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ERII Energy Recovery

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  • 15.200
  • -0.130-0.85%
Close Nov 27 16:00 ET
  • 15.200
  • 0.0000.00%
Post 16:20 ET
879.99MMarket Cap46.06P/E (TTM)

Energy Recovery Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-138.75%-3M
295.28%8.07M
-24.95%6.5M
106.27%26.05M
116.60%13.78M
739.88%7.75M
-145.52%-4.13M
640.39%8.66M
-6.62%12.63M
2.10%6.36M
Net income from continuing operations
-12.20%8.48M
61.44%-642K
-31.19%-8.26M
-10.58%21.5M
44.30%19.81M
101.71%9.66M
29.42%-1.67M
-179.76%-6.3M
68.54%24.05M
160.78%13.73M
Depreciation and amortization
-1.02%1.46M
0.62%1.45M
5.42%1.46M
-8.79%5.75M
6.93%1.45M
13.42%1.47M
-36.22%1.44M
-0.22%1.39M
6.11%6.3M
-24.58%1.36M
Deferred tax
-15.75%412K
182.10%211K
-15.28%-1.33M
-105.27%-61K
-9.67%859K
46.41%489K
46.23%-257K
-428.21%-1.15M
396.16%1.16M
41.52%951K
Other non cash items
-79.35%19K
207.14%172K
24.73%116K
610.45%1.03M
280.05%785K
-71.78%92K
137.84%56K
63.16%93K
-121.05%-201K
-154.91%-436K
Change In working capital
-177.52%-15.33M
186.27%4.43M
-7.71%11.46M
63.89%-9.34M
-3.95%-11.1M
42.42%-5.52M
-165.30%-5.13M
192.23%12.41M
-86.50%-25.87M
-166.56%-10.67M
-Change in receivables
-59.26%-12.12M
246.50%4.42M
-5.28%21.88M
20.14%-11.75M
-46.64%-24.22M
-49.59%-7.61M
-122.77%-3.02M
464.33%23.1M
-98.10%-14.71M
-105.38%-16.52M
-Change in inventory
-91.75%194K
33.47%-2.16M
-17.88%-5.72M
116.35%1.35M
99.07%7.1M
159.65%2.35M
32.20%-3.24M
-55.46%-4.86M
5.52%-8.28M
3,201.85%3.57M
-Change in prepaid assets
-55.22%-1.59M
94.93%-23K
-391.44%-545K
-169.57%-96K
99.67%1.2M
-688.46%-1.03M
-216.41%-454K
125.94%187K
-56.05%138K
-57.55%599K
-Change in payables and accrued expense
-396.10%-1.6M
38.50%2.46M
-3.42%-6.45M
238.20%1.28M
102.18%5.2M
149.82%539K
521.38%1.77M
-212.90%-6.24M
-483.40%-924K
305.68%2.57M
-Change in other working capital
-197.74%-216K
-34.52%-265K
961.11%2.29M
93.83%-129K
58.68%-369K
-65.95%221K
65.07%-197K
116.85%216K
-218.35%-2.09M
-147.37%-893K
Cash from discontinued investing activities
Operating cash flow
-138.75%-3M
295.28%8.07M
-24.95%6.5M
106.27%26.05M
116.60%13.78M
739.88%7.75M
-145.52%-4.13M
640.39%8.66M
-6.62%12.63M
2.10%6.36M
Investing cash flow
Cash flow from continuing investing activities
1,717.55%21.66M
-113.39%-38.84M
-527.25%-4.99M
-175.18%-19.11M
73.83%-739K
-115.12%-1.34M
-328.88%-18.2M
105.58%1.17M
66.22%-6.95M
-140.44%-2.82M
Capital expenditure reported
48.79%-169K
64.74%-201K
-195.34%-824K
39.34%-2.57M
-12.57%-1.39M
41.39%-330K
-23.91%-570K
85.88%-279K
36.68%-4.23M
30.92%-1.23M
Net PPE purchase and sale
--0
--3K
6.10%87K
-92.11%87K
-98.64%5K
--0
--0
--82K
21,940.00%1.1M
--368K
Net investment purchase and sale
2,263.33%21.83M
-119.17%-38.65M
-411.51%-4.25M
-335.90%-16.63M
132.87%644K
-111.62%-1.01M
-309.59%-17.63M
107.20%1.36M
72.52%-3.82M
-122.34%-1.96M
Cash from discontinued investing activities
Investing cash flow
1,717.55%21.66M
-113.39%-38.84M
-527.25%-4.99M
-175.18%-19.11M
73.83%-739K
-115.12%-1.34M
-328.88%-18.2M
105.58%1.17M
66.22%-6.95M
-140.44%-2.82M
Financing cash flow
Cash flow from continuing financing activities
433.29%4.29M
45.79%312K
621.21%1.19M
120.26%4.79M
386.52%3.61M
-34.45%805K
101.17%214K
102.26%165K
-85.02%-23.67M
116.22%742K
Net common stock issuance
433.29%4.29M
45.79%312K
621.21%1.19M
120.26%4.79M
386.52%3.61M
-34.45%805K
101.17%214K
102.26%165K
-85.02%-23.67M
116.22%742K
Cash from discontinued financing activities
Financing cash flow
433.29%4.29M
45.79%312K
621.21%1.19M
120.26%4.79M
386.52%3.61M
-34.45%805K
101.17%214K
102.26%165K
-85.02%-23.67M
116.22%742K
Net cash flow
Beginning cash position
-8.84%40.44M
6.70%70.91M
20.84%68.23M
-24.18%56.46M
-1.28%51.57M
2.40%44.37M
48.93%66.46M
-24.18%56.46M
-21.09%74.46M
-20.67%52.24M
Current changes in cash
218.07%22.95M
-37.68%-30.46M
-72.96%2.7M
165.25%11.73M
289.00%16.65M
-18.70%7.22M
-1,587.49%-22.12M
133.49%9.99M
9.31%-17.98M
-50.46%4.28M
Effect of exchange rate changes
107.14%1K
-115.15%-5K
-337.50%-19K
265.00%33K
110.34%6K
-141.18%-14K
120.00%33K
172.73%8K
70.59%-20K
-107.14%-58K
End cash Position
22.94%63.39M
-8.84%40.44M
6.70%70.91M
20.84%68.23M
20.84%68.23M
-1.28%51.57M
2.40%44.37M
48.93%66.46M
-24.18%56.46M
-24.18%56.46M
Free cash flow
-142.76%-3.17M
267.35%7.87M
-32.29%5.67M
179.64%23.49M
141.60%12.39M
518.21%7.42M
-154.56%-4.7M
334.15%8.38M
22.76%8.4M
15.36%5.13M
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
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -138.75%-3M295.28%8.07M-24.95%6.5M106.27%26.05M116.60%13.78M739.88%7.75M-145.52%-4.13M640.39%8.66M-6.62%12.63M2.10%6.36M
Net income from continuing operations -12.20%8.48M61.44%-642K-31.19%-8.26M-10.58%21.5M44.30%19.81M101.71%9.66M29.42%-1.67M-179.76%-6.3M68.54%24.05M160.78%13.73M
Depreciation and amortization -1.02%1.46M0.62%1.45M5.42%1.46M-8.79%5.75M6.93%1.45M13.42%1.47M-36.22%1.44M-0.22%1.39M6.11%6.3M-24.58%1.36M
Deferred tax -15.75%412K182.10%211K-15.28%-1.33M-105.27%-61K-9.67%859K46.41%489K46.23%-257K-428.21%-1.15M396.16%1.16M41.52%951K
Other non cash items -79.35%19K207.14%172K24.73%116K610.45%1.03M280.05%785K-71.78%92K137.84%56K63.16%93K-121.05%-201K-154.91%-436K
Change In working capital -177.52%-15.33M186.27%4.43M-7.71%11.46M63.89%-9.34M-3.95%-11.1M42.42%-5.52M-165.30%-5.13M192.23%12.41M-86.50%-25.87M-166.56%-10.67M
-Change in receivables -59.26%-12.12M246.50%4.42M-5.28%21.88M20.14%-11.75M-46.64%-24.22M-49.59%-7.61M-122.77%-3.02M464.33%23.1M-98.10%-14.71M-105.38%-16.52M
-Change in inventory -91.75%194K33.47%-2.16M-17.88%-5.72M116.35%1.35M99.07%7.1M159.65%2.35M32.20%-3.24M-55.46%-4.86M5.52%-8.28M3,201.85%3.57M
-Change in prepaid assets -55.22%-1.59M94.93%-23K-391.44%-545K-169.57%-96K99.67%1.2M-688.46%-1.03M-216.41%-454K125.94%187K-56.05%138K-57.55%599K
-Change in payables and accrued expense -396.10%-1.6M38.50%2.46M-3.42%-6.45M238.20%1.28M102.18%5.2M149.82%539K521.38%1.77M-212.90%-6.24M-483.40%-924K305.68%2.57M
-Change in other working capital -197.74%-216K-34.52%-265K961.11%2.29M93.83%-129K58.68%-369K-65.95%221K65.07%-197K116.85%216K-218.35%-2.09M-147.37%-893K
Cash from discontinued investing activities
Operating cash flow -138.75%-3M295.28%8.07M-24.95%6.5M106.27%26.05M116.60%13.78M739.88%7.75M-145.52%-4.13M640.39%8.66M-6.62%12.63M2.10%6.36M
Investing cash flow
Cash flow from continuing investing activities 1,717.55%21.66M-113.39%-38.84M-527.25%-4.99M-175.18%-19.11M73.83%-739K-115.12%-1.34M-328.88%-18.2M105.58%1.17M66.22%-6.95M-140.44%-2.82M
Capital expenditure reported 48.79%-169K64.74%-201K-195.34%-824K39.34%-2.57M-12.57%-1.39M41.39%-330K-23.91%-570K85.88%-279K36.68%-4.23M30.92%-1.23M
Net PPE purchase and sale --0--3K6.10%87K-92.11%87K-98.64%5K--0--0--82K21,940.00%1.1M--368K
Net investment purchase and sale 2,263.33%21.83M-119.17%-38.65M-411.51%-4.25M-335.90%-16.63M132.87%644K-111.62%-1.01M-309.59%-17.63M107.20%1.36M72.52%-3.82M-122.34%-1.96M
Cash from discontinued investing activities
Investing cash flow 1,717.55%21.66M-113.39%-38.84M-527.25%-4.99M-175.18%-19.11M73.83%-739K-115.12%-1.34M-328.88%-18.2M105.58%1.17M66.22%-6.95M-140.44%-2.82M
Financing cash flow
Cash flow from continuing financing activities 433.29%4.29M45.79%312K621.21%1.19M120.26%4.79M386.52%3.61M-34.45%805K101.17%214K102.26%165K-85.02%-23.67M116.22%742K
Net common stock issuance 433.29%4.29M45.79%312K621.21%1.19M120.26%4.79M386.52%3.61M-34.45%805K101.17%214K102.26%165K-85.02%-23.67M116.22%742K
Cash from discontinued financing activities
Financing cash flow 433.29%4.29M45.79%312K621.21%1.19M120.26%4.79M386.52%3.61M-34.45%805K101.17%214K102.26%165K-85.02%-23.67M116.22%742K
Net cash flow
Beginning cash position -8.84%40.44M6.70%70.91M20.84%68.23M-24.18%56.46M-1.28%51.57M2.40%44.37M48.93%66.46M-24.18%56.46M-21.09%74.46M-20.67%52.24M
Current changes in cash 218.07%22.95M-37.68%-30.46M-72.96%2.7M165.25%11.73M289.00%16.65M-18.70%7.22M-1,587.49%-22.12M133.49%9.99M9.31%-17.98M-50.46%4.28M
Effect of exchange rate changes 107.14%1K-115.15%-5K-337.50%-19K265.00%33K110.34%6K-141.18%-14K120.00%33K172.73%8K70.59%-20K-107.14%-58K
End cash Position 22.94%63.39M-8.84%40.44M6.70%70.91M20.84%68.23M20.84%68.23M-1.28%51.57M2.40%44.37M48.93%66.46M-24.18%56.46M-24.18%56.46M
Free cash flow -142.76%-3.17M267.35%7.87M-32.29%5.67M179.64%23.49M141.60%12.39M518.21%7.42M-154.56%-4.7M334.15%8.38M22.76%8.4M15.36%5.13M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

Analyst Rating

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Price Target

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