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CYTHW CYCLO THERAPEUTICS INC C/WTS 14/11/2025(TO PUR COM)

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  • 0.1288
  • +0.0118+10.09%
Close Aug 30 16:00 ET
0Market Cap0.00P/E (TTM)

CYCLO THERAPEUTICS INC C/WTS 14/11/2025(TO PUR COM) 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
-10.62%-3.85M
-41.46%-6.18M
-7.08%-16.19M
-56.36%-4.29M
-27.02%-4.04M
20.14%-3.48M
9.52%-4.37M
-0.73%-15.11M
-5.17%-2.75M
-5.11%-3.18M
Net income from continuing operations
-29.00%-5.98M
13.26%-4.34M
-29.81%-20.06M
-13.29%-5.64M
-12.35%-4.77M
-34.31%-4.64M
-80.66%-5.01M
-8.15%-15.45M
-78.36%-4.98M
-10.02%-4.25M
Operating gains losses
--0
--11.81K
----
----
----
----
----
---158.52K
--0
--0
Depreciation and amortization
-54.82%2.18K
-54.82%2.18K
-1.05%19.28K
-1.05%4.82K
-6.04%4.82K
1.65%4.82K
1.65%4.82K
15.77%19.48K
15.76%4.87K
21.92%5.13K
Other non cash items
----
--92.13K
----
----
----
----
----
----
----
----
Change In working capital
18.47%1.15M
-492.04%-2.12M
6,461.58%3.06M
-50.72%1.03M
-45.65%523.3K
191.92%967.49K
126.33%540.36K
96.08%-48.15K
479.41%2.09M
103.51%962.74K
-Change in receivables
-128.98%-12.42K
166.97%51.06K
-115.75%-67.39K
-41.02%181.38K
-680.24%-215.37K
114.69%42.83K
-120.34%-76.23K
196.36%427.85K
292.01%307.55K
121.53%37.12K
-Change in inventory
-80.88%1.5K
18.29%11.82K
-95.10%-52.78K
-685.84%-97.52K
355.49%26.89K
119.85%7.85K
56.62%9.99K
-358.35%-27.05K
-36.85%16.65K
-169.54%-10.52K
-Change in prepaid assets
129.75%201.93K
-54.37%-612.69K
74.12%-64.32K
-28.79%826.21K
16.89%185.21K
-1,497.92%-678.85K
75.44%-396.91K
79.33%-248.56K
825.37%1.16M
-40.64%158.45K
-Change in payables and accrued expense
-40.13%955.2K
-256.56%-1.57M
1,719.66%3.25M
-80.03%121.79K
-32.15%526.41K
307.31%1.6M
222.73%1M
-149.09%-200.39K
-6.96%609.81K
113.40%775.82K
-Change in other working capital
----
----
--2.04K
--154
--155
144.93%155
202.34%1.57K
----
----
----
Cash from discontinued investing activities
Operating cash flow
-10.62%-3.85M
-41.46%-6.18M
-7.08%-16.19M
-56.36%-4.29M
-27.02%-4.04M
20.14%-3.48M
9.52%-4.37M
-0.73%-15.11M
-5.17%-2.75M
-5.11%-3.18M
Investing cash flow
Cash flow from continuing investing activities
-106.34%-2.42K
-2.42K
157.52%38.17K
0
168.02%18.28K
Net PPE purchase and sale
----
----
83.96%-2.42K
---2.42K
----
----
----
32.95%-15.09K
--0
---10.49K
Net other investing changes
----
----
----
----
----
----
----
42.69%53.26K
--0
321.79%28.76K
Cash from discontinued investing activities
Investing cash flow
----
----
-106.34%-2.42K
---2.42K
----
----
----
157.52%38.17K
--0
168.02%18.28K
Financing cash flow
Cash flow from continuing financing activities
-42.00%1.97M
-101.85%-69.28K
352,373.00%23.89M
11.74M
5M
3.41M
55,107.98%3.74M
-99.96%6.78K
0
0
Net issuance payments of debt
----
----
--0
--0
--0
----
----
200.00%6.78K
--0
--0
Net common stock issuance
--0
--0
--9.74M
--509.73K
--5M
--2.9M
--1.33M
--0
--0
--0
Proceeds from stock option exercised by employees
--0
--0
--4.8M
--1.88M
--1.48K
--509.79K
--2.41M
--0
--0
--0
Net other financing activities
---25.23K
---69.28K
--9.35M
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-42.00%1.97M
-101.85%-69.28K
352,373.00%23.89M
--11.74M
--5M
--3.41M
55,107.98%3.74M
-99.96%6.78K
--0
--0
Net cash flow
Beginning cash position
227.28%3M
499.10%9.25M
-90.71%1.54M
-58.00%1.8M
-88.71%841.53K
-92.24%915.18K
-90.71%1.54M
29.32%16.61M
-49.18%4.29M
-34.98%7.45M
Current changes in cash
-2,443.74%-1.87M
-895.06%-6.25M
151.12%7.7M
371.04%7.44M
130.36%960.28K
98.31%-73.65K
86.95%-628.24K
-500.08%-15.07M
-133.61%-2.75M
-4.68%-3.16M
End cash Position
33.31%1.12M
227.28%3M
499.10%9.25M
499.10%9.25M
-58.00%1.8M
-88.71%841.53K
-92.24%915.18K
-90.71%1.54M
-90.71%1.54M
-49.18%4.29M
Free cash flow
-10.62%-3.85M
-41.46%-6.18M
-6.99%-16.19M
-56.45%-4.3M
-26.61%-4.04M
20.14%-3.48M
9.61%-4.37M
-0.68%-15.13M
-5.17%-2.75M
-5.45%-3.19M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
--
--
(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 -10.62%-3.85M-41.46%-6.18M-7.08%-16.19M-56.36%-4.29M-27.02%-4.04M20.14%-3.48M9.52%-4.37M-0.73%-15.11M-5.17%-2.75M-5.11%-3.18M
Net income from continuing operations -29.00%-5.98M13.26%-4.34M-29.81%-20.06M-13.29%-5.64M-12.35%-4.77M-34.31%-4.64M-80.66%-5.01M-8.15%-15.45M-78.36%-4.98M-10.02%-4.25M
Operating gains losses --0--11.81K-----------------------158.52K--0--0
Depreciation and amortization -54.82%2.18K-54.82%2.18K-1.05%19.28K-1.05%4.82K-6.04%4.82K1.65%4.82K1.65%4.82K15.77%19.48K15.76%4.87K21.92%5.13K
Other non cash items ------92.13K--------------------------------
Change In working capital 18.47%1.15M-492.04%-2.12M6,461.58%3.06M-50.72%1.03M-45.65%523.3K191.92%967.49K126.33%540.36K96.08%-48.15K479.41%2.09M103.51%962.74K
-Change in receivables -128.98%-12.42K166.97%51.06K-115.75%-67.39K-41.02%181.38K-680.24%-215.37K114.69%42.83K-120.34%-76.23K196.36%427.85K292.01%307.55K121.53%37.12K
-Change in inventory -80.88%1.5K18.29%11.82K-95.10%-52.78K-685.84%-97.52K355.49%26.89K119.85%7.85K56.62%9.99K-358.35%-27.05K-36.85%16.65K-169.54%-10.52K
-Change in prepaid assets 129.75%201.93K-54.37%-612.69K74.12%-64.32K-28.79%826.21K16.89%185.21K-1,497.92%-678.85K75.44%-396.91K79.33%-248.56K825.37%1.16M-40.64%158.45K
-Change in payables and accrued expense -40.13%955.2K-256.56%-1.57M1,719.66%3.25M-80.03%121.79K-32.15%526.41K307.31%1.6M222.73%1M-149.09%-200.39K-6.96%609.81K113.40%775.82K
-Change in other working capital ----------2.04K--154--155144.93%155202.34%1.57K------------
Cash from discontinued investing activities
Operating cash flow -10.62%-3.85M-41.46%-6.18M-7.08%-16.19M-56.36%-4.29M-27.02%-4.04M20.14%-3.48M9.52%-4.37M-0.73%-15.11M-5.17%-2.75M-5.11%-3.18M
Investing cash flow
Cash flow from continuing investing activities -106.34%-2.42K-2.42K157.52%38.17K0168.02%18.28K
Net PPE purchase and sale --------83.96%-2.42K---2.42K------------32.95%-15.09K--0---10.49K
Net other investing changes ----------------------------42.69%53.26K--0321.79%28.76K
Cash from discontinued investing activities
Investing cash flow ---------106.34%-2.42K---2.42K------------157.52%38.17K--0168.02%18.28K
Financing cash flow
Cash flow from continuing financing activities -42.00%1.97M-101.85%-69.28K352,373.00%23.89M11.74M5M3.41M55,107.98%3.74M-99.96%6.78K00
Net issuance payments of debt ----------0--0--0--------200.00%6.78K--0--0
Net common stock issuance --0--0--9.74M--509.73K--5M--2.9M--1.33M--0--0--0
Proceeds from stock option exercised by employees --0--0--4.8M--1.88M--1.48K--509.79K--2.41M--0--0--0
Net other financing activities ---25.23K---69.28K--9.35M----------------------------
Cash from discontinued financing activities
Financing cash flow -42.00%1.97M-101.85%-69.28K352,373.00%23.89M--11.74M--5M--3.41M55,107.98%3.74M-99.96%6.78K--0--0
Net cash flow
Beginning cash position 227.28%3M499.10%9.25M-90.71%1.54M-58.00%1.8M-88.71%841.53K-92.24%915.18K-90.71%1.54M29.32%16.61M-49.18%4.29M-34.98%7.45M
Current changes in cash -2,443.74%-1.87M-895.06%-6.25M151.12%7.7M371.04%7.44M130.36%960.28K98.31%-73.65K86.95%-628.24K-500.08%-15.07M-133.61%-2.75M-4.68%-3.16M
End cash Position 33.31%1.12M227.28%3M499.10%9.25M499.10%9.25M-58.00%1.8M-88.71%841.53K-92.24%915.18K-90.71%1.54M-90.71%1.54M-49.18%4.29M
Free cash flow -10.62%-3.85M-41.46%-6.18M-6.99%-16.19M-56.45%-4.3M-26.61%-4.04M20.14%-3.48M9.61%-4.37M-0.68%-15.13M-5.17%-2.75M-5.45%-3.19M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --------------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

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