US Stock MarketDetailed Quotes

HTCO Caravelle International

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  • 2.540
  • +0.210+9.01%
Close Dec 10 16:00 ET
  • 2.590
  • +0.050+1.97%
Post 20:02 ET
232.59MMarket Cap-23090P/E (TTM)

Caravelle International Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Oct 31, 2023
(FY)Oct 31, 2022
(FY)Oct 31, 2021
(FY)Oct 31, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-153.65%-17.77M
5,138.41%33.13M
-42.73%632.49K
1.1M
Net income from continuing operations
-166.86%-15.78M
130.07%23.6M
278.04%10.26M
---5.76M
Depreciation and amortization
103.97%85.75K
4.88%42.04K
1.24%40.09K
--39.59K
Deferred tax
-215.54%-1.08K
-263.94%-341
-73.64%208
--789
Change In working capital
-121.92%-2.08M
198.23%9.49M
-241.60%-9.66M
--6.83M
-Change in receivables
39.97%4.11M
155.27%2.94M
-1,347.44%-5.31M
--425.86K
-Change in prepaid assets
979.77%4.07M
110.18%376.54K
-473.02%-3.7M
---645.34K
-Change in payables and accrued expense
-256.94%-3.6M
319.05%2.3M
-136.07%-1.05M
--2.91M
-Change in other current liabilities
---48.19K
--0
--0
----
-Change in other working capital
-269.99%-6.6M
885.44%3.88M
-90.47%394.22K
--4.14M
Cash from discontinued investing activities
Operating cash flow
-153.65%-17.77M
5,138.41%33.13M
-42.73%632.49K
--1.1M
Investing cash flow
Cash flow from continuing investing activities
0
0
199.48%300K
-301.56K
Net PPE purchase and sale
----
----
----
---1.56K
Net other investing changes
----
----
200.00%300K
---300K
Cash from discontinued investing activities
Investing cash flow
--0
--0
199.48%300K
---301.56K
Financing cash flow
Cash flow from continuing financing activities
92.80%-1.58M
-1,777.91%-21.91M
-73.28%1.31M
4.89M
Net issuance payments of debt
737.40%12.55M
19.28%1.5M
-74.62%1.26M
--4.95M
Cash dividends paid
94.68%-902K
---16.95M
--0
--0
Net other financing activities
-104.67%-13.22M
-13,009.95%-6.46M
181.58%50.04K
---61.34K
Cash from discontinued financing activities
Financing cash flow
92.80%-1.58M
-1,777.91%-21.91M
-73.28%1.31M
--4.89M
Net cash flow
Beginning cash position
108.34%21.57M
27.58%10.35M
234.59%8.12M
--2.43M
Current changes in cash
-272.51%-19.35M
401.12%11.22M
-60.66%2.24M
--5.69M
End cash Position
-89.71%2.22M
108.34%21.57M
27.58%10.35M
--8.12M
Free cash flow
-153.65%-17.77M
5,138.41%33.13M
-42.65%632.49K
--1.1M
Currency Unit
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
Unqualified Opinion
--
--
(FY)Oct 31, 2023(FY)Oct 31, 2022(FY)Oct 31, 2021(FY)Oct 31, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -153.65%-17.77M5,138.41%33.13M-42.73%632.49K1.1M
Net income from continuing operations -166.86%-15.78M130.07%23.6M278.04%10.26M---5.76M
Depreciation and amortization 103.97%85.75K4.88%42.04K1.24%40.09K--39.59K
Deferred tax -215.54%-1.08K-263.94%-341-73.64%208--789
Change In working capital -121.92%-2.08M198.23%9.49M-241.60%-9.66M--6.83M
-Change in receivables 39.97%4.11M155.27%2.94M-1,347.44%-5.31M--425.86K
-Change in prepaid assets 979.77%4.07M110.18%376.54K-473.02%-3.7M---645.34K
-Change in payables and accrued expense -256.94%-3.6M319.05%2.3M-136.07%-1.05M--2.91M
-Change in other current liabilities ---48.19K--0--0----
-Change in other working capital -269.99%-6.6M885.44%3.88M-90.47%394.22K--4.14M
Cash from discontinued investing activities
Operating cash flow -153.65%-17.77M5,138.41%33.13M-42.73%632.49K--1.1M
Investing cash flow
Cash flow from continuing investing activities 00199.48%300K-301.56K
Net PPE purchase and sale ---------------1.56K
Net other investing changes --------200.00%300K---300K
Cash from discontinued investing activities
Investing cash flow --0--0199.48%300K---301.56K
Financing cash flow
Cash flow from continuing financing activities 92.80%-1.58M-1,777.91%-21.91M-73.28%1.31M4.89M
Net issuance payments of debt 737.40%12.55M19.28%1.5M-74.62%1.26M--4.95M
Cash dividends paid 94.68%-902K---16.95M--0--0
Net other financing activities -104.67%-13.22M-13,009.95%-6.46M181.58%50.04K---61.34K
Cash from discontinued financing activities
Financing cash flow 92.80%-1.58M-1,777.91%-21.91M-73.28%1.31M--4.89M
Net cash flow
Beginning cash position 108.34%21.57M27.58%10.35M234.59%8.12M--2.43M
Current changes in cash -272.51%-19.35M401.12%11.22M-60.66%2.24M--5.69M
End cash Position -89.71%2.22M108.34%21.57M27.58%10.35M--8.12M
Free cash flow -153.65%-17.77M5,138.41%33.13M-42.65%632.49K--1.1M
Currency Unit USDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory NotesUnqualified Opinion----
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