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HCMC VPCO

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  • 0.000001
  • 0.0000000.00%
15min DelayTrading Nov 27 11:11 ET
481.27KMarket Cap0.00P/E (TTM)

VPCO Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
134.21%438.26K
92.60%-97.3K
-1.27%-2.37M
-22.58%-4.74M
116.82%200.2K
-59.07%-1.28M
-10.31%-1.31M
-244.94%-2.34M
-9.58%-3.87M
19.82%-1.19M
Net income from continuing operations
-45.34%-4.35M
5.51%-2.51M
-50.01%-2.86M
-156.08%-18.48M
-340.94%-10.93M
-44.15%-2.99M
-97.16%-2.65M
-44.72%-1.91M
-78.77%-7.22M
-0.33%-2.48M
Operating gains losses
15,805.61%1.68M
-96.55%136
-80.77%857
60.70%21.49K
-66.07%2.5K
-6.42%10.59K
319.06%3.94K
226.84%4.46K
101.74%13.37K
-30.07%7.37K
Depreciation and amortization
34.16%1.33M
52.00%1.13M
5.07%1.12M
83.43%4.08M
25.57%1.28M
143.16%993.52K
73.33%742.42K
188.07%1.07M
115.64%2.23M
303.50%1.02M
Other non cash items
100.26%957
112.34%52.45K
-14.75%18.84K
-50.59%-501.61K
--273.29K
---372K
---425K
--22.1K
---333.1K
----
Change In working capital
99.48%-3.54K
-20.50%-647.98K
-19.96%-2.53M
-901.21%-1.88M
386.67%1.44M
-273.91%-678.45K
-133.74%-537.75K
-1,458.32%-2.11M
62.19%-187.78K
-246.65%-502.83K
-Change in receivables
-741.23%-321.84K
11.95%8.94K
14.99%-38.1K
-221.14%-87.78K
-434.05%-12.69K
-67.79%-38.26K
16.15%7.98K
-396.27%-44.82K
-468.75%-27.33K
-108.01%-2.38K
-Change in inventory
-78.61%-747.58K
-148.56%-561.41K
-2.70%-691.6K
-49.79%-2.03M
4.37%-715.05K
0.43%-418.54K
-683.53%-225.86K
-320.05%-673.39K
-183.53%-1.36M
-3,956.76%-747.7K
-Change in prepaid assets
183.52%798.55K
121.01%87.14K
241.79%362.12K
-232.16%-177.37K
5,597.11%1.45M
-1,751.20%-956.18K
-859.90%-414.79K
-262.01%-255.39K
178.80%134.22K
83.38%-26.36K
-Change in payables and accrued expense
80.58%1.36M
-0.07%546.48K
-87.02%-1.39M
-51.52%1.97M
-43.50%1.42M
-27.10%752.59K
386.99%546.84K
-278.90%-744.15K
558.97%4.07M
314.09%2.51M
-Change in other current assets
-113.06%-75.27K
162.68%41.58K
-111.48%-32.2K
157.18%923.42K
108.34%132.82K
5,231.26%576.47K
-921.40%-66.34K
1,121.90%280.47K
-38,911.10%-1.61M
-159,180,100.00%-1.59M
-Change in other current liabilities
-59.43%-943.68K
-114.67%-714.18K
-5.49%-706.56K
-128.25%-2.46M
-49.71%-863.9K
-271.41%-591.92K
-84.05%-332.68K
-319.02%-669.8K
-130.70%-1.08M
-387.23%-577.05K
-Change in other working capital
-2,690.11%-72.77K
-6.88%-56.54K
-1,662.68%-27.6K
93.20%-21.6K
146.31%32.14K
-321.39%-2.61K
71.82%-52.9K
102.85%1.77K
-16,692.95%-317.92K
-3,467.25%-69.4K
Cash from discontinued investing activities
Operating cash flow
134.21%438.26K
92.60%-97.3K
-1.27%-2.37M
-22.58%-4.74M
116.82%200.2K
-59.07%-1.28M
-10.31%-1.31M
-244.94%-2.34M
-9.58%-3.87M
19.82%-1.19M
Investing cash flow
Cash flow from continuing investing activities
-4,154.70%-4.75M
-727.38%-42.76K
-10.44%-121.41K
92.83%-768.56K
85.64%-770.72K
605.97%117.26K
92.87%-5.17K
97.91%-109.93K
-12,183.74%-10.73M
-8,526.76%-5.37M
Net PPE purchase and sale
-2.13%-28.7K
-96.36%-42.76K
3.84%-121.41K
61.67%-184.35K
96.41%-8.22K
27.40%-28.1K
74.64%-21.78K
0.80%-126.25K
-752.43%-480.93K
-7,584.84%-229.09K
Net intangibles purchase and sale
----
----
----
0.00%-12.5K
----
----
----
----
0.00%-12.5K
----
Net business purchase and sale
----
----
----
92.71%-750K
85.41%-750K
----
----
----
-13,622.23%-10.29M
-6,755.57%-5.14M
Net other investing changes
----
----
----
203.79%178.29K
--0
835.97%145.37K
24.40%16.61K
18.50%16.32K
3.70%58.69K
1.73%16.04K
Cash from discontinued investing activities
Investing cash flow
-4,154.70%-4.75M
-727.38%-42.76K
-10.44%-121.41K
92.83%-768.56K
85.64%-770.72K
605.97%117.26K
92.87%-5.17K
97.91%-109.93K
-12,183.74%-10.73M
-8,526.76%-5.37M
Financing cash flow
Cash flow from continuing financing activities
2,038.20%3.5M
96.28%-411.42K
277.75%1.32M
-205.96%-13.55M
-1,697.07%-1.56M
-101.41%-180.43K
-1,709,992.58%-11.06M
-2,247.59%-742.16K
-52.97%12.79M
33.05%-86.88K
Net issuance payments of debt
5,656.64%7.5M
-31.03%-174.34K
-30.50%-171.75K
-940.83%-558.1K
-82.45%-158.51K
-20,498.47%-134.92K
-20,465.07%-133.06K
-480.85%-131.61K
97.75%-53.62K
33.05%-86.88K
Net preferred stock issuance
--0
--0
--0
-194.68%-12.16M
---833.33K
--0
---10.71M
---610.55K
156.80%12.84M
--0
Net other financing activities
-8,689.10%-4M
---237.07K
--1.49M
---833.77K
---569.39K
---45.51K
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
2,038.20%3.5M
96.28%-411.42K
277.75%1.32M
-205.96%-13.55M
-1,697.07%-1.56M
-101.41%-180.43K
-1,709,992.58%-11.06M
-2,247.59%-742.16K
-52.97%12.79M
33.05%-86.88K
Net cash flow
Beginning cash position
-57.12%3.91M
-79.26%4.46M
-77.18%5.63M
-6.82%24.69M
-75.22%7.77M
-52.85%9.11M
4.40%21.49M
-6.82%24.69M
805.71%26.5M
11.22%31.33M
Current changes in cash
39.04%-819.35K
95.55%-551.48K
63.20%-1.18M
-954.98%-19.06M
67.91%-2.13M
-111.19%-1.34M
-879.40%-12.38M
45.90%-3.2M
-107.66%-1.81M
-296.41%-6.64M
End cash Position
-60.25%3.09M
-57.12%3.91M
-79.26%4.46M
-77.18%5.63M
-77.18%5.63M
-75.22%7.77M
-52.85%9.11M
4.40%21.49M
-6.82%24.69M
-6.82%24.69M
Free cash flow
131.29%409.56K
89.52%-140.06K
-1.01%-2.5M
-13.22%-4.94M
112.54%179.48K
-55.11%-1.31M
-4.60%-1.34M
-206.18%-2.47M
-21.19%-4.36M
3.73%-1.43M
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
--
(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 134.21%438.26K92.60%-97.3K-1.27%-2.37M-22.58%-4.74M116.82%200.2K-59.07%-1.28M-10.31%-1.31M-244.94%-2.34M-9.58%-3.87M19.82%-1.19M
Net income from continuing operations -45.34%-4.35M5.51%-2.51M-50.01%-2.86M-156.08%-18.48M-340.94%-10.93M-44.15%-2.99M-97.16%-2.65M-44.72%-1.91M-78.77%-7.22M-0.33%-2.48M
Operating gains losses 15,805.61%1.68M-96.55%136-80.77%85760.70%21.49K-66.07%2.5K-6.42%10.59K319.06%3.94K226.84%4.46K101.74%13.37K-30.07%7.37K
Depreciation and amortization 34.16%1.33M52.00%1.13M5.07%1.12M83.43%4.08M25.57%1.28M143.16%993.52K73.33%742.42K188.07%1.07M115.64%2.23M303.50%1.02M
Other non cash items 100.26%957112.34%52.45K-14.75%18.84K-50.59%-501.61K--273.29K---372K---425K--22.1K---333.1K----
Change In working capital 99.48%-3.54K-20.50%-647.98K-19.96%-2.53M-901.21%-1.88M386.67%1.44M-273.91%-678.45K-133.74%-537.75K-1,458.32%-2.11M62.19%-187.78K-246.65%-502.83K
-Change in receivables -741.23%-321.84K11.95%8.94K14.99%-38.1K-221.14%-87.78K-434.05%-12.69K-67.79%-38.26K16.15%7.98K-396.27%-44.82K-468.75%-27.33K-108.01%-2.38K
-Change in inventory -78.61%-747.58K-148.56%-561.41K-2.70%-691.6K-49.79%-2.03M4.37%-715.05K0.43%-418.54K-683.53%-225.86K-320.05%-673.39K-183.53%-1.36M-3,956.76%-747.7K
-Change in prepaid assets 183.52%798.55K121.01%87.14K241.79%362.12K-232.16%-177.37K5,597.11%1.45M-1,751.20%-956.18K-859.90%-414.79K-262.01%-255.39K178.80%134.22K83.38%-26.36K
-Change in payables and accrued expense 80.58%1.36M-0.07%546.48K-87.02%-1.39M-51.52%1.97M-43.50%1.42M-27.10%752.59K386.99%546.84K-278.90%-744.15K558.97%4.07M314.09%2.51M
-Change in other current assets -113.06%-75.27K162.68%41.58K-111.48%-32.2K157.18%923.42K108.34%132.82K5,231.26%576.47K-921.40%-66.34K1,121.90%280.47K-38,911.10%-1.61M-159,180,100.00%-1.59M
-Change in other current liabilities -59.43%-943.68K-114.67%-714.18K-5.49%-706.56K-128.25%-2.46M-49.71%-863.9K-271.41%-591.92K-84.05%-332.68K-319.02%-669.8K-130.70%-1.08M-387.23%-577.05K
-Change in other working capital -2,690.11%-72.77K-6.88%-56.54K-1,662.68%-27.6K93.20%-21.6K146.31%32.14K-321.39%-2.61K71.82%-52.9K102.85%1.77K-16,692.95%-317.92K-3,467.25%-69.4K
Cash from discontinued investing activities
Operating cash flow 134.21%438.26K92.60%-97.3K-1.27%-2.37M-22.58%-4.74M116.82%200.2K-59.07%-1.28M-10.31%-1.31M-244.94%-2.34M-9.58%-3.87M19.82%-1.19M
Investing cash flow
Cash flow from continuing investing activities -4,154.70%-4.75M-727.38%-42.76K-10.44%-121.41K92.83%-768.56K85.64%-770.72K605.97%117.26K92.87%-5.17K97.91%-109.93K-12,183.74%-10.73M-8,526.76%-5.37M
Net PPE purchase and sale -2.13%-28.7K-96.36%-42.76K3.84%-121.41K61.67%-184.35K96.41%-8.22K27.40%-28.1K74.64%-21.78K0.80%-126.25K-752.43%-480.93K-7,584.84%-229.09K
Net intangibles purchase and sale ------------0.00%-12.5K----------------0.00%-12.5K----
Net business purchase and sale ------------92.71%-750K85.41%-750K-------------13,622.23%-10.29M-6,755.57%-5.14M
Net other investing changes ------------203.79%178.29K--0835.97%145.37K24.40%16.61K18.50%16.32K3.70%58.69K1.73%16.04K
Cash from discontinued investing activities
Investing cash flow -4,154.70%-4.75M-727.38%-42.76K-10.44%-121.41K92.83%-768.56K85.64%-770.72K605.97%117.26K92.87%-5.17K97.91%-109.93K-12,183.74%-10.73M-8,526.76%-5.37M
Financing cash flow
Cash flow from continuing financing activities 2,038.20%3.5M96.28%-411.42K277.75%1.32M-205.96%-13.55M-1,697.07%-1.56M-101.41%-180.43K-1,709,992.58%-11.06M-2,247.59%-742.16K-52.97%12.79M33.05%-86.88K
Net issuance payments of debt 5,656.64%7.5M-31.03%-174.34K-30.50%-171.75K-940.83%-558.1K-82.45%-158.51K-20,498.47%-134.92K-20,465.07%-133.06K-480.85%-131.61K97.75%-53.62K33.05%-86.88K
Net preferred stock issuance --0--0--0-194.68%-12.16M---833.33K--0---10.71M---610.55K156.80%12.84M--0
Net other financing activities -8,689.10%-4M---237.07K--1.49M---833.77K---569.39K---45.51K----------------
Cash from discontinued financing activities
Financing cash flow 2,038.20%3.5M96.28%-411.42K277.75%1.32M-205.96%-13.55M-1,697.07%-1.56M-101.41%-180.43K-1,709,992.58%-11.06M-2,247.59%-742.16K-52.97%12.79M33.05%-86.88K
Net cash flow
Beginning cash position -57.12%3.91M-79.26%4.46M-77.18%5.63M-6.82%24.69M-75.22%7.77M-52.85%9.11M4.40%21.49M-6.82%24.69M805.71%26.5M11.22%31.33M
Current changes in cash 39.04%-819.35K95.55%-551.48K63.20%-1.18M-954.98%-19.06M67.91%-2.13M-111.19%-1.34M-879.40%-12.38M45.90%-3.2M-107.66%-1.81M-296.41%-6.64M
End cash Position -60.25%3.09M-57.12%3.91M-79.26%4.46M-77.18%5.63M-77.18%5.63M-75.22%7.77M-52.85%9.11M4.40%21.49M-6.82%24.69M-6.82%24.69M
Free cash flow 131.29%409.56K89.52%-140.06K-1.01%-2.5M-13.22%-4.94M112.54%179.48K-55.11%-1.31M-4.60%-1.34M-206.18%-2.47M-21.19%-4.36M3.73%-1.43M
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

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Price Target

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