US Stock MarketDetailed Quotes

INTG The Intergroup

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  • 14.450
  • -0.075-0.52%
Close Nov 5 16:00 ET
  • 14.700
  • +0.250+1.73%
Pre 08:47 ET
31.49MMarket Cap-3284P/E (TTM)

The Intergroup Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
(Q1)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
6,467.29%6.81M
116.85%5.03M
2,170.73%1.86M
53.10%-1.98M
10.85%1.9M
-111.62%-107K
-76.31%2.32M
101.92%82K
40.41%-4.22M
-31.32%1.72M
Net income from continuing operations
-26.42%-12.56M
53.93%-4.92M
-528.83%-3.86M
-237.27%-2.15M
-706.97%-1.62M
6.44%-9.93M
-132.56%-10.68M
29.67%-614K
169.86%1.57M
93.08%-201K
Depreciation and amortization
15.67%6.32M
12.19%1.63M
16.36%1.61M
19.97%1.56M
14.52%1.52M
14.93%5.46M
12.91%1.45M
10.92%1.38M
17.19%1.3M
19.51%1.33M
Deferred tax
-102.38%-203K
-98.93%91K
--0
-606.90%-294K
--0
680.10%8.54M
573.42%8.54M
--0
106.32%58K
94.80%-58K
Other non cash items
117.20%500K
1,400.00%715K
-109.26%-113K
98.14%-51K
5.56%-51K
-2,053.33%-2.91M
-10.00%-55K
---54K
---2.74M
---54K
Change In working capital
519.14%9.7M
101.36%6.94M
1,339.18%3.32M
15.99%-1.93M
99.27%1.37M
-68.26%1.57M
-62.59%3.45M
91.29%-268K
-5.50%-2.3M
-29.91%689K
-Change in payables and accrued expense
-56.07%2.23M
-124.10%-713K
123.23%1.47M
-70.43%2.06M
-139.43%-584K
169.51%5.08M
240.06%2.96M
-397.13%-6.32M
412.34%6.96M
129.08%1.48M
-Change in other current assets
294.26%8.7M
2,765.12%7.49M
-33.82%3.66M
45.80%-5.09M
868.51%2.64M
-124.59%-4.48M
-102.32%-281K
233.20%5.53M
-346.48%-9.39M
-105.34%-343K
-Change in other current liabilities
-226.99%-1.23M
-78.26%165K
-438.76%-1.81M
790.24%1.1M
-51.22%-679K
116.20%967K
193.94%759K
150.71%534K
103.27%123K
-28.65%-449K
Cash from discontinued investing activities
Operating cash flow
6,467.29%6.81M
116.85%5.03M
2,170.73%1.86M
53.10%-1.98M
10.85%1.9M
-111.62%-107K
-76.31%2.32M
101.92%82K
40.41%-4.22M
-31.32%1.72M
Investing cash flow
Cash flow from continuing investing activities
-5.90%-6.41M
15.81%-1.8M
39.59%-1.18M
-545.99%-2.06M
43.21%-1.38M
-55.68%-6.05M
-1,722.22%-2.13M
-30.19%-1.95M
131.53%461K
-199.02%-2.44M
Capital expenditure reported
21.91%-6.39M
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-74.56%-8.18M
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Net business purchase and sale
88.89%-22K
--0
--0
--0
-340.00%-22K
45.15%-198K
---23K
---9K
-1,688.89%-161K
98.58%-5K
Net other investing changes
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--2.33M
--0
---367K
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Cash from discontinued investing activities
Investing cash flow
-5.90%-6.41M
15.81%-1.8M
39.59%-1.18M
-545.99%-2.06M
43.21%-1.38M
-55.68%-6.05M
-1,722.22%-2.13M
-30.19%-1.95M
131.53%461K
-199.02%-2.44M
Financing cash flow
Cash flow from continuing financing activities
-6.21%-4.58M
-1,481.11%-6.53M
-6.57%-1.01M
395.79%3.59M
63.80%-632K
-139.50%-4.32M
31.40%-413K
-23.40%-944K
-112.04%-1.21M
-178.47%-1.75M
Net issuance payments of debt
11.88%-2.51M
-1,202.13%-4.88M
-0.53%-758K
542.64%3.73M
32.15%-593K
-121.91%-2.85M
-45.91%-375K
-3.71%-754K
-107.24%-842K
-137.38%-874K
Net common stock issuance
59.25%-599K
-347.37%-170K
-30.53%-248K
61.62%-142K
95.53%-39K
24.77%-1.47M
88.45%-38K
-400.00%-190K
75.55%-370K
-1,078.38%-872K
Net other financing activities
---1.48M
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Cash from discontinued financing activities
Financing cash flow
-6.21%-4.58M
-1,481.11%-6.53M
-6.57%-1.01M
395.79%3.59M
63.80%-632K
-139.50%-4.32M
31.40%-413K
-23.40%-944K
-112.04%-1.21M
-178.47%-1.75M
Net cash flow
Beginning cash position
-44.86%12.87M
-8.48%11.99M
-22.63%12.31M
-38.90%12.76M
-44.86%12.87M
51.70%23.35M
-8.24%13.1M
-23.58%15.91M
8.20%20.88M
51.70%23.35M
Current changes in cash
60.10%-4.18M
-1,364.00%-3.29M
88.64%-319K
90.91%-452K
95.34%-115K
-231.65%-10.48M
-102.48%-225K
57.07%-2.81M
-428.38%-4.98M
-163.17%-2.47M
End cash Position
-32.47%8.69M
-32.47%8.69M
-8.48%11.99M
-22.63%12.31M
-38.90%12.76M
-44.86%12.87M
-44.86%12.87M
-8.24%13.1M
-23.58%15.91M
8.20%20.88M
Free cash flow
105.13%425K
76.84%-1.36M
2,170.73%1.86M
53.10%-1.98M
10.85%1.9M
-120.11%-8.29M
-214.77%-5.86M
101.92%82K
40.41%-4.22M
-31.32%1.72M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022(Q1)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 6,467.29%6.81M116.85%5.03M2,170.73%1.86M53.10%-1.98M10.85%1.9M-111.62%-107K-76.31%2.32M101.92%82K40.41%-4.22M-31.32%1.72M
Net income from continuing operations -26.42%-12.56M53.93%-4.92M-528.83%-3.86M-237.27%-2.15M-706.97%-1.62M6.44%-9.93M-132.56%-10.68M29.67%-614K169.86%1.57M93.08%-201K
Depreciation and amortization 15.67%6.32M12.19%1.63M16.36%1.61M19.97%1.56M14.52%1.52M14.93%5.46M12.91%1.45M10.92%1.38M17.19%1.3M19.51%1.33M
Deferred tax -102.38%-203K-98.93%91K--0-606.90%-294K--0680.10%8.54M573.42%8.54M--0106.32%58K94.80%-58K
Other non cash items 117.20%500K1,400.00%715K-109.26%-113K98.14%-51K5.56%-51K-2,053.33%-2.91M-10.00%-55K---54K---2.74M---54K
Change In working capital 519.14%9.7M101.36%6.94M1,339.18%3.32M15.99%-1.93M99.27%1.37M-68.26%1.57M-62.59%3.45M91.29%-268K-5.50%-2.3M-29.91%689K
-Change in payables and accrued expense -56.07%2.23M-124.10%-713K123.23%1.47M-70.43%2.06M-139.43%-584K169.51%5.08M240.06%2.96M-397.13%-6.32M412.34%6.96M129.08%1.48M
-Change in other current assets 294.26%8.7M2,765.12%7.49M-33.82%3.66M45.80%-5.09M868.51%2.64M-124.59%-4.48M-102.32%-281K233.20%5.53M-346.48%-9.39M-105.34%-343K
-Change in other current liabilities -226.99%-1.23M-78.26%165K-438.76%-1.81M790.24%1.1M-51.22%-679K116.20%967K193.94%759K150.71%534K103.27%123K-28.65%-449K
Cash from discontinued investing activities
Operating cash flow 6,467.29%6.81M116.85%5.03M2,170.73%1.86M53.10%-1.98M10.85%1.9M-111.62%-107K-76.31%2.32M101.92%82K40.41%-4.22M-31.32%1.72M
Investing cash flow
Cash flow from continuing investing activities -5.90%-6.41M15.81%-1.8M39.59%-1.18M-545.99%-2.06M43.21%-1.38M-55.68%-6.05M-1,722.22%-2.13M-30.19%-1.95M131.53%461K-199.02%-2.44M
Capital expenditure reported 21.91%-6.39M-----------------74.56%-8.18M----------------
Net business purchase and sale 88.89%-22K--0--0--0-340.00%-22K45.15%-198K---23K---9K-1,688.89%-161K98.58%-5K
Net other investing changes ----------------------2.33M--0---367K--------
Cash from discontinued investing activities
Investing cash flow -5.90%-6.41M15.81%-1.8M39.59%-1.18M-545.99%-2.06M43.21%-1.38M-55.68%-6.05M-1,722.22%-2.13M-30.19%-1.95M131.53%461K-199.02%-2.44M
Financing cash flow
Cash flow from continuing financing activities -6.21%-4.58M-1,481.11%-6.53M-6.57%-1.01M395.79%3.59M63.80%-632K-139.50%-4.32M31.40%-413K-23.40%-944K-112.04%-1.21M-178.47%-1.75M
Net issuance payments of debt 11.88%-2.51M-1,202.13%-4.88M-0.53%-758K542.64%3.73M32.15%-593K-121.91%-2.85M-45.91%-375K-3.71%-754K-107.24%-842K-137.38%-874K
Net common stock issuance 59.25%-599K-347.37%-170K-30.53%-248K61.62%-142K95.53%-39K24.77%-1.47M88.45%-38K-400.00%-190K75.55%-370K-1,078.38%-872K
Net other financing activities ---1.48M------------------------------------
Cash from discontinued financing activities
Financing cash flow -6.21%-4.58M-1,481.11%-6.53M-6.57%-1.01M395.79%3.59M63.80%-632K-139.50%-4.32M31.40%-413K-23.40%-944K-112.04%-1.21M-178.47%-1.75M
Net cash flow
Beginning cash position -44.86%12.87M-8.48%11.99M-22.63%12.31M-38.90%12.76M-44.86%12.87M51.70%23.35M-8.24%13.1M-23.58%15.91M8.20%20.88M51.70%23.35M
Current changes in cash 60.10%-4.18M-1,364.00%-3.29M88.64%-319K90.91%-452K95.34%-115K-231.65%-10.48M-102.48%-225K57.07%-2.81M-428.38%-4.98M-163.17%-2.47M
End cash Position -32.47%8.69M-32.47%8.69M-8.48%11.99M-22.63%12.31M-38.90%12.76M-44.86%12.87M-44.86%12.87M-8.24%13.1M-23.58%15.91M8.20%20.88M
Free cash flow 105.13%425K76.84%-1.36M2,170.73%1.86M53.10%-1.98M10.85%1.9M-120.11%-8.29M-214.77%-5.86M101.92%82K40.41%-4.22M-31.32%1.72M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

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