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DWAY DRIVEITAWAY HLDGS INC

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  • 0.030
  • 0.0000.00%
15min DelayClose Nov 6 16:00 ET
3.40MMarket Cap-1500P/E (TTM)

DRIVEITAWAY HLDGS INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
(Q1)Dec 31, 2022
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-260.34%-114.15K
-2.11%-144.12K
46.01%-104.5K
46.22%-445.11K
62.70%-78.75K
90.31%-31.68K
5.67%-141.14K
-38.33%-193.54K
-245.17%-827.61K
-205.80%-211.1K
Net income from continuing operations
-237.15%-529.65K
-363.65%-476.22K
0.77%-715.43K
36.96%-930.14K
-189.55%-232.66K
75.54%-157.1K
121.47%180.62K
-186.43%-721.01K
-118.35%-1.48M
209.92%259.8K
Operating gains losses
-399.48%-238.38K
138.57%174.14K
-26.26%335.28K
69.34%-133.41K
---88.88K
---47.73K
---451.46K
1,982.79%454.66K
---435.19K
----
Depreciation and amortization
2.42%9.71K
-8.58%9.31K
23.76%9.47K
336.02%36.78K
149.80%9.47K
104.05%9.48K
--10.18K
--7.65K
--8.44K
--3.79K
Other non cash items
1,601.80%520.34K
343.51%126.64K
895.60%133.61K
-81.29%122.28K
150.59%49.73K
-88.42%30.58K
--28.56K
--13.42K
--653.41K
---98.3K
Change In working capital
-6.96%123.83K
-75.81%22K
260.86%132.58K
235.05%444.38K
28.22%183.59K
490.37%133.09K
2,159.41%90.96K
198.98%36.74K
313.57%132.63K
2,592.24%143.18K
-Change in receivables
-99.27%-2.19K
4.99%-2.82K
194.36%4.05K
-135.79%-5.5K
20,271.43%2.85K
-133.98%-1.1K
-130.70%-2.96K
-273.28%-4.29K
358.28%15.37K
100.14%14
-Change in prepaid assets
-91.43%1.09K
33.13%-2.8K
--0
--0
117.18%1.8K
--12.67K
---4.19K
---10.28K
---10.5K
---10.5K
-Change in payables and accrued expense
7.85%129.14K
-70.72%27.62K
159.09%131.69K
252.16%442.52K
17.19%177.62K
519.91%119.74K
1,776.49%94.34K
228.37%50.83K
230.48%125.66K
3,279.31%151.56K
-Change in other working capital
-336.01%-4.21K
--0
-749.08%-3.16K
250.59%7.37K
--1.32K
--1.78K
--3.78K
--487
--2.1K
----
Cash from discontinued investing activities
Operating cash flow
-260.34%-114.15K
-2.11%-144.12K
46.01%-104.5K
46.22%-445.11K
62.70%-78.75K
90.31%-31.68K
5.67%-141.14K
-38.33%-193.54K
-245.17%-827.61K
-205.80%-211.1K
Investing cash flow
Cash flow from continuing investing activities
-94.84K
0
0
16.72%-72.87K
0
0
0
-72.87K
-87.5K
-31.46K
Net PPE purchase and sale
---94.84K
--0
--0
57.53%-67.04K
--0
--0
--0
---67.04K
---157.86K
---31.46K
Net intangibles purchase and sale
--0
--0
--0
---5.83K
--0
--0
--0
---5.83K
--0
--0
Net business purchase and sale
----
----
----
--0
----
----
----
----
--70.36K
---1
Cash from discontinued investing activities
Investing cash flow
---94.84K
--0
--0
16.72%-72.87K
--0
--0
--0
---72.87K
---87.5K
---31.46K
Financing cash flow
Cash flow from continuing financing activities
744.63%173.57K
-14.78%121.79K
-20.60%142.47K
-59.90%414.06K
455.79%71.16K
-91.78%20.55K
-78.55%142.92K
31.74%179.43K
368.09%1.03M
-20K
Net issuance payments of debt
69,740.58%217.98K
13.21%165.76K
-5.26%188.94K
-63.62%422.45K
-29.28%76.91K
-100.13%-313
-78.02%146.42K
46.43%199.43K
674.13%1.16M
--108.75K
Net other financing activities
-384.73%-59.4K
-1,156.37%-43.97K
-132.36%-46.47K
93.49%-8.39K
---5.75K
--20.86K
---3.5K
---20K
-282.45%-128.75K
----
Cash from discontinued financing activities
Financing cash flow
744.63%173.57K
-14.78%121.79K
-20.60%142.47K
-59.90%414.06K
455.79%71.16K
-91.78%20.55K
-78.55%142.92K
31.74%179.43K
368.09%1.03M
---20K
Net cash flow
Beginning cash position
-7.33%38.84K
52.42%61.17K
-81.76%23.19K
1,200.48%127.11K
-92.10%30.78K
-92.93%41.91K
561.56%40.13K
1,200.48%127.11K
-66.27%9.77K
394.47%389.66K
Current changes in cash
-218.25%-35.42K
-1,353.79%-22.33K
143.66%37.98K
-188.57%-103.92K
97.11%-7.59K
94.53%-11.13K
-99.70%1.78K
-2,245.71%-86.98K
711.09%117.34K
-280.35%-262.56K
End cash Position
-88.88%3.42K
-7.33%38.84K
52.42%61.17K
-81.76%23.19K
-81.76%23.19K
-92.10%30.78K
-92.93%41.91K
561.56%40.13K
1,200.48%127.11K
1,200.48%127.11K
Free cash flow
-559.72%-208.99K
-2.11%-144.12K
60.78%-104.5K
47.44%-517.98K
67.53%-78.75K
93.01%-31.68K
5.67%-141.14K
-90.42%-266.41K
-311.01%-985.48K
-251.37%-242.55K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Jun 30, 2024(Q2)Mar 31, 2024(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023(Q1)Dec 31, 2022(FY)Sep 30, 2022(Q4)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -260.34%-114.15K-2.11%-144.12K46.01%-104.5K46.22%-445.11K62.70%-78.75K90.31%-31.68K5.67%-141.14K-38.33%-193.54K-245.17%-827.61K-205.80%-211.1K
Net income from continuing operations -237.15%-529.65K-363.65%-476.22K0.77%-715.43K36.96%-930.14K-189.55%-232.66K75.54%-157.1K121.47%180.62K-186.43%-721.01K-118.35%-1.48M209.92%259.8K
Operating gains losses -399.48%-238.38K138.57%174.14K-26.26%335.28K69.34%-133.41K---88.88K---47.73K---451.46K1,982.79%454.66K---435.19K----
Depreciation and amortization 2.42%9.71K-8.58%9.31K23.76%9.47K336.02%36.78K149.80%9.47K104.05%9.48K--10.18K--7.65K--8.44K--3.79K
Other non cash items 1,601.80%520.34K343.51%126.64K895.60%133.61K-81.29%122.28K150.59%49.73K-88.42%30.58K--28.56K--13.42K--653.41K---98.3K
Change In working capital -6.96%123.83K-75.81%22K260.86%132.58K235.05%444.38K28.22%183.59K490.37%133.09K2,159.41%90.96K198.98%36.74K313.57%132.63K2,592.24%143.18K
-Change in receivables -99.27%-2.19K4.99%-2.82K194.36%4.05K-135.79%-5.5K20,271.43%2.85K-133.98%-1.1K-130.70%-2.96K-273.28%-4.29K358.28%15.37K100.14%14
-Change in prepaid assets -91.43%1.09K33.13%-2.8K--0--0117.18%1.8K--12.67K---4.19K---10.28K---10.5K---10.5K
-Change in payables and accrued expense 7.85%129.14K-70.72%27.62K159.09%131.69K252.16%442.52K17.19%177.62K519.91%119.74K1,776.49%94.34K228.37%50.83K230.48%125.66K3,279.31%151.56K
-Change in other working capital -336.01%-4.21K--0-749.08%-3.16K250.59%7.37K--1.32K--1.78K--3.78K--487--2.1K----
Cash from discontinued investing activities
Operating cash flow -260.34%-114.15K-2.11%-144.12K46.01%-104.5K46.22%-445.11K62.70%-78.75K90.31%-31.68K5.67%-141.14K-38.33%-193.54K-245.17%-827.61K-205.80%-211.1K
Investing cash flow
Cash flow from continuing investing activities -94.84K0016.72%-72.87K000-72.87K-87.5K-31.46K
Net PPE purchase and sale ---94.84K--0--057.53%-67.04K--0--0--0---67.04K---157.86K---31.46K
Net intangibles purchase and sale --0--0--0---5.83K--0--0--0---5.83K--0--0
Net business purchase and sale --------------0------------------70.36K---1
Cash from discontinued investing activities
Investing cash flow ---94.84K--0--016.72%-72.87K--0--0--0---72.87K---87.5K---31.46K
Financing cash flow
Cash flow from continuing financing activities 744.63%173.57K-14.78%121.79K-20.60%142.47K-59.90%414.06K455.79%71.16K-91.78%20.55K-78.55%142.92K31.74%179.43K368.09%1.03M-20K
Net issuance payments of debt 69,740.58%217.98K13.21%165.76K-5.26%188.94K-63.62%422.45K-29.28%76.91K-100.13%-313-78.02%146.42K46.43%199.43K674.13%1.16M--108.75K
Net other financing activities -384.73%-59.4K-1,156.37%-43.97K-132.36%-46.47K93.49%-8.39K---5.75K--20.86K---3.5K---20K-282.45%-128.75K----
Cash from discontinued financing activities
Financing cash flow 744.63%173.57K-14.78%121.79K-20.60%142.47K-59.90%414.06K455.79%71.16K-91.78%20.55K-78.55%142.92K31.74%179.43K368.09%1.03M---20K
Net cash flow
Beginning cash position -7.33%38.84K52.42%61.17K-81.76%23.19K1,200.48%127.11K-92.10%30.78K-92.93%41.91K561.56%40.13K1,200.48%127.11K-66.27%9.77K394.47%389.66K
Current changes in cash -218.25%-35.42K-1,353.79%-22.33K143.66%37.98K-188.57%-103.92K97.11%-7.59K94.53%-11.13K-99.70%1.78K-2,245.71%-86.98K711.09%117.34K-280.35%-262.56K
End cash Position -88.88%3.42K-7.33%38.84K52.42%61.17K-81.76%23.19K-81.76%23.19K-92.10%30.78K-92.93%41.91K561.56%40.13K1,200.48%127.11K1,200.48%127.11K
Free cash flow -559.72%-208.99K-2.11%-144.12K60.78%-104.5K47.44%-517.98K67.53%-78.75K93.01%-31.68K5.67%-141.14K-90.42%-266.41K-311.01%-985.48K-251.37%-242.55K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

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