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EVTL Vertical Aerospace

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  • 7.620
  • -0.450-5.58%
Trading Dec 19 13:14 ET
145.60MMarket Cap-1.78P/E (TTM)

Vertical Aerospace Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(FY)Dec 31, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
27.98%-74.7M
0.63%-24.95M
-7.54%-16.69M
-276.46%-103.71M
-134.55%-25.11M
-137.93%-15.52M
-129.35%-27.55M
-10.71M
-6.52M
-64.93%-12.01M
Net income from continuing operations
36.48%-59.95M
-144.66%-18.1M
74.49%-30.07M
61.51%-94.38M
118.93%40.54M
-1,286.35%-117.9M
-1,889.49%-245.22M
---214.16M
---8.5M
-64.70%-12.33M
Operating gains losses
----
----
----
----
----
----
--112.46M
----
----
----
Depreciation and amortization
24.38%2.71M
21.83%692K
18.89%705K
131.63%2.18M
108.82%568K
119.63%593K
38.12%942K
--272K
--270K
106.67%682K
Deferred tax
---22.66M
----
----
--0
----
----
--0
--0
--4K
113.33%4K
Other non cash items
-509.36%-19.34M
95.92%-3.27M
-91.82%8.12M
90.09%-3.17M
-145.76%-80.01M
522,352.63%99.27M
-4,067.16%-32.02M
---32.55M
--19K
1,122.73%807K
Change In working capital
113.33%4.4M
364.00%7.53M
-62.58%668K
-195.20%-33.01M
-107.41%-2.85M
5.75%1.79M
2,819.61%34.68M
--38.48M
--1.69M
-672.73%-1.28M
-Change in receivables
161.12%3.79M
164.58%5.08M
-166.14%-2.08M
32.00%-6.21M
-1,305.21%-7.86M
248.35%3.15M
-342.58%-9.13M
--652K
---2.12M
-143.16%-2.06M
-Change in payables and accrued expense
102.26%606K
-50.91%2.46M
301.46%2.75M
-161.19%-26.8M
-86.77%5.01M
-135.83%-1.37M
5,465.57%43.8M
--37.83M
--3.81M
15.23%787K
Cash from discontinued investing activities
Operating cash flow
27.98%-74.7M
0.63%-24.95M
-7.54%-16.69M
-276.46%-103.71M
-134.55%-25.11M
-137.93%-15.52M
-129.35%-27.55M
---10.71M
---6.52M
-64.93%-12.01M
Investing cash flow
Cash flow from continuing investing activities
197.50%61.38M
90.16%-138K
101.10%672K
-1,777.07%-62.96M
19.10%-1.4M
-5,321.78%-61M
-387.50%-3.35M
-1.73M
-1.13M
75.71%-688K
Net PPE purchase and sale
-46.38%-2.1M
57.54%-501K
-233.71%-297K
-81.77%-1.44M
-594.12%-1.18M
81.18%-89K
-409.68%-790K
---170K
---473K
89.85%-155K
Net intangibles purchase and sale
72.15%-159K
--0
-21.13%-86K
77.74%-571K
93.16%-107K
89.11%-71K
-1,000.86%-2.57M
---1.56M
---652K
59.48%-233K
Net business purchase and sale
----
----
----
----
----
----
----
----
----
58.96%-300K
Net investment purchase and sale
200.71%59.67M
-113.69%-217K
--0
---59.25M
--1.59M
---60.84M
--0
--0
----
----
Net other investing changes
----
----
----
-170,100.00%-1.7M
----
----
--1K
----
----
----
Cash from discontinued investing activities
Investing cash flow
197.50%61.38M
90.16%-138K
101.10%672K
-1,777.07%-62.96M
19.10%-1.4M
-5,321.78%-61M
-387.50%-3.35M
---1.73M
---1.13M
75.71%-688K
Financing cash flow
Cash flow from continuing financing activities
-97.67%169K
-102.58%-191K
475.00%529K
-97.04%7.25M
-96.60%7.39M
304.44%92K
1,856.14%244.71M
217.64M
-45K
15.06%12.51M
Net issuance payments of debt
-38.22%-669K
-75.40%-221K
19.51%-99K
-100.29%-484K
-100.09%-126K
-173.33%-123K
3,040.32%168.95M
--141.87M
---45K
4,238.46%5.38M
Net common stock issuance
-89.16%838K
-99.60%30K
192.09%628K
-88.50%7.73M
-88.82%7.52M
--215K
--67.26M
--67.26M
----
--0
Net other financing activities
----
----
----
----
----
----
19.31%8.51M
----
----
-35.20%7.13M
Cash from discontinued financing activities
Financing cash flow
-97.67%169K
-102.58%-191K
475.00%529K
-97.04%7.25M
-96.60%7.39M
304.44%92K
1,856.14%244.71M
--217.64M
---45K
15.06%12.51M
Net cash flow
Beginning cash position
-70.41%62.93M
-11.38%74.16M
-43.07%89.69M
25,246.84%212.66M
780.63%83.69M
818.99%157.55M
-18.46%839K
--9.5M
--17.14M
278.31%1.03M
Current changes in cash
91.75%-13.15M
-32.21%-25.28M
79.73%-15.49M
-174.56%-159.42M
-109.32%-19.12M
-893.41%-76.42M
112,631.05%213.81M
--205.2M
---7.69M
-125.10%-190K
Effect of exchange rate changes
-111.31%-1.1M
87.78%-200K
-101.60%-41K
587.37%9.69M
19.80%-1.64M
4,817.31%2.56M
---1.99M
---2.04M
--52K
--0
End cash Position
-22.64%48.68M
-22.64%48.68M
-11.38%74.16M
-70.41%62.93M
-70.41%62.93M
780.63%83.69M
25,246.84%212.66M
--212.66M
--9.5M
-18.46%839K
Free cash flow
27.20%-76.96M
3.58%-25.46M
-8.88%-17.07M
-242.08%-105.72M
-112.20%-26.4M
-105.02%-15.68M
-149.23%-30.91M
---12.44M
---7.65M
-32.13%-12.4M
Currency Unit
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
Audit Opinions
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
--
--
--
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(FY)Dec 31, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 27.98%-74.7M0.63%-24.95M-7.54%-16.69M-276.46%-103.71M-134.55%-25.11M-137.93%-15.52M-129.35%-27.55M-10.71M-6.52M-64.93%-12.01M
Net income from continuing operations 36.48%-59.95M-144.66%-18.1M74.49%-30.07M61.51%-94.38M118.93%40.54M-1,286.35%-117.9M-1,889.49%-245.22M---214.16M---8.5M-64.70%-12.33M
Operating gains losses --------------------------112.46M------------
Depreciation and amortization 24.38%2.71M21.83%692K18.89%705K131.63%2.18M108.82%568K119.63%593K38.12%942K--272K--270K106.67%682K
Deferred tax ---22.66M----------0----------0--0--4K113.33%4K
Other non cash items -509.36%-19.34M95.92%-3.27M-91.82%8.12M90.09%-3.17M-145.76%-80.01M522,352.63%99.27M-4,067.16%-32.02M---32.55M--19K1,122.73%807K
Change In working capital 113.33%4.4M364.00%7.53M-62.58%668K-195.20%-33.01M-107.41%-2.85M5.75%1.79M2,819.61%34.68M--38.48M--1.69M-672.73%-1.28M
-Change in receivables 161.12%3.79M164.58%5.08M-166.14%-2.08M32.00%-6.21M-1,305.21%-7.86M248.35%3.15M-342.58%-9.13M--652K---2.12M-143.16%-2.06M
-Change in payables and accrued expense 102.26%606K-50.91%2.46M301.46%2.75M-161.19%-26.8M-86.77%5.01M-135.83%-1.37M5,465.57%43.8M--37.83M--3.81M15.23%787K
Cash from discontinued investing activities
Operating cash flow 27.98%-74.7M0.63%-24.95M-7.54%-16.69M-276.46%-103.71M-134.55%-25.11M-137.93%-15.52M-129.35%-27.55M---10.71M---6.52M-64.93%-12.01M
Investing cash flow
Cash flow from continuing investing activities 197.50%61.38M90.16%-138K101.10%672K-1,777.07%-62.96M19.10%-1.4M-5,321.78%-61M-387.50%-3.35M-1.73M-1.13M75.71%-688K
Net PPE purchase and sale -46.38%-2.1M57.54%-501K-233.71%-297K-81.77%-1.44M-594.12%-1.18M81.18%-89K-409.68%-790K---170K---473K89.85%-155K
Net intangibles purchase and sale 72.15%-159K--0-21.13%-86K77.74%-571K93.16%-107K89.11%-71K-1,000.86%-2.57M---1.56M---652K59.48%-233K
Net business purchase and sale ------------------------------------58.96%-300K
Net investment purchase and sale 200.71%59.67M-113.69%-217K--0---59.25M--1.59M---60.84M--0--0--------
Net other investing changes -------------170,100.00%-1.7M----------1K------------
Cash from discontinued investing activities
Investing cash flow 197.50%61.38M90.16%-138K101.10%672K-1,777.07%-62.96M19.10%-1.4M-5,321.78%-61M-387.50%-3.35M---1.73M---1.13M75.71%-688K
Financing cash flow
Cash flow from continuing financing activities -97.67%169K-102.58%-191K475.00%529K-97.04%7.25M-96.60%7.39M304.44%92K1,856.14%244.71M217.64M-45K15.06%12.51M
Net issuance payments of debt -38.22%-669K-75.40%-221K19.51%-99K-100.29%-484K-100.09%-126K-173.33%-123K3,040.32%168.95M--141.87M---45K4,238.46%5.38M
Net common stock issuance -89.16%838K-99.60%30K192.09%628K-88.50%7.73M-88.82%7.52M--215K--67.26M--67.26M------0
Net other financing activities ------------------------19.31%8.51M---------35.20%7.13M
Cash from discontinued financing activities
Financing cash flow -97.67%169K-102.58%-191K475.00%529K-97.04%7.25M-96.60%7.39M304.44%92K1,856.14%244.71M--217.64M---45K15.06%12.51M
Net cash flow
Beginning cash position -70.41%62.93M-11.38%74.16M-43.07%89.69M25,246.84%212.66M780.63%83.69M818.99%157.55M-18.46%839K--9.5M--17.14M278.31%1.03M
Current changes in cash 91.75%-13.15M-32.21%-25.28M79.73%-15.49M-174.56%-159.42M-109.32%-19.12M-893.41%-76.42M112,631.05%213.81M--205.2M---7.69M-125.10%-190K
Effect of exchange rate changes -111.31%-1.1M87.78%-200K-101.60%-41K587.37%9.69M19.80%-1.64M4,817.31%2.56M---1.99M---2.04M--52K--0
End cash Position -22.64%48.68M-22.64%48.68M-11.38%74.16M-70.41%62.93M-70.41%62.93M780.63%83.69M25,246.84%212.66M--212.66M--9.5M-18.46%839K
Free cash flow 27.20%-76.96M3.58%-25.46M-8.88%-17.07M-242.08%-105.72M-112.20%-26.4M-105.02%-15.68M-149.23%-30.91M---12.44M---7.65M-32.13%-12.4M
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP
Audit Opinions Unqualified Opinion with Explanatory Notes------------------
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