US Stock MarketDetailed Quotes

GLATF GLOBAL ATOMIC CORPORATION

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  • 1.170
  • +0.039+3.40%
15min DelayClose Jul 22 16:00 ET
  • 1.148
  • -0.022-1.85%
Post 16:57 ET
245.25MMarket Cap-40344P/E (TTM)

GLOBAL ATOMIC CORPORATION Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-107.05%-2.77M
-20.73%-5.33M
64.53%-658.29K
-95.88%59.29K
-76.73%-3.39M
35.15%-1.34M
-8.58%-4.42M
-58.49%-1.86M
210.54%1.44M
-19.90%-1.92M
Net income from continuing operations
145.85%2.4M
-32.71%-16.59M
51.01%-4.34M
41.14%-800K
-2,711.60%-6.22M
-152.80%-5.23M
-201.47%-12.5M
-163.63%-8.85M
-369.49%-1.36M
82.80%-221.26K
Operating gains losses
-258.07%-3.98M
195.92%8.18M
-86.30%784.48K
158.92%254.66K
521.79%4.62M
275.81%2.52M
167.22%2.76M
3,488.90%5.73M
79.75%-432.2K
-255.27%-1.1M
Depreciation and amortization
-12.07%61.24K
-43.32%192.24K
95.17%-36.53K
-82.62%85.4K
-78.33%73.73K
-73.63%69.64K
74.72%339.18K
-892.96%-756.56K
1,298.44%491.47K
913.03%340.17K
Other non cash items
-338.64%-246.58K
-432.05%-1.18M
-182.61%-233.21K
-476.50%-353.49K
-1,348.89%-536.8K
-100.04%-56.22K
-20,706.97%-221.73K
-2,448.42%-82.52K
-2,786.99%-61.32K
-2,639.34%-37.05K
Change In working capital
-1,196.14%-1.83M
-70.52%258.34K
27.95%1.84M
-75.98%427.81K
-12.57%-1.87M
79.33%-141.19K
-22.36%876.26K
-13.97%1.44M
702.59%1.78M
-270.67%-1.66M
-Change in receivables
286.21%57.53K
44.75%-132.91K
-80.19%-179.71K
-36.83%150.01K
-140.10%-72.31K
94.47%-30.9K
-551.88%-240.56K
-732.88%-99.74K
891.11%237.48K
-3.94%180.35K
-Change in prepaid assets
-67.86%13.68K
-197.66%-76.69K
-113.99%-45.17K
112.36%30.3K
-309.94%-104.38K
187.10%42.56K
128.65%78.53K
593.67%322.78K
-86.57%-245.1K
162.68%49.72K
-Change in payables and accrued expense
-1,143.78%-1.9M
-54.93%467.94K
69.82%2.07M
-86.16%247.51K
10.44%-1.7M
-102.56%-152.86K
-27.88%1.04M
-29.37%1.22M
1,432.83%1.79M
-239.84%-1.89M
Cash from discontinued investing activities
Operating cash flow
-107.05%-2.77M
-20.73%-5.33M
64.53%-658.29K
-95.88%59.29K
-76.73%-3.39M
35.15%-1.34M
-8.58%-4.42M
-58.49%-1.86M
210.54%1.44M
-19.90%-1.92M
Investing cash flow
Cash flow from continuing investing activities
-31.28%-11.74M
-40.37%-43.92M
-56.96%-11.86M
-44.41%-11.33M
-54.74%-11.79M
-7.97%-8.94M
-135.81%-31.29M
-26.67%-7.56M
-228.24%-7.85M
-170.71%-7.62M
Net PPE purchase and sale
-32.98%-11.82M
-49.26%-35.1M
-22.82%-8.1M
-56.24%-10.83M
-65.55%-9.21M
-101.03%-8.89M
-3,170.08%-23.51M
-1,528.79%-6.59M
-6,749.87%-6.93M
-3,599.47%-5.56M
Net intangibles purchase and sale
--0
63.63%-84.81K
-47.72%18.23K
17.86%-29.77K
95.41%-4.71K
46.91%-68.56K
-8.82%-233.19K
116.27%34.88K
---36.25K
---102.68K
Net other investing changes
-206.43%-165.57K
-27.54%-9.93M
-268.80%-3.99M
12.11%-824.19K
-55.56%-3.12M
98.56%-54.03K
36.88%-7.79M
79.76%-1.08M
59.04%-937.7K
24.63%-2.01M
Cash from discontinued investing activities
Investing cash flow
-31.28%-11.74M
-40.37%-43.92M
-56.96%-11.86M
-44.41%-11.33M
-54.74%-11.79M
-7.97%-8.94M
-135.81%-31.29M
-26.67%-7.56M
-228.24%-7.85M
-170.71%-7.62M
Financing cash flow
Cash flow from continuing financing activities
-84.67%8.26M
568.63%65.62M
43,517.18%13.94M
-106.63%-589.12K
-400.02%-1.6M
12,686.20%53.87M
-80.02%9.81M
-100.10%-32.11K
655.76%8.89M
4,977.46%533.55K
Net issuance payments of debt
-499.17%-1.29M
-895.34%-2.93M
-4,180.80%-1.37M
-1,456.85%-428.13K
-342.78%-913.14K
-652.56%-215.98K
-111.37%-294.53K
47.22%-32.11K
3.71%-27.5K
-884.90%-206.23K
Net common stock issuance
--0
--71M
--15M
--0
16.67%-25K
186,658.34%56.03M
--0
--0
--0
---30K
Proceeds from stock option exercised by employees
1,044.83%9.55M
-84.76%1.48M
--437.47K
--0
-72.91%208.5K
98.61%834.16K
92.19%9.71M
--0
607.05%8.52M
7,597.73%769.77K
Net other financing activities
----
-1,086.90%-3.93M
---124.03K
-140.39%-160.99K
---871.11K
---2.78M
113.19%398.56K
--0
--398.56K
----
Cash from discontinued financing activities
Financing cash flow
-84.67%8.26M
568.63%65.62M
43,517.18%13.94M
-106.63%-589.12K
-400.02%-1.6M
12,686.20%53.87M
-80.02%9.81M
-100.10%-32.11K
655.76%8.89M
4,977.46%533.55K
Net cash flow
Beginning cash position
195.93%24.86M
-75.42%8.4M
28.73%23.48M
136.38%35.37M
114.23%52.05M
-75.42%8.4M
1,296.09%34.18M
141.31%18.24M
48.46%14.96M
67.44%24.3M
Current changes in cash
-114.36%-6.26M
163.17%16.36M
115.03%1.42M
-577.70%-11.86M
-86.37%-16.78M
538.99%43.59M
-181.48%-25.9M
-135.48%-9.44M
198.72%2.48M
-103.43%-9.01M
Effect of exchange rate changes
-137.94%-25.93K
-15.59%98.77K
88.65%-45.25K
-103.69%-29.36K
132.15%105.01K
45.99%68.36K
327.81%117.02K
-13,262.72%-398.61K
15,211.78%795.48K
-8,250.74%-326.68K
End cash Position
-64.32%18.57M
195.93%24.86M
195.93%24.86M
28.73%23.48M
136.38%35.37M
114.23%52.05M
-75.42%8.4M
-75.42%8.4M
141.31%18.24M
48.46%14.96M
Free cash flow
-41.73%-14.6M
-43.85%-40.51M
-3.84%-8.74M
-95.29%-10.8M
-66.20%-12.61M
-55.62%-10.3M
-463.09%-28.16M
-370.01%-8.41M
-294.56%-5.53M
-333.00%-7.59M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
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Unqualified Opinion
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Unqualified Opinion
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(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(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -107.05%-2.77M-20.73%-5.33M64.53%-658.29K-95.88%59.29K-76.73%-3.39M35.15%-1.34M-8.58%-4.42M-58.49%-1.86M210.54%1.44M-19.90%-1.92M
Net income from continuing operations 145.85%2.4M-32.71%-16.59M51.01%-4.34M41.14%-800K-2,711.60%-6.22M-152.80%-5.23M-201.47%-12.5M-163.63%-8.85M-369.49%-1.36M82.80%-221.26K
Operating gains losses -258.07%-3.98M195.92%8.18M-86.30%784.48K158.92%254.66K521.79%4.62M275.81%2.52M167.22%2.76M3,488.90%5.73M79.75%-432.2K-255.27%-1.1M
Depreciation and amortization -12.07%61.24K-43.32%192.24K95.17%-36.53K-82.62%85.4K-78.33%73.73K-73.63%69.64K74.72%339.18K-892.96%-756.56K1,298.44%491.47K913.03%340.17K
Other non cash items -338.64%-246.58K-432.05%-1.18M-182.61%-233.21K-476.50%-353.49K-1,348.89%-536.8K-100.04%-56.22K-20,706.97%-221.73K-2,448.42%-82.52K-2,786.99%-61.32K-2,639.34%-37.05K
Change In working capital -1,196.14%-1.83M-70.52%258.34K27.95%1.84M-75.98%427.81K-12.57%-1.87M79.33%-141.19K-22.36%876.26K-13.97%1.44M702.59%1.78M-270.67%-1.66M
-Change in receivables 286.21%57.53K44.75%-132.91K-80.19%-179.71K-36.83%150.01K-140.10%-72.31K94.47%-30.9K-551.88%-240.56K-732.88%-99.74K891.11%237.48K-3.94%180.35K
-Change in prepaid assets -67.86%13.68K-197.66%-76.69K-113.99%-45.17K112.36%30.3K-309.94%-104.38K187.10%42.56K128.65%78.53K593.67%322.78K-86.57%-245.1K162.68%49.72K
-Change in payables and accrued expense -1,143.78%-1.9M-54.93%467.94K69.82%2.07M-86.16%247.51K10.44%-1.7M-102.56%-152.86K-27.88%1.04M-29.37%1.22M1,432.83%1.79M-239.84%-1.89M
Cash from discontinued investing activities
Operating cash flow -107.05%-2.77M-20.73%-5.33M64.53%-658.29K-95.88%59.29K-76.73%-3.39M35.15%-1.34M-8.58%-4.42M-58.49%-1.86M210.54%1.44M-19.90%-1.92M
Investing cash flow
Cash flow from continuing investing activities -31.28%-11.74M-40.37%-43.92M-56.96%-11.86M-44.41%-11.33M-54.74%-11.79M-7.97%-8.94M-135.81%-31.29M-26.67%-7.56M-228.24%-7.85M-170.71%-7.62M
Net PPE purchase and sale -32.98%-11.82M-49.26%-35.1M-22.82%-8.1M-56.24%-10.83M-65.55%-9.21M-101.03%-8.89M-3,170.08%-23.51M-1,528.79%-6.59M-6,749.87%-6.93M-3,599.47%-5.56M
Net intangibles purchase and sale --063.63%-84.81K-47.72%18.23K17.86%-29.77K95.41%-4.71K46.91%-68.56K-8.82%-233.19K116.27%34.88K---36.25K---102.68K
Net other investing changes -206.43%-165.57K-27.54%-9.93M-268.80%-3.99M12.11%-824.19K-55.56%-3.12M98.56%-54.03K36.88%-7.79M79.76%-1.08M59.04%-937.7K24.63%-2.01M
Cash from discontinued investing activities
Investing cash flow -31.28%-11.74M-40.37%-43.92M-56.96%-11.86M-44.41%-11.33M-54.74%-11.79M-7.97%-8.94M-135.81%-31.29M-26.67%-7.56M-228.24%-7.85M-170.71%-7.62M
Financing cash flow
Cash flow from continuing financing activities -84.67%8.26M568.63%65.62M43,517.18%13.94M-106.63%-589.12K-400.02%-1.6M12,686.20%53.87M-80.02%9.81M-100.10%-32.11K655.76%8.89M4,977.46%533.55K
Net issuance payments of debt -499.17%-1.29M-895.34%-2.93M-4,180.80%-1.37M-1,456.85%-428.13K-342.78%-913.14K-652.56%-215.98K-111.37%-294.53K47.22%-32.11K3.71%-27.5K-884.90%-206.23K
Net common stock issuance --0--71M--15M--016.67%-25K186,658.34%56.03M--0--0--0---30K
Proceeds from stock option exercised by employees 1,044.83%9.55M-84.76%1.48M--437.47K--0-72.91%208.5K98.61%834.16K92.19%9.71M--0607.05%8.52M7,597.73%769.77K
Net other financing activities -----1,086.90%-3.93M---124.03K-140.39%-160.99K---871.11K---2.78M113.19%398.56K--0--398.56K----
Cash from discontinued financing activities
Financing cash flow -84.67%8.26M568.63%65.62M43,517.18%13.94M-106.63%-589.12K-400.02%-1.6M12,686.20%53.87M-80.02%9.81M-100.10%-32.11K655.76%8.89M4,977.46%533.55K
Net cash flow
Beginning cash position 195.93%24.86M-75.42%8.4M28.73%23.48M136.38%35.37M114.23%52.05M-75.42%8.4M1,296.09%34.18M141.31%18.24M48.46%14.96M67.44%24.3M
Current changes in cash -114.36%-6.26M163.17%16.36M115.03%1.42M-577.70%-11.86M-86.37%-16.78M538.99%43.59M-181.48%-25.9M-135.48%-9.44M198.72%2.48M-103.43%-9.01M
Effect of exchange rate changes -137.94%-25.93K-15.59%98.77K88.65%-45.25K-103.69%-29.36K132.15%105.01K45.99%68.36K327.81%117.02K-13,262.72%-398.61K15,211.78%795.48K-8,250.74%-326.68K
End cash Position -64.32%18.57M195.93%24.86M195.93%24.86M28.73%23.48M136.38%35.37M114.23%52.05M-75.42%8.4M-75.42%8.4M141.31%18.24M48.46%14.96M
Free cash flow -41.73%-14.6M-43.85%-40.51M-3.84%-8.74M-95.29%-10.8M-66.20%-12.61M-55.62%-10.3M-463.09%-28.16M-370.01%-8.41M-294.56%-5.53M-333.00%-7.59M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

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Price Target

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