change in inventory
1,073.11%1.07M
152.69%170.47K
-102.54%-23.14K
-3.20%-441.5K
140.39%650.47K
-86.51%91.45K
-114.24%-323.56K
-81.08%911.08K
-118.92%-427.8K
-756.09%-1.61M
-Change in payables and accrued expense
-185.82%-1.28M
41.59%-645.54K
-74.38%3.72M
-68.37%1.82M
-63.19%1.52M
655.79%1.49M
-124.77%-1.11M
2,018.72%14.54M
172.09%5.76M
2,957.92%4.12M
-Change in other current assets
-48.47%219.07K
-46.40%205.62K
-90.47%65.68K
113.77%505K
-139.89%-1.25M
-56.94%425.09K
59.93%383.61K
2,037.87%689.26K
-120.46%-3.67M
311.43%3.13M
-Change in other current liabilities
77.43%-286.56K
85.86%-57.1K
-704.49%-2.54M
-176.40%-2.21M
271.65%1.35M
3.57%-1.27M
-8.76%-403.74K
131.23%419.66K
822.73%2.89M
-87.97%-784.31K
Cash from discontinued investing activities
Operating cash flow
-116.34%-855.66K
-50.66%-2.14M
-27.91%6.09M
-71.41%1.04M
-53.08%1.24M
124.64%5.24M
-842.34%-1.42M
33.28%8.45M
85.64%3.64M
2,683.48%2.64M
Investing cash flow
Cash flow from continuing investing activities
51.65%-46.8K
66.65%-58.19K
99.23%-105.7K
140.68%260.64K
-113.96%-95.07K
43.91%-96.81K
98.71%-174.45K
-2,624.58%-13.67M
-2,291.39%-640.77K
728.95%680.81K
Net PPE purchase and sale
90.06%-7.18K
61.20%-41.62K
-175.35%-281.27K
-131.70%-48.67K
41.88%-53.14K
47.40%-72.19K
-297.47%-107.26K
1.34%-102.15K
1,797.00%153.53K
-52.51%-91.44K
Net intangibles purchase and sale
-60.98%-39.63K
75.35%-16.57K
91.29%-171.78K
97.88%-38.04K
67.01%-41.93K
30.34%-24.62K
-350.60%-67.19K
-685.74%-1.97M
-2,451.73%-1.79M
-163.23%-127.11K
Net business purchase and sale
----
----
--0
--0
----
----
----
---13.5M
--0
--0
Net other investing changes
----
----
-81.71%347.36K
----
----
----
----
3,513.07%1.9M
295.93%1M
----
Cash from discontinued investing activities
Investing cash flow
51.65%-46.8K
66.65%-58.19K
99.23%-105.7K
140.68%260.64K
-113.96%-95.07K
43.91%-96.81K
98.71%-174.45K
-2,624.58%-13.67M
-2,291.39%-640.77K
728.95%680.81K
Financing cash flow
Cash flow from continuing financing activities
90.55%-309.58K
236.12%2.42M
-260.10%-7.42M
46.52%-1.49M
55.67%-882.6K
-171.12%-3.28M
-145.41%-1.78M
41.98%-2.06M
-278.19%-2.78M
-619.86%-1.99M
Net issuance payments of debt
100.25%7.45K
2,683.90%3.3M
-384.65%-3.42M
90.73%-138.98K
82.69%-225K
-192.42%-2.92M
-102.55%-127.71K
--1.2M
---1.5M
-230.00%-1.3M
Net common stock issuance
17.54%-134.25K
-32.33%-247.61K
29.68%-740.53K
0.36%-188.97K
-168.56%-201.65K
21.80%-162.79K
67.75%-187.12K
24.07%-1.05M
47.49%-189.66K
69.72%-75.09K
Net other financing activities
3.13%-182.78K
56.93%-630.7K
-47.96%-3.27M
-6.23%-1.16M
25.99%-455.94K
---188.68K
-191.98%-1.46M
-1.94%-2.21M
-191.67%-1.09M
-66.96%-616.07K
Cash from discontinued financing activities
Financing cash flow
90.55%-309.58K
236.12%2.42M
-260.10%-7.42M
46.52%-1.49M
55.67%-882.6K
-171.12%-3.28M
-145.41%-1.78M
41.98%-2.06M
-278.19%-2.78M
-619.86%-1.99M
Net cash flow
Beginning cash position
13.20%18.55M
-7.27%18.32M
-26.93%19.76M
-5.29%18.51M
0.18%18.25M
-5.10%16.39M
-26.93%19.76M
9.24%27.04M
-24.38%19.54M
-29.04%18.22M
Current changes in cash
-165.06%-1.21M
106.73%226.86K
80.28%-1.44M
-186.10%-186.34K
-80.46%258.88K
96.14%1.86M
65.50%-3.37M
-418.44%-7.28M
-81.93%216.43K
666.90%1.32M
End cash Position
-5.00%17.34M
13.20%18.55M
-7.27%18.32M
-7.27%18.32M
-5.29%18.51M
0.18%18.25M
-5.10%16.39M
-26.93%19.76M
-26.93%19.76M
-24.38%19.54M
Free cash flow
-117.56%-902.46K
-37.81%-2.19M
-11.58%5.64M
-52.26%953.4K
-52.77%1.14M
138.12%5.14M
-727.80%-1.59M
6.54%6.38M
6.22%2M
1,249.47%2.42M
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
--
--
--
--
--
--
--
(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 -116.34%-855.66K-50.66%-2.14M-27.91%6.09M-71.41%1.04M-53.08%1.24M124.64%5.24M-842.34%-1.42M94.41%8.45M149.80%3.64M540.11%2.64M
Net income from continuing operations -227.89%-1.1M-1,204.25%-1.9M-12.05%-6.33M-156.21%-6.3M-151.22%-1.06M163.18%862.15K112.28%172.29K-56.82%-5.65M36.67%-2.46M61.05%-423.23K
Operating gains losses ----------20.26K----------------------------
Depreciation and amortization -4.84%1.42M0.56%1.44M8.30%5.77M304.27%2.07M-49.65%777.74K-7.49%1.5M-13.66%1.43M15.67%5.33M-52.51%511.48K43.86%1.54M
Other non cash items -111.38%-179.37K83.38%-355.84K19.06%-1.71M67.96%-373.41K11.39%-771.65K334.80%1.58M-459.95%-2.14M37.69%-2.11M6.66%-1.17M-13.36%-870.82K
Change In working capital -189.05%-1.07M-44.00%-1.39M-55.61%4.63M-66.95%2.19M0.65%2.21M-56.71%1.2M16.36%-967.33K27.63%10.44M25.30%6.62M10,729.19%2.2M
-Change in receivables -271.63%-795.18K-321.42%-1.07M155.68%3.4M21.54%2.51M97.95%-54.56K-79.23%463.31K106.21%481.61K-211.19%-6.12M-30.41%2.07M-277.93%-2.66M
-Change in inventory 1,073.11%1.07M152.69%170.47K-102.54%-23.14K-3.20%-441.5K140.39%650.47K-86.51%91.45K-114.24%-323.56K-81.08%911.08K-118.92%-427.8K-756.09%-1.61M
-Change in payables and accrued expense -185.82%-1.28M41.59%-645.54K-74.38%3.72M-68.37%1.82M-63.19%1.52M655.79%1.49M-124.77%-1.11M2,018.72%14.54M172.09%5.76M2,957.92%4.12M
-Change in other current assets -48.47%219.07K-46.40%205.62K-90.47%65.68K113.77%505K-139.89%-1.25M-56.94%425.09K59.93%383.61K2,037.87%689.26K-120.46%-3.67M311.43%3.13M
-Change in other current liabilities 77.43%-286.56K85.86%-57.1K-704.49%-2.54M-176.40%-2.21M271.65%1.35M3.57%-1.27M-8.76%-403.74K131.23%419.66K822.73%2.89M-87.97%-784.31K
Cash from discontinued investing activities
Operating cash flow -116.34%-855.66K-50.66%-2.14M-27.91%6.09M-71.41%1.04M-53.08%1.24M124.64%5.24M-842.34%-1.42M33.28%8.45M85.64%3.64M2,683.48%2.64M
Investing cash flow
Cash flow from continuing investing activities 51.65%-46.8K66.65%-58.19K99.23%-105.7K140.68%260.64K-113.96%-95.07K43.91%-96.81K98.71%-174.45K-2,624.58%-13.67M-2,291.39%-640.77K728.95%680.81K
Net PPE purchase and sale 90.06%-7.18K61.20%-41.62K-175.35%-281.27K-131.70%-48.67K41.88%-53.14K47.40%-72.19K-297.47%-107.26K1.34%-102.15K1,797.00%153.53K-52.51%-91.44K
Net intangibles purchase and sale -60.98%-39.63K75.35%-16.57K91.29%-171.78K97.88%-38.04K67.01%-41.93K30.34%-24.62K-350.60%-67.19K-685.74%-1.97M-2,451.73%-1.79M-163.23%-127.11K
Net business purchase and sale ----------0--0---------------13.5M--0--0
Net other investing changes ---------81.71%347.36K----------------3,513.07%1.9M295.93%1M----
Cash from discontinued investing activities
Investing cash flow 51.65%-46.8K66.65%-58.19K99.23%-105.7K140.68%260.64K-113.96%-95.07K43.91%-96.81K98.71%-174.45K-2,624.58%-13.67M-2,291.39%-640.77K728.95%680.81K
Financing cash flow
Cash flow from continuing financing activities 90.55%-309.58K236.12%2.42M-260.10%-7.42M46.52%-1.49M55.67%-882.6K-171.12%-3.28M-145.41%-1.78M41.98%-2.06M-278.19%-2.78M-619.86%-1.99M
Net issuance payments of debt 100.25%7.45K2,683.90%3.3M-384.65%-3.42M90.73%-138.98K82.69%-225K-192.42%-2.92M-102.55%-127.71K--1.2M---1.5M-230.00%-1.3M
Net common stock issuance 17.54%-134.25K-32.33%-247.61K29.68%-740.53K0.36%-188.97K-168.56%-201.65K21.80%-162.79K67.75%-187.12K24.07%-1.05M47.49%-189.66K69.72%-75.09K
Net other financing activities 3.13%-182.78K56.93%-630.7K-47.96%-3.27M-6.23%-1.16M25.99%-455.94K---188.68K-191.98%-1.46M-1.94%-2.21M-191.67%-1.09M-66.96%-616.07K
Cash from discontinued financing activities
Financing cash flow 90.55%-309.58K236.12%2.42M-260.10%-7.42M46.52%-1.49M55.67%-882.6K-171.12%-3.28M-145.41%-1.78M41.98%-2.06M-278.19%-2.78M-619.86%-1.99M
Net cash flow
Beginning cash position 13.20%18.55M-7.27%18.32M-26.93%19.76M-5.29%18.51M0.18%18.25M-5.10%16.39M-26.93%19.76M9.24%27.04M-24.38%19.54M-29.04%18.22M
Current changes in cash -165.06%-1.21M106.73%226.86K80.28%-1.44M-186.10%-186.34K-80.46%258.88K96.14%1.86M65.50%-3.37M-418.44%-7.28M-81.93%216.43K666.90%1.32M
End cash Position -5.00%17.34M13.20%18.55M-7.27%18.32M-7.27%18.32M-5.29%18.51M0.18%18.25M-5.10%16.39M-26.93%19.76M-26.93%19.76M-24.38%19.54M
Free cash flow -117.56%-902.46K-37.81%-2.19M-11.58%5.64M-52.26%953.4K-52.77%1.14M138.12%5.14M-727.80%-1.59M6.54%6.38M6.22%2M1,249.47%2.42M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

Analysis

Analyst Rating

No Data

Price Target

No Data

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