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EPSN Epsilon Energy

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  • 5.290
  • -0.090-1.67%
Trading Aug 19 09:54 ET
116.18MMarket Cap21.16P/E (TTM)

Epsilon Energy 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
105.22%5.38M
-51.29%3.69M
-52.14%18.19M
-55.40%3.83M
-69.56%4.16M
-67.45%2.62M
-1.63%7.58M
89.97%38.01M
32.56%8.59M
148.55%13.65M
Net income from continuing operations
89.43%815.66K
-57.31%1.51M
-80.36%6.95M
-72.26%2.6M
-95.95%388.78K
-95.93%430.59K
-39.20%3.53M
204.06%35.35M
17.25%9.36M
588.05%9.61M
Operating gains losses
-87.74%94.89K
109.43%100.73K
-267.08%-1.68M
-2.68%-1.4M
-98.77%11.47K
177.51%774.03K
-209.96%-1.07M
-111.45%-457.72K
43.76%-1.36M
-81.61%929.64K
Depreciation and amortization
26.78%2.05M
34.26%2.38M
19.36%7.69M
88.65%2.9M
-18.41%1.39M
-10.42%1.62M
27.63%1.77M
-2.84%6.44M
6.09%1.54M
-7.63%1.71M
Deferred tax
-113.09%-31.74K
-89.90%-22.99K
31.55%936.55K
-192.43%-251.51K
694.59%957.73K
-18.27%242.44K
-153.37%-12.11K
460.64%711.95K
-40.09%272.1K
113.66%120.53K
Other non cash items
-88.65%105.17K
-25.56%270.45K
241.77%1.91M
-390.15%-495.75K
5,292.54%1.11M
545.69%926.23K
128.26%363.3K
68.32%-1.34M
109.74%170.86K
99.13%-21.41K
Change In working capital
231.90%2.04M
-130.77%-865.65K
137.05%1.38M
116.27%256.03K
-118.04%-146K
57.22%-1.55M
328.04%2.81M
-442.70%-3.72M
-496.45%-1.57M
244.98%809.3K
-Change in receivables
-74.00%117.07K
-60.20%953.71K
145.53%1.19M
-170.05%-2.01M
351.61%348.8K
113.00%450.24K
228.04%2.4M
-283.21%-2.6M
-0.37%2.87M
96.49%-138.63K
-Change in prepaid assets
--388.17K
---68.4K
--187.79K
--1M
-147.72%-814.69K
--0
--0
--0
--0
---328.87K
-Change in payables and accrued expense
158.19%1.33M
-794.20%-1.9M
88.43%-122.2K
123.30%1.07M
-45.18%812.69K
-509.04%-2.28M
-88.73%273.33K
-160.53%-1.06M
-82.91%-4.59M
-64.50%1.48M
-Change in other working capital
-26.44%207.54K
1.97%146.48K
316.47%126.35K
31.22%193.36K
---492.8K
--282.14K
--143.65K
---58.37K
--147.35K
----
Cash from discontinued investing activities
Operating cash flow
105.22%5.38M
-51.29%3.69M
-52.14%18.19M
-55.40%3.83M
-69.56%4.16M
-67.45%2.62M
-1.63%7.58M
89.97%38.01M
32.56%8.59M
148.55%13.65M
Investing cash flow
Cash flow from continuing investing activities
124.65%2.24M
61.89%-11.78M
-387.73%-38.38M
41.61%-1.27M
503.00%2.88M
-328.09%-9.08M
-980.81%-30.92M
-77.33%-7.87M
-254.39%-2.17M
66.11%-715.82K
Net PPE purchase and sale
28.22%-9.16M
-2,500.57%-20.34M
-136.77%-18.63M
-22.77%-2.67M
-238.99%-2.43M
-501.51%-12.76M
72.65%-782.33K
-77.33%-7.87M
-254.39%-2.17M
66.11%-715.82K
Net investment purchase and sale
235.01%12.32M
122.39%6.75M
---17.94M
--321.02K
--8.2M
--3.68M
---30.14M
--0
--0
--0
Net other investing changes
---926.83K
--1.81M
---1.81M
--1.08M
----
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----
----
----
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Cash from discontinued investing activities
Investing cash flow
124.65%2.24M
61.89%-11.78M
-387.73%-38.38M
41.61%-1.27M
503.00%2.88M
-328.09%-9.08M
-980.81%-30.92M
-77.33%-7.87M
-254.39%-2.17M
66.11%-715.82K
Financing cash flow
Cash flow from continuing financing activities
57.70%-1.37M
7.40%-2.57M
-3.38%-11.73M
-16.77%-1.68M
-12.14%-4.03M
35.69%-3.24M
-118.25%-2.78M
-385.52%-11.35M
-3,742.67%-1.44M
-173.10%-3.59M
Net common stock issuance
--0
11.97%-1.2M
2.88%-6.06M
---360.33K
-15.89%-2.64M
57.35%-1.69M
---1.37M
-157.32%-6.23M
--0
-73.17%-2.28M
Cash dividends paid
3.12%-1.37M
2.98%-1.37M
4.46%-5.6M
3.90%-1.38M
4.42%-1.39M
4.74%-1.42M
4.76%-1.41M
---5.86M
---1.44M
---1.45M
Proceeds from stock option exercised by employees
----
----
-91.58%62.88K
--62.88K
----
----
----
775.47%747.11K
--0
--138.33K
Net other financing activities
----
----
---140K
--0
--0
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
57.70%-1.37M
7.40%-2.57M
-3.38%-11.73M
-16.77%-1.68M
-12.14%-4.03M
35.69%-3.24M
-118.25%-2.78M
-385.52%-11.35M
-3,742.67%-1.44M
-173.10%-3.59M
Net cash flow
Beginning cash position
-83.70%3.21M
-69.71%13.87M
69.25%45.81M
-68.17%12.99M
-68.32%9.98M
-35.76%19.68M
69.25%45.81M
95.61%27.07M
92.93%40.82M
65.04%31.52M
Current changes in cash
164.44%6.25M
59.17%-10.67M
-269.97%-31.93M
-82.28%882.13K
-67.78%3.01M
-1,184.36%-9.7M
-831.97%-26.12M
41.98%18.79M
-15.71%4.98M
352.46%9.34M
Effect of exchange rate changes
1,868.91%22.23K
114.00%364
91.21%-3.87K
-136.87%-1.56K
97.55%-846
105.90%1.13K
-148.13%-2.6K
-2,057.39%-44.05K
637.32%4.22K
-230,060.00%-34.52K
End cash Position
-5.02%9.48M
-83.70%3.21M
-69.71%13.87M
-69.71%13.87M
-68.17%12.99M
-68.32%9.98M
-35.76%19.68M
69.25%45.81M
69.25%45.81M
92.93%40.82M
Free cash flow
62.81%-3.77M
-345.06%-16.65M
-101.53%-457.78K
-81.86%1.16M
-86.64%1.73M
-276.72%-10.15M
40.44%6.8M
98.01%29.94M
18.48%6.42M
282.67%12.94M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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(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 105.22%5.38M-51.29%3.69M-52.14%18.19M-55.40%3.83M-69.56%4.16M-67.45%2.62M-1.63%7.58M89.97%38.01M32.56%8.59M148.55%13.65M
Net income from continuing operations 89.43%815.66K-57.31%1.51M-80.36%6.95M-72.26%2.6M-95.95%388.78K-95.93%430.59K-39.20%3.53M204.06%35.35M17.25%9.36M588.05%9.61M
Operating gains losses -87.74%94.89K109.43%100.73K-267.08%-1.68M-2.68%-1.4M-98.77%11.47K177.51%774.03K-209.96%-1.07M-111.45%-457.72K43.76%-1.36M-81.61%929.64K
Depreciation and amortization 26.78%2.05M34.26%2.38M19.36%7.69M88.65%2.9M-18.41%1.39M-10.42%1.62M27.63%1.77M-2.84%6.44M6.09%1.54M-7.63%1.71M
Deferred tax -113.09%-31.74K-89.90%-22.99K31.55%936.55K-192.43%-251.51K694.59%957.73K-18.27%242.44K-153.37%-12.11K460.64%711.95K-40.09%272.1K113.66%120.53K
Other non cash items -88.65%105.17K-25.56%270.45K241.77%1.91M-390.15%-495.75K5,292.54%1.11M545.69%926.23K128.26%363.3K68.32%-1.34M109.74%170.86K99.13%-21.41K
Change In working capital 231.90%2.04M-130.77%-865.65K137.05%1.38M116.27%256.03K-118.04%-146K57.22%-1.55M328.04%2.81M-442.70%-3.72M-496.45%-1.57M244.98%809.3K
-Change in receivables -74.00%117.07K-60.20%953.71K145.53%1.19M-170.05%-2.01M351.61%348.8K113.00%450.24K228.04%2.4M-283.21%-2.6M-0.37%2.87M96.49%-138.63K
-Change in prepaid assets --388.17K---68.4K--187.79K--1M-147.72%-814.69K--0--0--0--0---328.87K
-Change in payables and accrued expense 158.19%1.33M-794.20%-1.9M88.43%-122.2K123.30%1.07M-45.18%812.69K-509.04%-2.28M-88.73%273.33K-160.53%-1.06M-82.91%-4.59M-64.50%1.48M
-Change in other working capital -26.44%207.54K1.97%146.48K316.47%126.35K31.22%193.36K---492.8K--282.14K--143.65K---58.37K--147.35K----
Cash from discontinued investing activities
Operating cash flow 105.22%5.38M-51.29%3.69M-52.14%18.19M-55.40%3.83M-69.56%4.16M-67.45%2.62M-1.63%7.58M89.97%38.01M32.56%8.59M148.55%13.65M
Investing cash flow
Cash flow from continuing investing activities 124.65%2.24M61.89%-11.78M-387.73%-38.38M41.61%-1.27M503.00%2.88M-328.09%-9.08M-980.81%-30.92M-77.33%-7.87M-254.39%-2.17M66.11%-715.82K
Net PPE purchase and sale 28.22%-9.16M-2,500.57%-20.34M-136.77%-18.63M-22.77%-2.67M-238.99%-2.43M-501.51%-12.76M72.65%-782.33K-77.33%-7.87M-254.39%-2.17M66.11%-715.82K
Net investment purchase and sale 235.01%12.32M122.39%6.75M---17.94M--321.02K--8.2M--3.68M---30.14M--0--0--0
Net other investing changes ---926.83K--1.81M---1.81M--1.08M------------------------
Cash from discontinued investing activities
Investing cash flow 124.65%2.24M61.89%-11.78M-387.73%-38.38M41.61%-1.27M503.00%2.88M-328.09%-9.08M-980.81%-30.92M-77.33%-7.87M-254.39%-2.17M66.11%-715.82K
Financing cash flow
Cash flow from continuing financing activities 57.70%-1.37M7.40%-2.57M-3.38%-11.73M-16.77%-1.68M-12.14%-4.03M35.69%-3.24M-118.25%-2.78M-385.52%-11.35M-3,742.67%-1.44M-173.10%-3.59M
Net common stock issuance --011.97%-1.2M2.88%-6.06M---360.33K-15.89%-2.64M57.35%-1.69M---1.37M-157.32%-6.23M--0-73.17%-2.28M
Cash dividends paid 3.12%-1.37M2.98%-1.37M4.46%-5.6M3.90%-1.38M4.42%-1.39M4.74%-1.42M4.76%-1.41M---5.86M---1.44M---1.45M
Proceeds from stock option exercised by employees ---------91.58%62.88K--62.88K------------775.47%747.11K--0--138.33K
Net other financing activities -----------140K--0--0--------------------
Cash from discontinued financing activities
Financing cash flow 57.70%-1.37M7.40%-2.57M-3.38%-11.73M-16.77%-1.68M-12.14%-4.03M35.69%-3.24M-118.25%-2.78M-385.52%-11.35M-3,742.67%-1.44M-173.10%-3.59M
Net cash flow
Beginning cash position -83.70%3.21M-69.71%13.87M69.25%45.81M-68.17%12.99M-68.32%9.98M-35.76%19.68M69.25%45.81M95.61%27.07M92.93%40.82M65.04%31.52M
Current changes in cash 164.44%6.25M59.17%-10.67M-269.97%-31.93M-82.28%882.13K-67.78%3.01M-1,184.36%-9.7M-831.97%-26.12M41.98%18.79M-15.71%4.98M352.46%9.34M
Effect of exchange rate changes 1,868.91%22.23K114.00%36491.21%-3.87K-136.87%-1.56K97.55%-846105.90%1.13K-148.13%-2.6K-2,057.39%-44.05K637.32%4.22K-230,060.00%-34.52K
End cash Position -5.02%9.48M-83.70%3.21M-69.71%13.87M-69.71%13.87M-68.17%12.99M-68.32%9.98M-35.76%19.68M69.25%45.81M69.25%45.81M92.93%40.82M
Free cash flow 62.81%-3.77M-345.06%-16.65M-101.53%-457.78K-81.86%1.16M-86.64%1.73M-276.72%-10.15M40.44%6.8M98.01%29.94M18.48%6.42M282.67%12.94M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------------

Analysis

Analyst Rating

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