US Stock MarketDetailed Quotes

GLXZ GALAXY GAMING INC

Watchlist
  • 2.780
  • +0.010+0.36%
15min DelayTrading Jul 29 09:40 ET
69.13MMarket Cap-39714P/E (TTM)

GALAXY GAMING INC 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
309.54%1.37M
-57.29%2.73M
69.29%2.33M
-170.48%-2.09M
456.67%3.15M
-144.16%-652.22K
-1.24%6.39M
-57.66%1.38M
34.46%2.97M
133.74%565.26K
Net income from continuing operations
88.73%208.91K
-1.94%-1.81M
-1,587.90%-819.89K
-108.27%-1.46M
131.98%356.77K
892.82%110.69K
-183.97%-1.77M
-90.79%55.1K
-179.92%-698.69K
-302.68%-1.12M
Operating gains losses
----
----
----
----
----
----
538.46%113.56K
198.36%95.31K
----
----
Depreciation and amortization
18.29%751.64K
-15.89%2.52M
11.06%699.66K
-21.28%628.04K
-29.24%554.87K
-18.71%635.4K
-3.04%2.99M
-16.73%629.96K
2.30%797.82K
0.87%784.13K
Deferred tax
68.56%-4.81K
88.71%-11.61K
-133.80%-14.67K
111.90%20.58K
-101.14%-2.23K
90.93%-15.29K
-522.66%-102.82K
78.41%43.4K
---172.94K
--195.41K
Other non cash items
0.96%380.9K
2.61%1.52M
5.20%380.9K
1.75%379.01K
1.54%377.97K
2.03%377.26K
300.05%1.48M
12.74%362.06K
2,012.80%372.51K
1,960.56%372.24K
Change In working capital
97.15%-58.16K
-121.40%-540.69K
4,177.17%1.85M
-190.67%-2.05M
13,349.79%1.7M
-1,054.55%-2.04M
356.25%2.53M
-96.09%43.33K
4,403.49%2.26M
100.79%12.6K
-Change in receivables
108.33%190.24K
-83.33%349.6K
-237.69%-426.93K
-16.30%1.19M
523.90%1.87M
-382.59%-2.28M
178.43%2.1M
22.59%310.07K
294.55%1.42M
58.25%-441.57K
-Change in prepaid assets
-21.80%227.22K
433.13%1.16M
293.29%1.15M
-1,300.36%-976.4K
439.67%697.9K
730.45%290.57K
-151.15%-348.16K
-307.48%-593.81K
177.76%81.34K
-64.11%129.32K
-Change in payables and accrued expense
-328.98%-259.03K
-267.64%-1.9M
187.62%1.27M
-374.31%-2.27M
-290.18%-1.01M
116.89%113.12K
-9.01%1.13M
86.87%442.36K
12.02%828.6K
207.27%533.54K
-Change in other current assets
122.15%19.05K
54.99%-47.82K
-61.19%-45.3K
-42.81%7.81K
163.26%75.7K
-408.67%-86.03K
-112.80%-106.24K
-144.82%-28.11K
-50.31%13.66K
-3,130.95%-119.66K
-Change in other current liabilities
-14.42%-69.13K
-8.78%-250.49K
-12.47%-67.2K
-9.04%-61.78K
-5.75%-61.09K
-7.72%-60.42K
-16.38%-230.27K
-5.39%-59.75K
-5.01%-56.65K
-8.19%-57.77K
-Change in other working capital
-943.28%-166.51K
821.68%150.35K
0.49%-27.29K
320.59%68.17K
501.37%125.43K
-123.21%-15.96K
-350.01%-20.83K
-338.85%-27.43K
-113.00%-30.91K
87.86%-31.25K
Cash from discontinued investing activities
Operating cash flow
309.54%1.37M
-57.29%2.73M
69.29%2.33M
-170.48%-2.09M
456.67%3.15M
-144.16%-652.22K
-1.24%6.39M
-57.66%1.38M
34.46%2.97M
133.74%565.26K
Investing cash flow
Cash flow from continuing investing activities
-15.61%-351.33K
13.51%-2.96M
31.68%-1.67M
-4.96%-516.78K
-50.97%-469.67K
-72.22%-303.89K
-387.05%-3.42M
-295.25%-2.44M
-8,598.14%-492.38K
-3,367.79%-311.1K
Net PPE purchase and sale
-772.20%-181.81K
-208.38%-2.26M
-840.72%-1.52M
-30.25%-718.81K
143.50%5.35K
-239.99%-20.85K
-1,988.33%-732.32K
-8,100,450.00%-162.01K
-9,624.94%-551.88K
-37.13%-12.3K
Net intangibles purchase and sale
40.11%-169.52K
74.03%-697.35K
93.79%-141.31K
60.76%-92.09K
-56.89%-180.91K
-374.79%-283.05K
-1,251.52%-2.69M
-1,429.50%-2.28M
---234.7K
---115.31K
Cash from discontinued investing activities
Investing cash flow
-15.61%-351.33K
13.51%-2.96M
31.68%-1.67M
-4.96%-516.78K
-50.97%-469.67K
-72.22%-303.89K
-387.05%-3.42M
-295.25%-2.44M
-8,598.14%-492.38K
-3,367.79%-311.1K
Financing cash flow
Cash flow from continuing financing activities
75.75%-219.76K
-83.37%-1.37M
113.10%42.5K
-120.43%-205.22K
-43.62%-298.35K
-652.19%-906.24K
-117.09%-745.63K
-105.39%-324.33K
83.14%-93.1K
61.83%-207.73K
Net issuance payments of debt
72.88%-243.96K
-34.05%-1.69M
23.22%-236.63K
15.65%-267.95K
10.65%-283.05K
-184.68%-899.41K
-102.75%-1.26M
-100.65%-308.18K
44.17%-317.65K
43.41%-316.79K
Proceeds from stock option exercised by employees
--24.2K
-34.33%375.99K
928.29%308.49K
-71.64%67.5K
--0
--0
-36.54%572.5K
-96.31%30K
278.86%237.98K
603.57%109.06K
Net other financing activities
----
5.58%-56.26K
36.38%-29.36K
---4.77K
---15.3K
---6.83K
99.86%-59.58K
99.89%-46.15K
----
----
Cash from discontinued financing activities
Financing cash flow
75.75%-219.76K
-83.37%-1.37M
113.10%42.5K
-120.43%-205.22K
-43.62%-298.35K
-652.19%-906.24K
-117.09%-745.63K
-105.39%-324.33K
83.14%-93.1K
61.83%-207.73K
Net cash flow
Beginning cash position
-8.48%16.69M
13.57%18.24M
-17.31%15.94M
8.57%18.73M
-4.96%16.39M
13.57%18.24M
167.94%16.06M
160.41%19.28M
198.46%17.25M
183.52%17.24M
Current changes in cash
142.72%795.53K
-171.52%-1.59M
151.05%707.19K
-218.01%-2.82M
5,022.34%2.38M
-257.83%-1.86M
-78.01%2.23M
-116.01%-1.39M
43.43%2.39M
114.91%46.44K
Effect of exchange rate changes
-97.75%254
196.42%47.51K
-86.70%46.26K
107.55%27.3K
4.01%-37.35K
234.39%11.3K
26.25%-49.27K
5,815.98%347.68K
-762.32%-361.43K
-505.58%-38.91K
End cash Position
6.72%17.49M
-8.48%16.69M
-8.48%16.69M
-17.31%15.94M
8.57%18.73M
-4.96%16.39M
13.57%18.24M
13.57%18.24M
160.41%19.28M
198.46%17.25M
Free cash flow
157.31%712.72K
-136.23%-1.06M
84.34%-172.34K
-232.94%-2.91M
644.58%3.26M
-188.13%-1.24M
-52.77%2.93M
-135.46%-1.1M
-0.25%2.19M
87.94%437.65K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(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 309.54%1.37M-57.29%2.73M69.29%2.33M-170.48%-2.09M456.67%3.15M-144.16%-652.22K-1.24%6.39M-57.66%1.38M34.46%2.97M133.74%565.26K
Net income from continuing operations 88.73%208.91K-1.94%-1.81M-1,587.90%-819.89K-108.27%-1.46M131.98%356.77K892.82%110.69K-183.97%-1.77M-90.79%55.1K-179.92%-698.69K-302.68%-1.12M
Operating gains losses ------------------------538.46%113.56K198.36%95.31K--------
Depreciation and amortization 18.29%751.64K-15.89%2.52M11.06%699.66K-21.28%628.04K-29.24%554.87K-18.71%635.4K-3.04%2.99M-16.73%629.96K2.30%797.82K0.87%784.13K
Deferred tax 68.56%-4.81K88.71%-11.61K-133.80%-14.67K111.90%20.58K-101.14%-2.23K90.93%-15.29K-522.66%-102.82K78.41%43.4K---172.94K--195.41K
Other non cash items 0.96%380.9K2.61%1.52M5.20%380.9K1.75%379.01K1.54%377.97K2.03%377.26K300.05%1.48M12.74%362.06K2,012.80%372.51K1,960.56%372.24K
Change In working capital 97.15%-58.16K-121.40%-540.69K4,177.17%1.85M-190.67%-2.05M13,349.79%1.7M-1,054.55%-2.04M356.25%2.53M-96.09%43.33K4,403.49%2.26M100.79%12.6K
-Change in receivables 108.33%190.24K-83.33%349.6K-237.69%-426.93K-16.30%1.19M523.90%1.87M-382.59%-2.28M178.43%2.1M22.59%310.07K294.55%1.42M58.25%-441.57K
-Change in prepaid assets -21.80%227.22K433.13%1.16M293.29%1.15M-1,300.36%-976.4K439.67%697.9K730.45%290.57K-151.15%-348.16K-307.48%-593.81K177.76%81.34K-64.11%129.32K
-Change in payables and accrued expense -328.98%-259.03K-267.64%-1.9M187.62%1.27M-374.31%-2.27M-290.18%-1.01M116.89%113.12K-9.01%1.13M86.87%442.36K12.02%828.6K207.27%533.54K
-Change in other current assets 122.15%19.05K54.99%-47.82K-61.19%-45.3K-42.81%7.81K163.26%75.7K-408.67%-86.03K-112.80%-106.24K-144.82%-28.11K-50.31%13.66K-3,130.95%-119.66K
-Change in other current liabilities -14.42%-69.13K-8.78%-250.49K-12.47%-67.2K-9.04%-61.78K-5.75%-61.09K-7.72%-60.42K-16.38%-230.27K-5.39%-59.75K-5.01%-56.65K-8.19%-57.77K
-Change in other working capital -943.28%-166.51K821.68%150.35K0.49%-27.29K320.59%68.17K501.37%125.43K-123.21%-15.96K-350.01%-20.83K-338.85%-27.43K-113.00%-30.91K87.86%-31.25K
Cash from discontinued investing activities
Operating cash flow 309.54%1.37M-57.29%2.73M69.29%2.33M-170.48%-2.09M456.67%3.15M-144.16%-652.22K-1.24%6.39M-57.66%1.38M34.46%2.97M133.74%565.26K
Investing cash flow
Cash flow from continuing investing activities -15.61%-351.33K13.51%-2.96M31.68%-1.67M-4.96%-516.78K-50.97%-469.67K-72.22%-303.89K-387.05%-3.42M-295.25%-2.44M-8,598.14%-492.38K-3,367.79%-311.1K
Net PPE purchase and sale -772.20%-181.81K-208.38%-2.26M-840.72%-1.52M-30.25%-718.81K143.50%5.35K-239.99%-20.85K-1,988.33%-732.32K-8,100,450.00%-162.01K-9,624.94%-551.88K-37.13%-12.3K
Net intangibles purchase and sale 40.11%-169.52K74.03%-697.35K93.79%-141.31K60.76%-92.09K-56.89%-180.91K-374.79%-283.05K-1,251.52%-2.69M-1,429.50%-2.28M---234.7K---115.31K
Cash from discontinued investing activities
Investing cash flow -15.61%-351.33K13.51%-2.96M31.68%-1.67M-4.96%-516.78K-50.97%-469.67K-72.22%-303.89K-387.05%-3.42M-295.25%-2.44M-8,598.14%-492.38K-3,367.79%-311.1K
Financing cash flow
Cash flow from continuing financing activities 75.75%-219.76K-83.37%-1.37M113.10%42.5K-120.43%-205.22K-43.62%-298.35K-652.19%-906.24K-117.09%-745.63K-105.39%-324.33K83.14%-93.1K61.83%-207.73K
Net issuance payments of debt 72.88%-243.96K-34.05%-1.69M23.22%-236.63K15.65%-267.95K10.65%-283.05K-184.68%-899.41K-102.75%-1.26M-100.65%-308.18K44.17%-317.65K43.41%-316.79K
Proceeds from stock option exercised by employees --24.2K-34.33%375.99K928.29%308.49K-71.64%67.5K--0--0-36.54%572.5K-96.31%30K278.86%237.98K603.57%109.06K
Net other financing activities ----5.58%-56.26K36.38%-29.36K---4.77K---15.3K---6.83K99.86%-59.58K99.89%-46.15K--------
Cash from discontinued financing activities
Financing cash flow 75.75%-219.76K-83.37%-1.37M113.10%42.5K-120.43%-205.22K-43.62%-298.35K-652.19%-906.24K-117.09%-745.63K-105.39%-324.33K83.14%-93.1K61.83%-207.73K
Net cash flow
Beginning cash position -8.48%16.69M13.57%18.24M-17.31%15.94M8.57%18.73M-4.96%16.39M13.57%18.24M167.94%16.06M160.41%19.28M198.46%17.25M183.52%17.24M
Current changes in cash 142.72%795.53K-171.52%-1.59M151.05%707.19K-218.01%-2.82M5,022.34%2.38M-257.83%-1.86M-78.01%2.23M-116.01%-1.39M43.43%2.39M114.91%46.44K
Effect of exchange rate changes -97.75%254196.42%47.51K-86.70%46.26K107.55%27.3K4.01%-37.35K234.39%11.3K26.25%-49.27K5,815.98%347.68K-762.32%-361.43K-505.58%-38.91K
End cash Position 6.72%17.49M-8.48%16.69M-8.48%16.69M-17.31%15.94M8.57%18.73M-4.96%16.39M13.57%18.24M13.57%18.24M160.41%19.28M198.46%17.25M
Free cash flow 157.31%712.72K-136.23%-1.06M84.34%-172.34K-232.94%-2.91M644.58%3.26M-188.13%-1.24M-52.77%2.93M-135.46%-1.1M-0.25%2.19M87.94%437.65K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
% Chg