LIFE HEALTHCARE GROUP HOLDINGS UNSPON ADR EA REPR 4 ORD ZAR0.00
LTGHY
Halozyme Therapeutics
HALO
AIRPORTS OF THAILAND PUBLIC CO UNSP ADR EACH REP 10 ORD SHS
AIPUY
YETI Holdings
YETI
Dorian LPG
LPG
(Q3)Oct 27, 2024 | (Q2)Jul 28, 2024 | (Q1)Apr 28, 2024 | (FY)Jan 28, 2024 | (Q4)Jan 28, 2024 | (Q3)Oct 29, 2023 | (Q2)Jul 28, 2023 | (Q1)Apr 30, 2023 | (FY)Jan 29, 2023 | (Q4)Jan 29, 2023 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -0.02%4.23B | -17.93%5.41B | -2.08%5.5B | 44.86%21.17B | 3.03%4.73B | 49.14%4.23B | 94.25%6.59B | 48.17%5.61B | -11.80%14.62B | 44.24%4.59B |
Net income from continuing operations | -4.25%3.65B | -2.10%4.56B | -7.05%3.6B | -11.47%15.14B | -16.69%2.8B | -12.19%3.81B | -9.94%4.66B | -8.46%3.87B | 4.09%17.11B | 0.30%3.36B |
Depreciation and amortization | 20.31%995M | 15.72%920M | 5.55%837M | 9.14%3.25B | 9.62%832M | 11.31%827M | 6.57%795M | 9.08%793M | 3.95%2.98B | 3.41%759M |
Other non cash items | -64.33%56M | -201.43%-71M | -85.14%11M | 15.87%314M | -71.11%13M | 18.05%157M | 359.26%70M | -38.33%74M | 38.27%271M | -23.73%45M |
Change In working capital | 11.32%-572M | -110.14%-99M | 23.33%925M | 134.22%2.09B | 189.37%1.01B | 73.84%-645M | 137.83%976M | 153.42%750M | -83.85%-6.1B | 133.24%348M |
-Change in receivables | -502.17%-277M | 0.75%404M | 10.97%-795M | 20.72%134M | 58.87%672M | -170.59%-46M | 106.70%401M | -82.62%-893M | 125.52%111M | 331.63%423M |
-Change in inventory | -336.05%-897M | -43.93%1.24B | -217.72%-1.45B | 246.18%4.14B | 118.52%2.01B | 45.59%380M | 381.99%2.21B | 85.83%-457M | 47.62%-2.83B | 159.92%918M |
-Change in payables and accrued expense | 185.15%390M | -16.92%-1.48B | 44.36%3.12B | 46.50%-1.44B | -63.61%-1.88B | 82.90%-458M | 26.67%-1.27B | -24.54%2.16B | -214.21%-2.68B | -359.28%-1.15B |
-Change in other current assets | 1,225.93%358M | 31.93%-226M | -88.33%-113M | 40.84%-184M | -29.57%181M | -73.00%27M | -320.25%-332M | 89.81%-60M | 5.76%-311M | 471.11%257M |
-Change in other working capital | 73.36%-146M | 0.00%-36M | 8,300.00%164M | -45.10%-563M | 122.12%23M | -315.15%-548M | 80.75%-36M | -105.71%-2M | -177.76%-388M | -4.00%-104M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -0.02%4.23B | -17.93%5.41B | -2.08%5.5B | 44.86%21.17B | 3.03%4.73B | 49.14%4.23B | 94.25%6.59B | 48.17%5.61B | -11.80%14.62B | 44.24%4.59B |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 34.67%-814M | -1,728.63%-18.27B | 8.08%-830M | -50.61%-4.73B | -76.65%-1.58B | -58.93%-1.25B | -31.45%-999M | -28.82%-903M | -5.76%-3.14B | -6.93%-895M |
Capital expenditure reported | -21.91%-818M | 9.22%-719M | 6.41%-847M | -3.43%-3.23B | 4.98%-858M | 12.74%-671M | -6.59%-792M | -28.55%-905M | -21.55%-3.12B | -8.93%-903M |
Net business purchase and sale | 92.59%-43M | ---- | ---- | ---1.51B | ---719M | ---580M | ---- | ---- | --0 | --0 |
Net other investing changes | 840.00%47M | 162.50%21M | 750.00%17M | 152.38%11M | -150.00%-4M | 133.33%5M | 147.06%8M | -33.33%2M | -216.67%-21M | 366.67%8M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 34.67%-814M | -1,728.63%-18.27B | 8.08%-830M | -50.61%-4.73B | -76.65%-1.58B | -58.93%-1.25B | -31.45%-999M | -28.82%-903M | -5.76%-3.14B | -6.93%-895M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 4.95%-3.48B | 351.57%10.26B | 33.00%-4.15B | -40.48%-15.44B | 55.89%-1.52B | -388.25%-3.66B | 3.34%-4.08B | -139.94%-6.19B | 42.51%-10.99B | 31.23%-3.45B |
Net issuance payments of debt | -1,688.57%-1.25B | 18,589.55%12.39B | -9.50%-1.16B | -78.81%724M | 2,929.41%1.92B | -102.93%-70M | 91.33%-67M | -156.91%-1.06B | 37.63%3.42B | -106.92%-68M |
Net common stock issuance | 101.41%21M | 107.76%148M | 79.56%-587M | -18.59%-7.63B | 6.03%-1.36B | -27.69%-1.49B | -25.71%-1.91B | -24.71%-2.87B | 55.56%-6.43B | 66.37%-1.44B |
Cash dividends paid | -6.94%-2.23B | -6.39%-2.23B | -5.24%-2.23B | -7.63%-8.38B | -7.55%-2.08B | -7.35%-2.09B | -7.65%-2.1B | -7.95%-2.12B | -11.51%-7.79B | -12.32%-1.93B |
Net other financing activities | -175.00%-11M | -557.14%-46M | -22.96%-166M | 17.02%-156M | -233.33%-10M | 81.82%-4M | -136.84%-7M | 25.82%-135M | -29.66%-188M | -120.00%-3M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 4.95%-3.48B | 351.57%10.26B | 33.00%-4.15B | -40.48%-15.44B | 55.89%-1.52B | -388.25%-3.66B | 3.34%-4.08B | -139.94%-6.19B | 42.51%-10.99B | 31.23%-3.45B |
Net cash flow | ||||||||||
Beginning cash position | -42.68%1.61B | 238.41%4.26B | 36.38%3.76B | 17.67%2.76B | -16.41%2.06B | 123.51%2.81B | -55.70%1.26B | 17.67%2.76B | -70.32%2.34B | -51.41%2.46B |
Current changes in cash | 91.48%-57M | -271.73%-2.6B | 135.27%521M | 107.47%1B | 545.06%1.63B | -151.23%-669M | 195.46%1.51B | -390.18%-1.48B | 108.74%482M | 109.50%253M |
Effect of exchange rate changes | 71.26%-25M | -227.50%-51M | 15.00%-17M | 104.41%3M | 66.67%70M | 15.53%-87M | 3,900.00%40M | -150.00%-20M | -100.00%-68M | 168.85%42M |
End cash Position | -25.61%1.53B | -42.68%1.61B | 238.41%4.26B | 36.38%3.76B | 36.38%3.76B | -16.41%2.06B | 123.51%2.81B | -55.70%1.26B | 17.67%2.76B | 17.67%2.76B |
Free cash flow | -4.15%3.42B | -19.12%4.69B | -1.25%4.65B | 56.11%17.95B | 4.99%3.88B | 72.13%3.56B | 118.83%5.8B | 52.64%4.71B | -17.92%11.5B | 56.66%3.69B |
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 |