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IVDA Iveda Solutions

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  • 5.530
  • +1.690+44.01%
Close Dec 27 16:00 ET
  • 5.530
  • 0.0000.00%
Post 20:01 ET
14.70MMarket Cap-3.50P/E (TTM)

Iveda Solutions Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
56.10%-1.2M
-244.18%-891.87K
-744.45%-1.11M
51.84%-2.6M
68.64%-662.39K
-136.78%-2.73M
145.10%618.59K
122.40%172.56K
-174.26%-5.41M
-166.59%-2.11M
Net income from continuing operations
33.04%-555.01K
34.74%-494.28K
-101.39%-1.11M
3.29%-3.24M
-16.02%-1.1M
-24.33%-828.82K
28.88%-757.37K
17.48%-550.26K
-11.56%-3.35M
22.57%-946.94K
Operating gains losses
----
----
----
-51.40%2.7K
----
----
----
----
-97.45%5.56K
--0
Depreciation and amortization
-28.07%8K
265.85%7.91K
57.06%7.9K
10.97%19.75K
-69.13%1.44K
36.02%11.12K
615.56%2.16K
8.01%5.03K
18.55%17.8K
318.81%4.67K
Other non cash items
--0
----
----
-37.00%138.55K
----
----
----
----
215.36%219.9K
--52K
Change In working capital
65.92%-652.82K
-137.93%-521.09K
-101.64%-11.78K
115.03%364.88K
115.13%189K
-282.00%-1.92M
374.07%1.37M
508.81%717.8K
-2,999.55%-2.43M
-307.10%-1.25M
-Change in receivables
-372.82%-1.06M
-429.89%-875.24K
-90.60%67.39K
218.43%930.8K
127.01%173.5K
56.26%-225.11K
550.62%265.31K
117.13%717.11K
-195.32%-785.97K
-54.16%-642.37K
-Change in inventory
-152.69%-504.67K
-466.59%-289.1K
-228.66%-177.84K
192.66%199.12K
14.35%181.76K
-126.73%-199.72K
282.61%78.86K
156.98%138.22K
-75.02%-214.9K
39.46%158.95K
-Change in payables and accrued expense
174.49%907.88K
-44.29%606.77K
115.69%51.09K
57.81%-522.46K
84.24%-67.01K
-9,860.18%-1.22M
308.25%1.09M
-7.61%-325.71K
-373.59%-1.24M
-227.92%-425.23K
-Change in other current assets
103.07%8.35K
161.33%36.48K
-74.71%47.59K
-29.01%-242.59K
70.83%-99.26K
-406.49%-272.02K
-346.54%-59.48K
377.76%188.17K
-32.40%-188.04K
-370.97%-340.31K
Cash from discontinued investing activities
Operating cash flow
56.10%-1.2M
-244.18%-891.87K
-744.45%-1.11M
51.84%-2.6M
68.64%-662.39K
-145.58%-2.73M
143.78%618.59K
122.40%172.56K
-174.26%-5.41M
-166.59%-2.11M
Investing cash flow
Cash flow from continuing investing activities
80.22%-39.24K
56.62%-114.33K
-6.95%-188.4K
-6,099.82%-878.21K
-2,574.08%-240.16K
-6,059.57%-198.34K
-9,746.85%-263.55K
-3,651.19%-176.16K
42.21%-14.17K
-25.42%-8.98K
Net PPE purchase and sale
-13.78%300.11K
56.62%-114.33K
-6.95%-188.4K
-6,099.82%-878.21K
-8,658.06%-786.56K
10,909.44%348.06K
-9,746.85%-263.55K
-3,651.19%-176.16K
42.21%-14.17K
-25.42%-8.98K
Cash from discontinued investing activities
Investing cash flow
80.22%-39.24K
56.62%-114.33K
-6.95%-188.4K
-6,099.82%-878.21K
-2,574.08%-240.16K
-6,059.57%-198.34K
-9,746.85%-263.55K
-3,651.19%-176.16K
42.21%-14.17K
-25.42%-8.98K
Financing cash flow
Cash flow from continuing financing activities
2,390.46%1.8M
92.78%-5.19K
-51.19%523.26K
-91.90%924.1K
100.21%2.52K
-101.42%-78.63K
-101.04%-71.81K
636.59%1.07M
265.28%11.41M
-222.45%-1.18M
Net issuance payments of debt
67.42%-33.45K
93.12%-7.53K
311.14%529.3K
-253.52%-299.05K
118.99%163.8K
-110.52%-102.68K
-70.40%-109.49K
-272.24%-250.68K
-56.50%194.8K
-430.76%-862.4K
Net common stock issuance
7,528.96%1.83M
--0
-100.28%-3.69K
-88.51%1.32M
-114,074.07%-61.55K
-99.47%24.05K
-99.46%37.5K
--1.32M
307.74%11.51M
-99.99%54
Net other financing activities
----
----
-1,240.00%-2.35K
66.78%-99.73K
----
----
----
---175
-398.25%-300.21K
-490.08%-318.56K
Cash from discontinued financing activities
Financing cash flow
2,390.46%1.8M
92.78%-5.19K
-51.19%523.26K
-91.90%924.1K
100.21%2.52K
-101.42%-78.63K
-101.04%-71.81K
636.59%1.07M
265.28%11.41M
-222.45%-1.18M
Net cash flow
Beginning cash position
-65.82%2.98M
-53.47%3.9M
-34.98%4.75M
427.84%7.31M
-46.11%5.69M
40.84%8.73M
1,021.90%8.38M
427.84%7.31M
455.17%1.39M
757.19%10.56M
Current changes in cash
118.67%561.94K
-457.10%-1.01M
-172.74%-777.21K
-142.76%-2.56M
72.75%-900.03K
-168.13%-3.01M
-94.85%283.22K
269.76%1.07M
431.39%5.98M
-2,103.60%-3.3M
Effect of exchange rate changes
384.42%85.91K
46.15%-34.46K
-11,507.42%-78.23K
102.21%1.25K
63.52%96.13K
49.93%-30.21K
-38.77%-64K
92.48%-674
-680.03%-56.62K
635.21%58.79K
End cash Position
-36.17%3.63M
-65.82%2.98M
-53.47%3.9M
-34.98%4.75M
-34.98%4.75M
-46.11%5.69M
40.84%8.73M
1,021.90%8.38M
427.84%7.31M
427.84%7.31M
Free cash flow
57.74%-1.24M
-383.41%-1.01M
-36,094.68%-1.3M
35.77%-3.48M
57.46%-902.55K
-162.63%-2.93M
125.18%355.04K
99.54%-3.59K
-171.61%-5.42M
-165.33%-2.12M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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--
--
Unqualified Opinion
--
--
--
--
--
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(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 56.10%-1.2M-244.18%-891.87K-744.45%-1.11M51.84%-2.6M68.64%-662.39K-136.78%-2.73M145.10%618.59K122.40%172.56K-174.26%-5.41M-166.59%-2.11M
Net income from continuing operations 33.04%-555.01K34.74%-494.28K-101.39%-1.11M3.29%-3.24M-16.02%-1.1M-24.33%-828.82K28.88%-757.37K17.48%-550.26K-11.56%-3.35M22.57%-946.94K
Operating gains losses -------------51.40%2.7K-----------------97.45%5.56K--0
Depreciation and amortization -28.07%8K265.85%7.91K57.06%7.9K10.97%19.75K-69.13%1.44K36.02%11.12K615.56%2.16K8.01%5.03K18.55%17.8K318.81%4.67K
Other non cash items --0---------37.00%138.55K----------------215.36%219.9K--52K
Change In working capital 65.92%-652.82K-137.93%-521.09K-101.64%-11.78K115.03%364.88K115.13%189K-282.00%-1.92M374.07%1.37M508.81%717.8K-2,999.55%-2.43M-307.10%-1.25M
-Change in receivables -372.82%-1.06M-429.89%-875.24K-90.60%67.39K218.43%930.8K127.01%173.5K56.26%-225.11K550.62%265.31K117.13%717.11K-195.32%-785.97K-54.16%-642.37K
-Change in inventory -152.69%-504.67K-466.59%-289.1K-228.66%-177.84K192.66%199.12K14.35%181.76K-126.73%-199.72K282.61%78.86K156.98%138.22K-75.02%-214.9K39.46%158.95K
-Change in payables and accrued expense 174.49%907.88K-44.29%606.77K115.69%51.09K57.81%-522.46K84.24%-67.01K-9,860.18%-1.22M308.25%1.09M-7.61%-325.71K-373.59%-1.24M-227.92%-425.23K
-Change in other current assets 103.07%8.35K161.33%36.48K-74.71%47.59K-29.01%-242.59K70.83%-99.26K-406.49%-272.02K-346.54%-59.48K377.76%188.17K-32.40%-188.04K-370.97%-340.31K
Cash from discontinued investing activities
Operating cash flow 56.10%-1.2M-244.18%-891.87K-744.45%-1.11M51.84%-2.6M68.64%-662.39K-145.58%-2.73M143.78%618.59K122.40%172.56K-174.26%-5.41M-166.59%-2.11M
Investing cash flow
Cash flow from continuing investing activities 80.22%-39.24K56.62%-114.33K-6.95%-188.4K-6,099.82%-878.21K-2,574.08%-240.16K-6,059.57%-198.34K-9,746.85%-263.55K-3,651.19%-176.16K42.21%-14.17K-25.42%-8.98K
Net PPE purchase and sale -13.78%300.11K56.62%-114.33K-6.95%-188.4K-6,099.82%-878.21K-8,658.06%-786.56K10,909.44%348.06K-9,746.85%-263.55K-3,651.19%-176.16K42.21%-14.17K-25.42%-8.98K
Cash from discontinued investing activities
Investing cash flow 80.22%-39.24K56.62%-114.33K-6.95%-188.4K-6,099.82%-878.21K-2,574.08%-240.16K-6,059.57%-198.34K-9,746.85%-263.55K-3,651.19%-176.16K42.21%-14.17K-25.42%-8.98K
Financing cash flow
Cash flow from continuing financing activities 2,390.46%1.8M92.78%-5.19K-51.19%523.26K-91.90%924.1K100.21%2.52K-101.42%-78.63K-101.04%-71.81K636.59%1.07M265.28%11.41M-222.45%-1.18M
Net issuance payments of debt 67.42%-33.45K93.12%-7.53K311.14%529.3K-253.52%-299.05K118.99%163.8K-110.52%-102.68K-70.40%-109.49K-272.24%-250.68K-56.50%194.8K-430.76%-862.4K
Net common stock issuance 7,528.96%1.83M--0-100.28%-3.69K-88.51%1.32M-114,074.07%-61.55K-99.47%24.05K-99.46%37.5K--1.32M307.74%11.51M-99.99%54
Net other financing activities ---------1,240.00%-2.35K66.78%-99.73K---------------175-398.25%-300.21K-490.08%-318.56K
Cash from discontinued financing activities
Financing cash flow 2,390.46%1.8M92.78%-5.19K-51.19%523.26K-91.90%924.1K100.21%2.52K-101.42%-78.63K-101.04%-71.81K636.59%1.07M265.28%11.41M-222.45%-1.18M
Net cash flow
Beginning cash position -65.82%2.98M-53.47%3.9M-34.98%4.75M427.84%7.31M-46.11%5.69M40.84%8.73M1,021.90%8.38M427.84%7.31M455.17%1.39M757.19%10.56M
Current changes in cash 118.67%561.94K-457.10%-1.01M-172.74%-777.21K-142.76%-2.56M72.75%-900.03K-168.13%-3.01M-94.85%283.22K269.76%1.07M431.39%5.98M-2,103.60%-3.3M
Effect of exchange rate changes 384.42%85.91K46.15%-34.46K-11,507.42%-78.23K102.21%1.25K63.52%96.13K49.93%-30.21K-38.77%-64K92.48%-674-680.03%-56.62K635.21%58.79K
End cash Position -36.17%3.63M-65.82%2.98M-53.47%3.9M-34.98%4.75M-34.98%4.75M-46.11%5.69M40.84%8.73M1,021.90%8.38M427.84%7.31M427.84%7.31M
Free cash flow 57.74%-1.24M-383.41%-1.01M-36,094.68%-1.3M35.77%-3.48M57.46%-902.55K-162.63%-2.93M125.18%355.04K99.54%-3.59K-171.61%-5.42M-165.33%-2.12M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion------------
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