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HUSA Houston American Energy

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  • 1.170
  • -0.030-2.50%
Close Jul 12 16:00 ET
  • 1.170
  • 0.0000.00%
Post 19:58 ET
12.76MMarket Cap-3762P/E (TTM)

Houston American Energy Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
538.00%122.77K
214.95%263.19K
298.45%51.73K
347.17%428.93K
-450.96%-236.71K
119.88%19.24K
66.36%-228.97K
18.22%-26.07K
-43.35%-173.54K
141.49%67.45K
Net income from continuing operations
-115.07%-15.7K
-331.46%-3.21M
-1,588.41%-3.24M
157.09%223.37K
-6,981.58%-300.38K
162.92%104.18K
27.14%-744.28K
46.25%-191.8K
-11.52%-391.28K
109.63%4.37K
Operating gains losses
----
--2.34M
--2.65M
--336.93K
----
----
----
----
----
----
Depreciation and amortization
-16.47%52.93K
-11.69%234.71K
15.45%69.31K
-38.21%40.67K
-8.99%61.38K
-12.57%63.36K
-16.86%265.76K
-66.60%60.03K
99.62%65.82K
32.71%67.44K
Other non cash items
-52.70%1.11K
-40.97%2.71K
-58.29%370
---342
--342
-36.81%2.34K
7.10%4.58K
--887
--0
--0
Change In working capital
114.37%33.77K
204.25%117.93K
-97.33%2.8K
-492.09%-222.37K
2,016.19%572.56K
-153.04%-235.07K
112.64%38.76K
2,700.53%104.82K
90.29%56.71K
82.22%-29.88K
-Change in receivables
116.27%44.56K
120.01%110.2K
-128.09%-15.16K
395.56%239.33K
1,192.05%159.85K
-324.30%-273.82K
142.13%50.09K
160.81%53.96K
39.35%48.29K
-1.80%12.37K
-Change in prepaid assets
-256.60%-87.92K
3,635.91%31.94K
191.44%66.6K
-7,453.97%-568.81K
633.68%478.01K
170.51%56.14K
101.73%855
-71.65%22.85K
-126.22%-7.53K
268.85%65.15K
-Change in payables and accrued expense
5,607.01%95.05K
-22.61%41.17K
-161.19%-31.37K
366.73%123.64K
53.26%-49.38K
-102.13%-1.73K
159.31%53.2K
90.60%51.26K
647.00%26.49K
37.18%-105.63K
-Change in other current liabilities
-14.45%-17.92K
0.00%-65.39K
25.71%-17.27K
-56.70%-16.52K
-798.14%-15.93K
47.48%-15.66K
-34.71%-65.39K
-54.60%-23.25K
63.30%-10.54K
-106.80%-1.77K
Cash from discontinued investing activities
Operating cash flow
538.00%122.77K
214.95%263.19K
298.48%51.73K
347.17%428.93K
-450.96%-236.71K
119.88%19.24K
66.36%-228.96K
18.24%-26.06K
-43.35%-173.54K
141.49%67.45K
Investing cash flow
Cash flow from continuing investing activities
-93.86%-430.8K
-44.65%-2.4M
48.19%-448.7K
-182.55%-1.51M
2.10%-226.69K
-619.32%-222.22K
-597.54%-1.66M
-5,077.18%-866.09K
-877.71%-532.87K
-2,396.68%-231.55K
Net PPE purchase and sale
----
--0
--0
--0
----
----
64.85%-15.05K
92.96%-885
-99.72%2
-100.00%-1
Net business purchase and sale
-93.86%-430.8K
-45.97%-2.4M
48.14%-448.7K
-182.54%-1.51M
2.10%-226.69K
-1,228.11%-222.22K
---1.65M
---865.21K
-865.12%-532.87K
-954.18%-231.55K
Cash from discontinued investing activities
Investing cash flow
-93.86%-430.8K
-44.65%-2.4M
48.19%-448.7K
-182.55%-1.51M
2.10%-226.69K
-619.32%-222.22K
-597.54%-1.66M
-5,077.18%-866.09K
-877.71%-532.87K
-2,396.68%-231.55K
Financing cash flow
Cash flow from continuing financing activities
0
7.06%1.65M
0
0
750.5K
901.5K
-66.24%1.54M
1.54M
0
0
Net common stock issuance
--0
7.06%1.65M
--0
--0
--750.5K
--901.5K
-76.54%1.54M
--1.54M
--0
--0
Cash from discontinued financing activities
Financing cash flow
--0
7.06%1.65M
--0
--0
--750.5K
--901.5K
-66.24%1.54M
--1.54M
--0
--0
Net cash flow
Beginning cash position
-10.73%4.06M
-7.10%4.55M
14.37%4.46M
20.21%5.53M
10.05%5.25M
-7.10%4.55M
293.91%4.89M
-21.18%3.9M
-10.08%4.6M
-9.57%4.77M
Current changes in cash
-144.10%-308.03K
-40.49%-488.03K
-160.99%-396.98K
-52.41%-1.08M
274.95%287.1K
647.00%698.52K
-109.51%-347.37K
1,439.09%650.85K
-302.38%-706.41K
-7.62%-164.11K
End cash Position
-28.49%3.75M
-10.73%4.06M
-10.73%4.06M
14.37%4.46M
20.21%5.53M
10.05%5.25M
-7.10%4.55M
-7.10%4.55M
-21.18%3.9M
-10.08%4.6M
Free cash flow
538.00%122.77K
207.86%263.19K
291.96%51.73K
347.17%428.93K
-450.97%-236.71K
117.34%19.24K
66.27%-244.01K
39.37%-26.95K
-44.20%-173.54K
151.67%67.45K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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Unqualified Opinion
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(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(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 538.00%122.77K214.95%263.19K298.45%51.73K347.17%428.93K-450.96%-236.71K119.88%19.24K66.36%-228.97K18.22%-26.07K-43.35%-173.54K141.49%67.45K
Net income from continuing operations -115.07%-15.7K-331.46%-3.21M-1,588.41%-3.24M157.09%223.37K-6,981.58%-300.38K162.92%104.18K27.14%-744.28K46.25%-191.8K-11.52%-391.28K109.63%4.37K
Operating gains losses ------2.34M--2.65M--336.93K------------------------
Depreciation and amortization -16.47%52.93K-11.69%234.71K15.45%69.31K-38.21%40.67K-8.99%61.38K-12.57%63.36K-16.86%265.76K-66.60%60.03K99.62%65.82K32.71%67.44K
Other non cash items -52.70%1.11K-40.97%2.71K-58.29%370---342--342-36.81%2.34K7.10%4.58K--887--0--0
Change In working capital 114.37%33.77K204.25%117.93K-97.33%2.8K-492.09%-222.37K2,016.19%572.56K-153.04%-235.07K112.64%38.76K2,700.53%104.82K90.29%56.71K82.22%-29.88K
-Change in receivables 116.27%44.56K120.01%110.2K-128.09%-15.16K395.56%239.33K1,192.05%159.85K-324.30%-273.82K142.13%50.09K160.81%53.96K39.35%48.29K-1.80%12.37K
-Change in prepaid assets -256.60%-87.92K3,635.91%31.94K191.44%66.6K-7,453.97%-568.81K633.68%478.01K170.51%56.14K101.73%855-71.65%22.85K-126.22%-7.53K268.85%65.15K
-Change in payables and accrued expense 5,607.01%95.05K-22.61%41.17K-161.19%-31.37K366.73%123.64K53.26%-49.38K-102.13%-1.73K159.31%53.2K90.60%51.26K647.00%26.49K37.18%-105.63K
-Change in other current liabilities -14.45%-17.92K0.00%-65.39K25.71%-17.27K-56.70%-16.52K-798.14%-15.93K47.48%-15.66K-34.71%-65.39K-54.60%-23.25K63.30%-10.54K-106.80%-1.77K
Cash from discontinued investing activities
Operating cash flow 538.00%122.77K214.95%263.19K298.48%51.73K347.17%428.93K-450.96%-236.71K119.88%19.24K66.36%-228.96K18.24%-26.06K-43.35%-173.54K141.49%67.45K
Investing cash flow
Cash flow from continuing investing activities -93.86%-430.8K-44.65%-2.4M48.19%-448.7K-182.55%-1.51M2.10%-226.69K-619.32%-222.22K-597.54%-1.66M-5,077.18%-866.09K-877.71%-532.87K-2,396.68%-231.55K
Net PPE purchase and sale ------0--0--0--------64.85%-15.05K92.96%-885-99.72%2-100.00%-1
Net business purchase and sale -93.86%-430.8K-45.97%-2.4M48.14%-448.7K-182.54%-1.51M2.10%-226.69K-1,228.11%-222.22K---1.65M---865.21K-865.12%-532.87K-954.18%-231.55K
Cash from discontinued investing activities
Investing cash flow -93.86%-430.8K-44.65%-2.4M48.19%-448.7K-182.55%-1.51M2.10%-226.69K-619.32%-222.22K-597.54%-1.66M-5,077.18%-866.09K-877.71%-532.87K-2,396.68%-231.55K
Financing cash flow
Cash flow from continuing financing activities 07.06%1.65M00750.5K901.5K-66.24%1.54M1.54M00
Net common stock issuance --07.06%1.65M--0--0--750.5K--901.5K-76.54%1.54M--1.54M--0--0
Cash from discontinued financing activities
Financing cash flow --07.06%1.65M--0--0--750.5K--901.5K-66.24%1.54M--1.54M--0--0
Net cash flow
Beginning cash position -10.73%4.06M-7.10%4.55M14.37%4.46M20.21%5.53M10.05%5.25M-7.10%4.55M293.91%4.89M-21.18%3.9M-10.08%4.6M-9.57%4.77M
Current changes in cash -144.10%-308.03K-40.49%-488.03K-160.99%-396.98K-52.41%-1.08M274.95%287.1K647.00%698.52K-109.51%-347.37K1,439.09%650.85K-302.38%-706.41K-7.62%-164.11K
End cash Position -28.49%3.75M-10.73%4.06M-10.73%4.06M14.37%4.46M20.21%5.53M10.05%5.25M-7.10%4.55M-7.10%4.55M-21.18%3.9M-10.08%4.6M
Free cash flow 538.00%122.77K207.86%263.19K291.96%51.73K347.17%428.93K-450.97%-236.71K117.34%19.24K66.27%-244.01K39.37%-26.95K-44.20%-173.54K151.67%67.45K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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