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HLS HLS Therapeutics Inc

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  • 3.250
  • -0.090-2.69%
15min DelayMarket Closed Nov 1 16:00 ET
103.33MMarket Cap-3167P/E (TTM)

HLS Therapeutics Inc 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
-5.58%2.52M
-80.65%778K
-6.81%15.79M
6.05%3.73M
29.29%5.37M
-24.03%2.67M
-30.18%4.02M
3.12%16.94M
-11.49%3.52M
16.90%4.15M
Net income from continuing operations
39.79%-5.68M
-5.42%-6.11M
-16.67%-27.53M
15.99%-5.4M
-56.49%-6.9M
-3.22%-9.44M
-60.18%-5.79M
-79.90%-23.6M
-53.51%-6.43M
-122.84%-4.41M
Depreciation and amortization
-30.00%5.86M
-28.85%5.92M
-7.16%31.94M
-18.93%7.05M
-7.10%8.21M
-1.45%8.37M
-0.81%8.32M
13.67%34.4M
8.04%8.69M
19.83%8.83M
Asset impairment expenditure
----
----
27.60%3.89M
--1.54M
--0
----
----
--3.05M
--0
--0
Unrealized gains and losses of investment securities
-44.21%318K
-66.06%187K
223.95%2.89M
-210.97%-263K
611.34%2.03M
181.90%570K
137.38%551K
-18.27%-2.33M
129.74%237K
16.95%-397K
Remuneration paid in stock
211.68%427K
565.45%256K
-118.41%-538K
-179.92%-601K
-115.20%-19K
-88.86%137K
-106.75%-55K
24.13%2.92M
42.16%752K
210.62%125K
Deferred tax
4,642.35%3.86M
65.54%-61K
-604.35%-696K
212.63%107K
-176.02%-541K
-525.00%-85K
-143.28%-177K
-87.85%138K
-115.40%-95K
-177.17%-196K
Other non cashItems
45.79%277K
47.64%282K
-1.60%797K
9.60%217K
-0.50%199K
-7.32%190K
-7.73%191K
3.45%810K
-3.88%198K
-4.31%200K
Change In working capital
46.61%843K
-69.38%301K
225.60%5.04M
554.82%1.09M
47,940.00%2.39M
61.52%575K
-4.56%983K
151.21%1.55M
138.25%166K
99.71%-5K
-Change in receivables
120.34%346K
-21.33%837K
377.44%738K
128.96%221K
1,168.13%1.15M
-183.50%-1.7M
5.77%1.06M
-125.48%-266K
-238.48%-763K
-85.80%91K
-Change in inventory
70.83%1.19M
56.35%-770K
-6.27%-661K
-149.52%-613K
291.37%1.02M
138.77%696K
-476.92%-1.76M
-135.18%-622K
42.30%1.24M
-1,258.70%-533K
-Change in payables and accrued expense
-286.16%-1.12M
-134.86%-495K
-27.72%2.27M
34.01%-423K
901.92%1.56M
-107.99%-289K
14,100.00%1.42M
176.75%3.14M
65.28%-641K
108.43%156K
-Change in other current assets
-126.59%-750K
810.00%273K
217.75%199K
131.54%345K
-46.37%155K
58.10%-331K
-83.61%30K
75.68%-169K
--149K
--289K
-Change in other working capital
-46.64%1.17M
95.71%456K
562.83%2.49M
750.82%1.56M
-18,650.00%-1.5M
2,994.74%2.2M
136.58%233K
48.47%-538K
-22.46%183K
99.10%-8K
Cash from discontinued investing activities
Operating cash flow
-5.58%2.52M
-80.65%778K
-6.81%15.79M
6.05%3.73M
29.29%5.37M
-24.03%2.67M
-30.18%4.02M
3.12%16.94M
-11.49%3.52M
16.90%4.15M
Investing cash flow
Cash flow from continuing investing activities
9,914.81%13.25M
-2K
98.14%-189K
30.00%-14K
99.60%-40K
-66.67%-135K
0
-125.01%-10.15M
95.26%-20K
-4,856.44%-10.01M
Net PPE purchase and sale
--0
---2K
8.89%-41K
-55.56%-14K
--0
-80.00%-27K
--0
4.26%-45K
59.09%-9K
-20.00%-12K
Net intangibles purchas and sale
----
----
98.54%-148K
--0
99.60%-40K
----
----
-126.37%-10.1M
97.25%-11K
-5,108.33%-10M
Cash from discontinued investing activities
Investing cash flow
9,914.81%13.25M
---2K
98.14%-189K
30.00%-14K
99.60%-40K
-66.67%-135K
--0
-125.01%-10.15M
95.26%-20K
-4,856.44%-10.01M
Financing cash flow
Cash flow from continuing financing activities
12.48%-2.58M
13.66%-3.03M
-113.52%-14.64M
5.08%-3.89M
-167.77%-4.29M
38.54%-2.95M
18.22%-3.51M
39.85%-6.86M
1.82%-4.09M
319.48%6.33M
Net issuance payments of debt
-3.75%-1.61M
2.80%-2.22M
-2,045.80%-9.46M
-29.60%-3.31M
-127.55%-2.33M
51.35%-1.55M
27.76%-2.28M
96.04%-441K
19.30%-2.55M
367.46%8.45M
Net common stock issuance
-71.35%-317K
-53.80%-283K
-55.51%-1.55M
-65.71%-580K
-123.33%-603K
48.18%-185K
-776.19%-184K
-2,023.40%-998K
---350K
-474.47%-270K
Cash dividends paid
--0
--0
51.67%-2.4M
--0
--0
4.03%-1.22M
7.80%-1.18M
3.12%-4.96M
5.99%-1.19M
4.39%-1.22M
Proceeds from stock option exercised by employees
--0
--0
-27.17%134K
--0
--0
--0
-18.79%134K
-96.25%184K
--0
-99.25%12K
Net other financing activities
---658K
---533K
-112.83%-1.36M
--0
----
----
----
---639K
--0
----
Cash from discontinued financing activities
Financing cash flow
12.48%-2.58M
13.66%-3.03M
-113.52%-14.64M
5.08%-3.89M
-167.77%-4.29M
38.54%-2.95M
18.22%-3.51M
39.85%-6.86M
1.82%-4.09M
319.48%6.33M
Net cash flow
Beginning cash position
-8.35%19.44M
5.93%21.95M
-2.15%20.72M
2.49%21.81M
-1.08%20.93M
-6.40%21.21M
-2.15%20.72M
2.75%21.18M
-2.10%21.28M
-0.88%21.16M
Current changes in cash
3,278.07%13.19M
-546.25%-2.26M
1,650.00%961K
72.01%-166K
119.96%1.04M
69.62%-415K
-64.52%506K
-111.90%-62K
3.42%-593K
1.51%471K
Effect of exchange rate changes
-187.97%-117K
-1,573.33%-251K
168.02%268K
737.84%310K
54.55%-160K
196.38%133K
-125.42%-15K
-956.52%-394K
-35.09%37K
-369.33%-352K
End cash Position
55.34%32.52M
-8.35%19.44M
5.93%21.95M
5.93%21.95M
2.49%21.81M
-1.08%20.93M
-6.40%21.21M
-2.15%20.72M
-2.15%20.72M
-2.10%21.28M
Free cash from
-0.55%2.52M
-80.70%776K
129.61%15.6M
6.26%3.72M
190.89%5.33M
-26.17%2.53M
-29.76%4.02M
-43.00%6.79M
-1.55%3.5M
-275.01%-5.86M
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 -5.58%2.52M-80.65%778K-6.81%15.79M6.05%3.73M29.29%5.37M-24.03%2.67M-30.18%4.02M3.12%16.94M-11.49%3.52M16.90%4.15M
Net income from continuing operations 39.79%-5.68M-5.42%-6.11M-16.67%-27.53M15.99%-5.4M-56.49%-6.9M-3.22%-9.44M-60.18%-5.79M-79.90%-23.6M-53.51%-6.43M-122.84%-4.41M
Depreciation and amortization -30.00%5.86M-28.85%5.92M-7.16%31.94M-18.93%7.05M-7.10%8.21M-1.45%8.37M-0.81%8.32M13.67%34.4M8.04%8.69M19.83%8.83M
Asset impairment expenditure --------27.60%3.89M--1.54M--0----------3.05M--0--0
Unrealized gains and losses of investment securities -44.21%318K-66.06%187K223.95%2.89M-210.97%-263K611.34%2.03M181.90%570K137.38%551K-18.27%-2.33M129.74%237K16.95%-397K
Remuneration paid in stock 211.68%427K565.45%256K-118.41%-538K-179.92%-601K-115.20%-19K-88.86%137K-106.75%-55K24.13%2.92M42.16%752K210.62%125K
Deferred tax 4,642.35%3.86M65.54%-61K-604.35%-696K212.63%107K-176.02%-541K-525.00%-85K-143.28%-177K-87.85%138K-115.40%-95K-177.17%-196K
Other non cashItems 45.79%277K47.64%282K-1.60%797K9.60%217K-0.50%199K-7.32%190K-7.73%191K3.45%810K-3.88%198K-4.31%200K
Change In working capital 46.61%843K-69.38%301K225.60%5.04M554.82%1.09M47,940.00%2.39M61.52%575K-4.56%983K151.21%1.55M138.25%166K99.71%-5K
-Change in receivables 120.34%346K-21.33%837K377.44%738K128.96%221K1,168.13%1.15M-183.50%-1.7M5.77%1.06M-125.48%-266K-238.48%-763K-85.80%91K
-Change in inventory 70.83%1.19M56.35%-770K-6.27%-661K-149.52%-613K291.37%1.02M138.77%696K-476.92%-1.76M-135.18%-622K42.30%1.24M-1,258.70%-533K
-Change in payables and accrued expense -286.16%-1.12M-134.86%-495K-27.72%2.27M34.01%-423K901.92%1.56M-107.99%-289K14,100.00%1.42M176.75%3.14M65.28%-641K108.43%156K
-Change in other current assets -126.59%-750K810.00%273K217.75%199K131.54%345K-46.37%155K58.10%-331K-83.61%30K75.68%-169K--149K--289K
-Change in other working capital -46.64%1.17M95.71%456K562.83%2.49M750.82%1.56M-18,650.00%-1.5M2,994.74%2.2M136.58%233K48.47%-538K-22.46%183K99.10%-8K
Cash from discontinued investing activities
Operating cash flow -5.58%2.52M-80.65%778K-6.81%15.79M6.05%3.73M29.29%5.37M-24.03%2.67M-30.18%4.02M3.12%16.94M-11.49%3.52M16.90%4.15M
Investing cash flow
Cash flow from continuing investing activities 9,914.81%13.25M-2K98.14%-189K30.00%-14K99.60%-40K-66.67%-135K0-125.01%-10.15M95.26%-20K-4,856.44%-10.01M
Net PPE purchase and sale --0---2K8.89%-41K-55.56%-14K--0-80.00%-27K--04.26%-45K59.09%-9K-20.00%-12K
Net intangibles purchas and sale --------98.54%-148K--099.60%-40K---------126.37%-10.1M97.25%-11K-5,108.33%-10M
Cash from discontinued investing activities
Investing cash flow 9,914.81%13.25M---2K98.14%-189K30.00%-14K99.60%-40K-66.67%-135K--0-125.01%-10.15M95.26%-20K-4,856.44%-10.01M
Financing cash flow
Cash flow from continuing financing activities 12.48%-2.58M13.66%-3.03M-113.52%-14.64M5.08%-3.89M-167.77%-4.29M38.54%-2.95M18.22%-3.51M39.85%-6.86M1.82%-4.09M319.48%6.33M
Net issuance payments of debt -3.75%-1.61M2.80%-2.22M-2,045.80%-9.46M-29.60%-3.31M-127.55%-2.33M51.35%-1.55M27.76%-2.28M96.04%-441K19.30%-2.55M367.46%8.45M
Net common stock issuance -71.35%-317K-53.80%-283K-55.51%-1.55M-65.71%-580K-123.33%-603K48.18%-185K-776.19%-184K-2,023.40%-998K---350K-474.47%-270K
Cash dividends paid --0--051.67%-2.4M--0--04.03%-1.22M7.80%-1.18M3.12%-4.96M5.99%-1.19M4.39%-1.22M
Proceeds from stock option exercised by employees --0--0-27.17%134K--0--0--0-18.79%134K-96.25%184K--0-99.25%12K
Net other financing activities ---658K---533K-112.83%-1.36M--0---------------639K--0----
Cash from discontinued financing activities
Financing cash flow 12.48%-2.58M13.66%-3.03M-113.52%-14.64M5.08%-3.89M-167.77%-4.29M38.54%-2.95M18.22%-3.51M39.85%-6.86M1.82%-4.09M319.48%6.33M
Net cash flow
Beginning cash position -8.35%19.44M5.93%21.95M-2.15%20.72M2.49%21.81M-1.08%20.93M-6.40%21.21M-2.15%20.72M2.75%21.18M-2.10%21.28M-0.88%21.16M
Current changes in cash 3,278.07%13.19M-546.25%-2.26M1,650.00%961K72.01%-166K119.96%1.04M69.62%-415K-64.52%506K-111.90%-62K3.42%-593K1.51%471K
Effect of exchange rate changes -187.97%-117K-1,573.33%-251K168.02%268K737.84%310K54.55%-160K196.38%133K-125.42%-15K-956.52%-394K-35.09%37K-369.33%-352K
End cash Position 55.34%32.52M-8.35%19.44M5.93%21.95M5.93%21.95M2.49%21.81M-1.08%20.93M-6.40%21.21M-2.15%20.72M-2.15%20.72M-2.10%21.28M
Free cash from -0.55%2.52M-80.70%776K129.61%15.6M6.26%3.72M190.89%5.33M-26.17%2.53M-29.76%4.02M-43.00%6.79M-1.55%3.5M-275.01%-5.86M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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