US Stock MarketDetailed Quotes

GLBZ Glen Burnie

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  • 5.500
  • -0.400-6.78%
Close Nov 1 16:00 ET
  • 5.500
  • 0.0000.00%
Post 20:02 ET
15.95MMarket Cap137.50P/E (TTM)

Glen Burnie 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
-77.46%140K
-48.26%119K
-37.12%1.4M
-54.03%571K
-105.12%-23K
-18.72%621K
200.00%230K
-39.14%2.23M
59.23%1.24M
-66.54%449K
Net income from continuing operations
-174.18%-204K
-99.31%3K
-18.11%1.43M
-79.88%167K
47.20%552K
-11.00%275K
88.31%435K
-30.64%1.75M
49.82%830K
-57.77%375K
Operating gains losses
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-64.11%206K
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Depreciation and amortization
-59.29%46K
0.97%104K
-88.03%119K
-100.15%-1K
-193.20%-96K
4.63%113K
-3.74%103K
-0.10%994K
0.60%676K
-6.36%103K
Deferred tax
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60.00%-84K
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-174.47%-210K
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Change in working capital
-468.06%-265K
33.99%-200K
59.85%-161K
80.60%363K
-154.78%-293K
0.00%72K
45.80%-303K
-251.89%-401K
229.51%201K
-136.39%-115K
-Change in receivables
-164.46%-78K
11.88%-89K
54.79%-33K
92.55%181K
-118.69%-234K
676.19%121K
-158.97%-101K
-133.64%-73K
-57.08%94K
---107K
-Change in payables and accrued expense
-318.52%-113K
161.16%137K
136.43%141K
145.30%106K
210.87%286K
-122.69%-27K
38.46%-224K
-188.36%-387K
-23,300.00%-234K
-49.17%92K
-Change in other current assets
-266.67%-30K
-436.07%-205K
-148.84%-105K
-68.77%119K
-405.00%-303K
50.00%18K
151.69%61K
191.88%215K
425.64%381K
-134.29%-60K
-Change in other working capital
-10.00%-44K
-10.26%-43K
-5.13%-164K
-7.50%-43K
-5.00%-42K
-5.26%-40K
-2.63%-39K
0.64%-156K
0.00%-40K
0.00%-40K
Cash from discontinued operating activities
Operating cash flow
-77.46%140K
-48.26%119K
-37.12%1.4M
-54.03%571K
-105.12%-23K
-18.72%621K
200.00%230K
-39.14%2.23M
59.23%1.24M
-66.54%449K
Investing cash flow
Cash flow from continuing investing activities
-179.68%-12.36M
87.47%8.36M
151.78%17.66M
-6.40%10.18M
-21.61%7.44M
72.33%-4.42M
70.23%4.46M
650.12%7.01M
-49.30%10.88M
195.09%9.49M
Net investment purchase and sale
249.88%11.24M
338.47%9.36M
150.65%8.78M
363.23%11.99M
-27.23%2.15M
61.33%-7.5M
161.45%2.13M
61.91%-17.33M
-63.89%2.59M
142.51%2.95M
Net proceeds payment for loan
-766.30%-23.49M
-182.64%-1.93M
-57.77%10.03M
-120.79%-1.55M
-13.56%5.72M
-0.09%3.53M
-61.97%2.34M
-45.73%23.76M
-47.98%7.46M
-35.28%6.62M
Net PPE purchase and sale
51.29%-113K
20.93%-34K
40.63%-152K
4.00%-24K
286.08%147K
-120.95%-232K
8.51%-43K
10.80%-256K
59.68%-25K
-31.67%-79K
Net other investing changes
--0
3,136.67%971K
-218.71%-996K
-128.00%-238K
---576K
---212K
372.73%30K
512.41%839K
--850K
--0
Cash from discontinued investing activities
Investing cash flow
-179.68%-12.36M
87.47%8.36M
151.78%17.66M
-6.40%10.18M
-21.61%7.44M
72.33%-4.42M
70.23%4.46M
650.12%7.01M
-49.30%10.88M
195.09%9.49M
Financing cash flow
Cash flow from continuing financing activities
-1,527.99%-13.62M
193.65%18.91M
17.95%-33.91M
72.28%-10.03M
34.95%-4.64M
142.10%954K
-572.94%-20.19M
-282.01%-41.33M
-526.63%-36.2M
-5,271.01%-7.14M
Increase decrease in deposit
75.60%-3.37M
145.98%9.17M
-209.77%-62.88M
7.30%-14.77M
-109.10%-14.38M
-586.07%-13.79M
-540.22%-19.93M
-160.37%-20.3M
-282.40%-15.94M
-222.29%-6.88M
Net issuance payments of debt
-166.67%-10M
--10M
250.00%30M
125.00%5M
--10M
--15M
--0
-101.76%-20M
---20M
--0
Cash dividends paid
-1.40%-290K
0.00%-287K
-0.52%-1.15M
-0.70%-288K
-0.70%-288K
-0.35%-286K
-0.35%-287K
-0.44%-1.14M
-0.35%-286K
-0.70%-286K
Net other financing activities
6.67%32K
-3.33%29K
5.26%120K
3.45%30K
3.45%30K
3.45%30K
11.11%30K
-12.98%114K
-6.45%29K
-14.71%29K
Cash from discontinued financing activities
Financing cash flow
-1,527.99%-13.62M
193.65%18.91M
17.95%-33.91M
72.28%-10.03M
34.95%-4.64M
142.10%954K
-572.94%-20.19M
-282.01%-41.33M
-526.63%-36.2M
-5,271.01%-7.14M
Net cash flow
Beginning cash position
192.13%42.63M
-49.35%15.24M
-51.61%30.09M
-73.19%14.52M
-77.13%11.75M
-78.80%14.59M
-51.61%30.09M
67.64%62.18M
72.16%54.17M
91.89%51.37M
Current changes in cash
-808.65%-25.84M
276.69%27.39M
53.72%-14.85M
102.99%719K
-1.03%2.77M
83.72%-2.84M
-332.77%-15.5M
-227.91%-32.09M
-178.38%-24.08M
-40.31%2.8M
End cash position
42.88%16.79M
192.13%42.63M
-49.35%15.24M
-49.35%15.24M
-73.19%14.52M
-77.13%11.75M
-78.80%14.59M
-51.61%30.09M
-51.61%30.09M
72.16%54.17M
Free cash flow
-93.06%27K
-54.55%85K
-36.67%1.25M
-55.05%547K
-66.49%124K
-40.97%389K
167.51%187K
-41.56%1.97M
69.50%1.22M
-71.14%370K
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
--
--
(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 -77.46%140K-48.26%119K-37.12%1.4M-54.03%571K-105.12%-23K-18.72%621K200.00%230K-39.14%2.23M59.23%1.24M-66.54%449K
Net income from continuing operations -174.18%-204K-99.31%3K-18.11%1.43M-79.88%167K47.20%552K-11.00%275K88.31%435K-30.64%1.75M49.82%830K-57.77%375K
Operating gains losses -----------------------------64.11%206K--------
Depreciation and amortization -59.29%46K0.97%104K-88.03%119K-100.15%-1K-193.20%-96K4.63%113K-3.74%103K-0.10%994K0.60%676K-6.36%103K
Deferred tax --------60.00%-84K-----------------174.47%-210K--------
Change in working capital -468.06%-265K33.99%-200K59.85%-161K80.60%363K-154.78%-293K0.00%72K45.80%-303K-251.89%-401K229.51%201K-136.39%-115K
-Change in receivables -164.46%-78K11.88%-89K54.79%-33K92.55%181K-118.69%-234K676.19%121K-158.97%-101K-133.64%-73K-57.08%94K---107K
-Change in payables and accrued expense -318.52%-113K161.16%137K136.43%141K145.30%106K210.87%286K-122.69%-27K38.46%-224K-188.36%-387K-23,300.00%-234K-49.17%92K
-Change in other current assets -266.67%-30K-436.07%-205K-148.84%-105K-68.77%119K-405.00%-303K50.00%18K151.69%61K191.88%215K425.64%381K-134.29%-60K
-Change in other working capital -10.00%-44K-10.26%-43K-5.13%-164K-7.50%-43K-5.00%-42K-5.26%-40K-2.63%-39K0.64%-156K0.00%-40K0.00%-40K
Cash from discontinued operating activities
Operating cash flow -77.46%140K-48.26%119K-37.12%1.4M-54.03%571K-105.12%-23K-18.72%621K200.00%230K-39.14%2.23M59.23%1.24M-66.54%449K
Investing cash flow
Cash flow from continuing investing activities -179.68%-12.36M87.47%8.36M151.78%17.66M-6.40%10.18M-21.61%7.44M72.33%-4.42M70.23%4.46M650.12%7.01M-49.30%10.88M195.09%9.49M
Net investment purchase and sale 249.88%11.24M338.47%9.36M150.65%8.78M363.23%11.99M-27.23%2.15M61.33%-7.5M161.45%2.13M61.91%-17.33M-63.89%2.59M142.51%2.95M
Net proceeds payment for loan -766.30%-23.49M-182.64%-1.93M-57.77%10.03M-120.79%-1.55M-13.56%5.72M-0.09%3.53M-61.97%2.34M-45.73%23.76M-47.98%7.46M-35.28%6.62M
Net PPE purchase and sale 51.29%-113K20.93%-34K40.63%-152K4.00%-24K286.08%147K-120.95%-232K8.51%-43K10.80%-256K59.68%-25K-31.67%-79K
Net other investing changes --03,136.67%971K-218.71%-996K-128.00%-238K---576K---212K372.73%30K512.41%839K--850K--0
Cash from discontinued investing activities
Investing cash flow -179.68%-12.36M87.47%8.36M151.78%17.66M-6.40%10.18M-21.61%7.44M72.33%-4.42M70.23%4.46M650.12%7.01M-49.30%10.88M195.09%9.49M
Financing cash flow
Cash flow from continuing financing activities -1,527.99%-13.62M193.65%18.91M17.95%-33.91M72.28%-10.03M34.95%-4.64M142.10%954K-572.94%-20.19M-282.01%-41.33M-526.63%-36.2M-5,271.01%-7.14M
Increase decrease in deposit 75.60%-3.37M145.98%9.17M-209.77%-62.88M7.30%-14.77M-109.10%-14.38M-586.07%-13.79M-540.22%-19.93M-160.37%-20.3M-282.40%-15.94M-222.29%-6.88M
Net issuance payments of debt -166.67%-10M--10M250.00%30M125.00%5M--10M--15M--0-101.76%-20M---20M--0
Cash dividends paid -1.40%-290K0.00%-287K-0.52%-1.15M-0.70%-288K-0.70%-288K-0.35%-286K-0.35%-287K-0.44%-1.14M-0.35%-286K-0.70%-286K
Net other financing activities 6.67%32K-3.33%29K5.26%120K3.45%30K3.45%30K3.45%30K11.11%30K-12.98%114K-6.45%29K-14.71%29K
Cash from discontinued financing activities
Financing cash flow -1,527.99%-13.62M193.65%18.91M17.95%-33.91M72.28%-10.03M34.95%-4.64M142.10%954K-572.94%-20.19M-282.01%-41.33M-526.63%-36.2M-5,271.01%-7.14M
Net cash flow
Beginning cash position 192.13%42.63M-49.35%15.24M-51.61%30.09M-73.19%14.52M-77.13%11.75M-78.80%14.59M-51.61%30.09M67.64%62.18M72.16%54.17M91.89%51.37M
Current changes in cash -808.65%-25.84M276.69%27.39M53.72%-14.85M102.99%719K-1.03%2.77M83.72%-2.84M-332.77%-15.5M-227.91%-32.09M-178.38%-24.08M-40.31%2.8M
End cash position 42.88%16.79M192.13%42.63M-49.35%15.24M-49.35%15.24M-73.19%14.52M-77.13%11.75M-78.80%14.59M-51.61%30.09M-51.61%30.09M72.16%54.17M
Free cash flow -93.06%27K-54.55%85K-36.67%1.25M-55.05%547K-66.49%124K-40.97%389K167.51%187K-41.56%1.97M69.50%1.22M-71.14%370K
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

No Data

Price Target

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