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GSOL GRAYSCALE SOLANA TRUST

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  • 495.000
  • +12.900+2.68%
15min DelayClose Jul 19 16:00 ET
11.99BMarket Cap678.08P/E (TTM)

GRAYSCALE SOLANA TRUST Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
(FY)Dec 31, 2013
(Q1)Mar 31, 2013
(FY)Dec 31, 2012
(FY)Dec 31, 2011
(FY)Dec 31, 2010
(FY)Dec 31, 2009
(FY)Dec 31, 2008
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-39.72%18.32M
61.29%30.39M
-42.68%18.84M
-0.22%32.87M
----
8.13%32.95M
16.10%30.47M
75.98%26.24M
--14.91M
----
Operating gains losses
101.00%160K
-66,595.83%-15.96M
100.15%24K
-85,950.00%-15.49M
----
-100.65%-18K
376.14%2.79M
-2,042.31%-1.01M
-74.51%52K
-89.92%204K
Depreciation and amortization
-13.36%8.95M
-20.94%10.33M
44.66%13.06M
-0.91%9.03M
----
34.30%9.11M
1.75%6.79M
-9.22%6.67M
31.30%7.35M
18.77%5.59M
Deferred tax
----
----
----
----
----
70.12%2.74M
44.40%1.61M
124.30%1.12M
--498K
----
Other non cash items
--4.79M
--0
-73.70%2.24M
344.01%8.53M
----
186.57%1.92M
33.47%670K
243.84%502K
370.97%146K
-99.79%31K
Change In working capital
183.76%6.84M
-274.82%-8.17M
53.79%-2.18M
66.74%-4.72M
----
-195.80%-14.18M
15.11%14.81M
94.36%12.86M
83.78%6.62M
-76.46%3.6M
-Change in receivables
500.64%3.76M
-127.46%-939K
292.73%3.42M
-79.74%-1.77M
----
-170.96%-987K
138.36%1.39M
-250.46%-3.63M
-66.03%2.41M
2,312.93%7.09M
-Change in inventory
409.52%65K
-118.75%-21K
-22.22%112K
180.00%144K
----
-187.80%-180K
24.24%205K
-76.63%165K
456.57%706K
9.59%-198K
-Change in prepaid assets
333.97%2.03M
-69.79%468K
1,005.85%1.55M
-106.76%-171K
----
767.02%2.53M
94.26%-379K
-324.04%-6.61M
349.49%2.95M
-2.07%-1.18M
-Change in payables and accrued expense
59.33%-1.43M
-81.75%-3.53M
-219.08%-1.94M
-121.71%-608K
----
186.99%2.8M
-51.15%976K
1,151.58%2M
-106.20%-190K
347.82%3.06M
-Change in other working capital
158.27%2.42M
21.94%-4.15M
-130.40%-5.32M
87.41%-2.31M
----
-245.45%-18.35M
-39.75%12.61M
2,717.36%20.93M
114.35%743K
-129.38%-5.18M
Cash from discontinued investing activities
Operating cash flow
115.54%34.41M
-50.53%15.96M
3.92%32.27M
-0.71%31.06M
----
-43.37%31.28M
17.72%55.23M
57.79%46.92M
-21.64%29.74M
-37.41%37.95M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-102.15%-421K
207.98%19.54M
-2,204.30%-18.1M
163.00%860K
----
97.59%-1.37M
-2,170.74%-56.66M
-90.31%-2.5M
97.45%-1.31M
-256.92%-51.48M
Net intangibles purchase and sale
--0
-13.40%-584K
---515K
----
----
--0
----
----
----
----
Net business purchase and sale
75.91%-618K
71.56%-2.57M
-105.58%-9.02M
61.38%-4.39M
----
-231.84%-11.36M
-352.78%-3.42M
73.15%-756K
---2.82M
--0
Net investment purchase and sale
-376.18%-11.22M
59.77%4.06M
106.58%2.54M
-77.63%1.23M
----
141.55%5.5M
-296.24%-13.25M
-87.78%6.75M
189.68%55.26M
-489.14%-61.62M
Net other investing changes
89.57%-413K
-35.63%-3.96M
-152.59%-2.92M
1,576.06%5.55M
----
62.17%-376K
-101.67%-994K
200.21%59.5M
---59.38M
----
Cash from discontinued investing activities
Investing cash flow
-176.82%-12.67M
158.90%16.5M
-960.69%-28.01M
142.84%3.25M
----
89.78%-7.6M
-217.96%-74.32M
864.14%63M
92.71%-8.25M
-7,103.03%-113.1M
Financing cash flow
Cash flow from continuing financing activities
Net common stock issuance
--0
0.00%-50M
---50M
----
----
--0
----
---100.09M
--0
---50M
Cash dividends paid
----
----
----
----
----
-234.10%-1.3M
-14.71%-390K
---340K
--0
---479K
Net other financing activities
----
-40.19%-1.88M
---1.34M
----
----
----
----
----
----
---1.11M
Cash from discontinued financing activities
Financing cash flow
97.42%-1.34M
-1.05%-51.88M
-2,413.02%-51.34M
-56.79%-2.04M
----
-234.10%-1.3M
99.61%-390K
-74,847.01%-100.43M
99.74%-134K
-12,324.88%-51.59M
Net cash flow
Beginning cash position
-22.02%70.36M
-34.32%90.22M
31.28%137.36M
27.75%104.63M
----
-19.15%81.9M
10.64%101.3M
30.37%91.55M
-64.50%70.23M
46.44%197.83M
Current changes in cash
205.04%20.4M
58.75%-19.42M
-245.90%-47.08M
44.19%32.27M
----
214.88%22.38M
-305.19%-19.48M
-55.55%9.49M
116.85%21.36M
-302.03%-126.74M
Effect of exchange rate changes
-347.32%-2M
-659.32%-448K
-112.77%-59K
32.00%462K
----
316.67%350K
-66.67%84K
1,000.00%252K
96.74%-28K
-1,487.10%-860K
End cash Position
26.14%88.75M
-22.02%70.36M
-34.32%90.22M
31.28%137.36M
----
27.75%104.63M
-19.15%81.9M
10.64%101.3M
30.37%91.55M
-64.50%70.23M
Free cash flow
133.61%33.97M
6.92%14.54M
239.37%13.6M
-86.60%4.01M
----
2,182.59%29.91M
-103.23%-1.44M
56.57%44.4M
309.54%28.36M
-129.29%-13.53M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014(FY)Dec 31, 2013(Q1)Mar 31, 2013(FY)Dec 31, 2012(FY)Dec 31, 2011(FY)Dec 31, 2010(FY)Dec 31, 2009(FY)Dec 31, 2008
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -39.72%18.32M61.29%30.39M-42.68%18.84M-0.22%32.87M----8.13%32.95M16.10%30.47M75.98%26.24M--14.91M----
Operating gains losses 101.00%160K-66,595.83%-15.96M100.15%24K-85,950.00%-15.49M-----100.65%-18K376.14%2.79M-2,042.31%-1.01M-74.51%52K-89.92%204K
Depreciation and amortization -13.36%8.95M-20.94%10.33M44.66%13.06M-0.91%9.03M----34.30%9.11M1.75%6.79M-9.22%6.67M31.30%7.35M18.77%5.59M
Deferred tax --------------------70.12%2.74M44.40%1.61M124.30%1.12M--498K----
Other non cash items --4.79M--0-73.70%2.24M344.01%8.53M----186.57%1.92M33.47%670K243.84%502K370.97%146K-99.79%31K
Change In working capital 183.76%6.84M-274.82%-8.17M53.79%-2.18M66.74%-4.72M-----195.80%-14.18M15.11%14.81M94.36%12.86M83.78%6.62M-76.46%3.6M
-Change in receivables 500.64%3.76M-127.46%-939K292.73%3.42M-79.74%-1.77M-----170.96%-987K138.36%1.39M-250.46%-3.63M-66.03%2.41M2,312.93%7.09M
-Change in inventory 409.52%65K-118.75%-21K-22.22%112K180.00%144K-----187.80%-180K24.24%205K-76.63%165K456.57%706K9.59%-198K
-Change in prepaid assets 333.97%2.03M-69.79%468K1,005.85%1.55M-106.76%-171K----767.02%2.53M94.26%-379K-324.04%-6.61M349.49%2.95M-2.07%-1.18M
-Change in payables and accrued expense 59.33%-1.43M-81.75%-3.53M-219.08%-1.94M-121.71%-608K----186.99%2.8M-51.15%976K1,151.58%2M-106.20%-190K347.82%3.06M
-Change in other working capital 158.27%2.42M21.94%-4.15M-130.40%-5.32M87.41%-2.31M-----245.45%-18.35M-39.75%12.61M2,717.36%20.93M114.35%743K-129.38%-5.18M
Cash from discontinued investing activities
Operating cash flow 115.54%34.41M-50.53%15.96M3.92%32.27M-0.71%31.06M-----43.37%31.28M17.72%55.23M57.79%46.92M-21.64%29.74M-37.41%37.95M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -102.15%-421K207.98%19.54M-2,204.30%-18.1M163.00%860K----97.59%-1.37M-2,170.74%-56.66M-90.31%-2.5M97.45%-1.31M-256.92%-51.48M
Net intangibles purchase and sale --0-13.40%-584K---515K----------0----------------
Net business purchase and sale 75.91%-618K71.56%-2.57M-105.58%-9.02M61.38%-4.39M-----231.84%-11.36M-352.78%-3.42M73.15%-756K---2.82M--0
Net investment purchase and sale -376.18%-11.22M59.77%4.06M106.58%2.54M-77.63%1.23M----141.55%5.5M-296.24%-13.25M-87.78%6.75M189.68%55.26M-489.14%-61.62M
Net other investing changes 89.57%-413K-35.63%-3.96M-152.59%-2.92M1,576.06%5.55M----62.17%-376K-101.67%-994K200.21%59.5M---59.38M----
Cash from discontinued investing activities
Investing cash flow -176.82%-12.67M158.90%16.5M-960.69%-28.01M142.84%3.25M----89.78%-7.6M-217.96%-74.32M864.14%63M92.71%-8.25M-7,103.03%-113.1M
Financing cash flow
Cash flow from continuing financing activities
Net common stock issuance --00.00%-50M---50M----------0-------100.09M--0---50M
Cash dividends paid ---------------------234.10%-1.3M-14.71%-390K---340K--0---479K
Net other financing activities -----40.19%-1.88M---1.34M---------------------------1.11M
Cash from discontinued financing activities
Financing cash flow 97.42%-1.34M-1.05%-51.88M-2,413.02%-51.34M-56.79%-2.04M-----234.10%-1.3M99.61%-390K-74,847.01%-100.43M99.74%-134K-12,324.88%-51.59M
Net cash flow
Beginning cash position -22.02%70.36M-34.32%90.22M31.28%137.36M27.75%104.63M-----19.15%81.9M10.64%101.3M30.37%91.55M-64.50%70.23M46.44%197.83M
Current changes in cash 205.04%20.4M58.75%-19.42M-245.90%-47.08M44.19%32.27M----214.88%22.38M-305.19%-19.48M-55.55%9.49M116.85%21.36M-302.03%-126.74M
Effect of exchange rate changes -347.32%-2M-659.32%-448K-112.77%-59K32.00%462K----316.67%350K-66.67%84K1,000.00%252K96.74%-28K-1,487.10%-860K
End cash Position 26.14%88.75M-22.02%70.36M-34.32%90.22M31.28%137.36M----27.75%104.63M-19.15%81.9M10.64%101.3M30.37%91.55M-64.50%70.23M
Free cash flow 133.61%33.97M6.92%14.54M239.37%13.6M-86.60%4.01M----2,182.59%29.91M-103.23%-1.44M56.57%44.4M309.54%28.36M-129.29%-13.53M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

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