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DBO D-Box Technologies Inc

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  • 0.125
  • +0.005+4.17%
15min DelayTrading Nov 28 14:19 ET
27.53MMarket Cap13.89P/E (TTM)

D-Box Technologies Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
157.61%4.42M
-64.96%-1.42M
1,125.49%3.13M
167.79%501K
77.51%1.77M
611.94%1.72M
-357.96%-859K
107.67%255K
47.21%-739K
35.14%996K
Net income from continuing operations
428.61%2.13M
-163.71%-316K
216.65%1.09M
643.86%620K
-289.91%-425K
154.10%402K
1,610.34%496K
49.81%-937K
-147.90%-114K
67.94%-109K
Operating gains losses
-164.31%-191K
125.71%72K
-72.70%-487K
-95.24%-410K
84.31%-94K
-44.07%297K
-6,900.00%-280K
-307.35%-282K
-1,650.00%-210K
-994.03%-599K
Depreciation and amortization
-20.40%398K
-10.09%401K
-21.65%1.74M
-60.80%325K
-17.31%473K
44.09%500K
-6.69%446K
3.49%2.23M
69.88%829K
-16.25%572K
Asset impairment expenditure
----
----
147.53%106K
----
----
----
----
---223K
----
----
Remuneration paid in stock
11.76%19K
18.75%19K
-72.37%63K
40.00%28K
-95.00%2K
-62.22%17K
-86.99%16K
18.75%228K
-58.33%20K
-9.09%40K
Other non cashItems
92.06%-15K
-101.44%-3K
-120.00%-5K
-750.00%-13K
94.39%-12K
-186.70%-189K
1,000.00%209K
108.45%25K
101.37%2K
-29.70%-214K
Change In working capital
345.59%2.07M
-3.11%-1.59M
178.13%611K
85.14%-155K
69.86%1.84M
190.82%465K
-394.23%-1.54M
78.51%-782K
48.26%-1.04M
142.19%1.09M
-Change in receivables
-119.50%-126K
-676.24%-1.04M
271.67%2.22M
----
----
154.65%646K
-58.77%181K
68.56%-1.29M
----
----
-Change in inventory
-100.94%-10K
-124.61%-172K
157.84%2.78M
137.31%797K
161.43%215K
178.11%1.07M
173.50%699K
-679.71%-4.8M
-629.01%-2.14M
33.21%-350K
-Change in prepaid assets
-113.99%-20K
152.46%149K
-288.89%-357K
-154.82%-125K
-215.19%-91K
236.19%143K
-2,084.62%-284K
322.35%189K
-46.10%228K
135.11%79K
-Change in payables and accrued expense
52.56%775K
70.69%-672K
-161.58%-1.88M
-58.72%-519K
-82.02%424K
-66.38%508K
-368.92%-2.29M
393.21%3.05M
-5.14%-327K
263.89%2.36M
-Change in other current assets
----
----
----
----
----
----
----
----
----
---1.91M
-Change in other working capital
176.51%1.45M
-4.52%148K
-203.72%-2.15M
-165.37%-589K
9.47%185K
-737.25%-1.9M
-77.95%155K
377.19%2.07M
18,120.00%901K
-62.78%169K
Cash from discontinued investing activities
Operating cash flow
192.39%4.42M
-116.34%-1.42M
1,125.49%3.13M
167.79%501K
132.63%1.77M
1,626.26%1.51M
-296.70%-655K
107.67%255K
47.21%-739K
3.12%760K
Investing cash flow
Cash flow from continuing investing activities
18.47%-256K
58.51%-100K
69.38%-388K
279.38%461K
13.53%-294K
7.65%-314K
26.97%-241K
-12.72%-1.27M
14.33%-257K
-11.48%-340K
Net PPE purchase and sale
-17.95%-184K
62.50%-57K
25.79%-538K
86.01%-34K
24.03%-196K
15.22%-156K
-280.00%-152K
-74.70%-725K
27.03%-243K
-637.14%-258K
Net intangibles purchas and sale
54.43%-72K
33.86%-84K
31.02%-458K
21.05%-75K
-19.51%-98K
9.71%-158K
59.29%-127K
30.83%-664K
3.06%-95K
73.80%-82K
Net other investing changes
--0
7.89%41K
398.36%608K
603.70%570K
--0
--0
72.73%38K
-51.39%122K
-38.17%81K
--0
Cash from discontinued investing activities
Investing cash flow
18.47%-256K
58.51%-100K
69.38%-388K
279.38%461K
13.53%-294K
7.65%-314K
26.97%-241K
-12.72%-1.27M
14.33%-257K
-11.48%-340K
Financing cash flow
Cash flow from continuing financing activities
68.24%-701K
-79.75%338K
-1,522.82%-2.93M
-159.22%-514K
-73.18%-1.88M
-496.23%-2.21M
1,345.52%1.67M
127.69%206K
91.61%868K
46.10%-1.09M
Net issuance payments of debt
68.24%-701K
-79.75%338K
-1,522.82%-2.93M
-159.22%-514K
-221.20%-1.88M
-3,971.93%-2.21M
1,345.52%1.67M
127.69%206K
91.61%868K
44.29%-585K
Cash from discontinued financing activities
Financing cash flow
68.24%-701K
-79.75%338K
-1,522.82%-2.93M
-159.22%-514K
-73.18%-1.88M
-496.23%-2.21M
1,345.52%1.67M
127.69%206K
75.71%868K
47.18%-1.09M
Net cash flow
Beginning cash position
-56.33%1.7M
-6.42%2.92M
-20.85%3.12M
-27.99%2.41M
-26.87%2.88M
1.44%3.88M
-20.85%3.12M
-56.90%3.94M
-35.39%3.34M
-42.09%3.93M
Current changes in cash
442.67%3.46M
-252.52%-1.18M
75.93%-194K
450.00%448K
39.10%-405K
-955.93%-1.01M
690.08%773K
84.47%-806K
89.39%-128K
59.00%-665K
Effect of exchange rate changes
116.67%13K
-425.00%-42K
60.00%-6K
163.92%62K
-191.67%-66K
160.00%6K
-140.00%-8K
-150.00%-15K
-246.43%-97K
--72K
End cash Position
79.67%5.17M
-56.33%1.7M
-6.42%2.92M
-6.42%2.92M
-27.99%2.41M
-26.87%2.88M
1.44%3.88M
-20.85%3.12M
-20.85%3.12M
-35.39%3.34M
Free cash from
247.70%4.16M
-66.81%-1.56M
287.74%2.13M
136.40%392K
250.95%1.47M
361.35%1.2M
-4,815.79%-934K
75.86%-1.13M
41.18%-1.08M
7.97%420K
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
--
--
--
--
Unqualified Opinion
--
--
(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 157.61%4.42M-64.96%-1.42M1,125.49%3.13M167.79%501K77.51%1.77M611.94%1.72M-357.96%-859K107.67%255K47.21%-739K35.14%996K
Net income from continuing operations 428.61%2.13M-163.71%-316K216.65%1.09M643.86%620K-289.91%-425K154.10%402K1,610.34%496K49.81%-937K-147.90%-114K67.94%-109K
Operating gains losses -164.31%-191K125.71%72K-72.70%-487K-95.24%-410K84.31%-94K-44.07%297K-6,900.00%-280K-307.35%-282K-1,650.00%-210K-994.03%-599K
Depreciation and amortization -20.40%398K-10.09%401K-21.65%1.74M-60.80%325K-17.31%473K44.09%500K-6.69%446K3.49%2.23M69.88%829K-16.25%572K
Asset impairment expenditure --------147.53%106K-------------------223K--------
Remuneration paid in stock 11.76%19K18.75%19K-72.37%63K40.00%28K-95.00%2K-62.22%17K-86.99%16K18.75%228K-58.33%20K-9.09%40K
Other non cashItems 92.06%-15K-101.44%-3K-120.00%-5K-750.00%-13K94.39%-12K-186.70%-189K1,000.00%209K108.45%25K101.37%2K-29.70%-214K
Change In working capital 345.59%2.07M-3.11%-1.59M178.13%611K85.14%-155K69.86%1.84M190.82%465K-394.23%-1.54M78.51%-782K48.26%-1.04M142.19%1.09M
-Change in receivables -119.50%-126K-676.24%-1.04M271.67%2.22M--------154.65%646K-58.77%181K68.56%-1.29M--------
-Change in inventory -100.94%-10K-124.61%-172K157.84%2.78M137.31%797K161.43%215K178.11%1.07M173.50%699K-679.71%-4.8M-629.01%-2.14M33.21%-350K
-Change in prepaid assets -113.99%-20K152.46%149K-288.89%-357K-154.82%-125K-215.19%-91K236.19%143K-2,084.62%-284K322.35%189K-46.10%228K135.11%79K
-Change in payables and accrued expense 52.56%775K70.69%-672K-161.58%-1.88M-58.72%-519K-82.02%424K-66.38%508K-368.92%-2.29M393.21%3.05M-5.14%-327K263.89%2.36M
-Change in other current assets ---------------------------------------1.91M
-Change in other working capital 176.51%1.45M-4.52%148K-203.72%-2.15M-165.37%-589K9.47%185K-737.25%-1.9M-77.95%155K377.19%2.07M18,120.00%901K-62.78%169K
Cash from discontinued investing activities
Operating cash flow 192.39%4.42M-116.34%-1.42M1,125.49%3.13M167.79%501K132.63%1.77M1,626.26%1.51M-296.70%-655K107.67%255K47.21%-739K3.12%760K
Investing cash flow
Cash flow from continuing investing activities 18.47%-256K58.51%-100K69.38%-388K279.38%461K13.53%-294K7.65%-314K26.97%-241K-12.72%-1.27M14.33%-257K-11.48%-340K
Net PPE purchase and sale -17.95%-184K62.50%-57K25.79%-538K86.01%-34K24.03%-196K15.22%-156K-280.00%-152K-74.70%-725K27.03%-243K-637.14%-258K
Net intangibles purchas and sale 54.43%-72K33.86%-84K31.02%-458K21.05%-75K-19.51%-98K9.71%-158K59.29%-127K30.83%-664K3.06%-95K73.80%-82K
Net other investing changes --07.89%41K398.36%608K603.70%570K--0--072.73%38K-51.39%122K-38.17%81K--0
Cash from discontinued investing activities
Investing cash flow 18.47%-256K58.51%-100K69.38%-388K279.38%461K13.53%-294K7.65%-314K26.97%-241K-12.72%-1.27M14.33%-257K-11.48%-340K
Financing cash flow
Cash flow from continuing financing activities 68.24%-701K-79.75%338K-1,522.82%-2.93M-159.22%-514K-73.18%-1.88M-496.23%-2.21M1,345.52%1.67M127.69%206K91.61%868K46.10%-1.09M
Net issuance payments of debt 68.24%-701K-79.75%338K-1,522.82%-2.93M-159.22%-514K-221.20%-1.88M-3,971.93%-2.21M1,345.52%1.67M127.69%206K91.61%868K44.29%-585K
Cash from discontinued financing activities
Financing cash flow 68.24%-701K-79.75%338K-1,522.82%-2.93M-159.22%-514K-73.18%-1.88M-496.23%-2.21M1,345.52%1.67M127.69%206K75.71%868K47.18%-1.09M
Net cash flow
Beginning cash position -56.33%1.7M-6.42%2.92M-20.85%3.12M-27.99%2.41M-26.87%2.88M1.44%3.88M-20.85%3.12M-56.90%3.94M-35.39%3.34M-42.09%3.93M
Current changes in cash 442.67%3.46M-252.52%-1.18M75.93%-194K450.00%448K39.10%-405K-955.93%-1.01M690.08%773K84.47%-806K89.39%-128K59.00%-665K
Effect of exchange rate changes 116.67%13K-425.00%-42K60.00%-6K163.92%62K-191.67%-66K160.00%6K-140.00%-8K-150.00%-15K-246.43%-97K--72K
End cash Position 79.67%5.17M-56.33%1.7M-6.42%2.92M-6.42%2.92M-27.99%2.41M-26.87%2.88M1.44%3.88M-20.85%3.12M-20.85%3.12M-35.39%3.34M
Free cash from 247.70%4.16M-66.81%-1.56M287.74%2.13M136.40%392K250.95%1.47M361.35%1.2M-4,815.79%-934K75.86%-1.13M41.18%-1.08M7.97%420K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------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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