US Stock MarketDetailed Quotes

IVP Inspire Veterinary Partners

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  • 0.244
  • -0.011-4.28%
Close Nov 4 16:00 ET
  • 0.246
  • +0.002+0.82%
Post 16:23 ET
5.07MMarket Cap-45P/E (TTM)

Inspire Veterinary Partners 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
175.80%149.72K
-924.07%-3.17M
-43.73%-3.82M
-121.74%-754.78K
-127.36%-2.56M
45.78%-197.51K
62.63%-309.46K
-163.21%-2.66M
-340.38K
-1.13M
Net income from continuing operations
-175.81%-3.39M
-122.35%-3.42M
-201.16%-14.79M
-114.16%-4.14M
-460.21%-7.88M
-89.56%-1.23M
-66.78%-1.54M
-269.02%-4.91M
---1.93M
---1.41M
Operating gains losses
----
----
--18.81K
--0
--16.11K
--0
--2.7K
----
----
----
Depreciation and amortization
66.39%553.9K
12.22%401.21K
132.10%1.41M
39.77%382.23K
114.12%342.19K
316.86%332.89K
270.66%357.53K
626.49%609.59K
--273.46K
--159.81K
Other non cash items
460.52%1.47M
548.92%2.03M
489.39%6.46M
121.07%1.34M
16,104.09%4.54M
103.86%261.4K
-5.92%312.84K
5,104.43%1.1M
--606.44K
--28.02K
Change In working capital
247.95%1.52M
-491.53%-2.18M
439.31%2.96M
115.86%1.54M
353.99%426.45K
478.33%436K
266.41%556.42K
153.90%548.81K
--713.86K
--93.93K
-Change in receivables
213.42%453.56K
-746.40%-280.4K
153.71%125.62K
-60.27%57.03K
71.39%-42.99K
261.35%144.72K
75.90%-33.13K
-2.53%-233.9K
--143.53K
---150.29K
-Change in inventory
71.47%-28.93K
240.05%25.85K
136.90%84.91K
404.17%183.21K
112.69%21.56K
---101.4K
---18.46K
-461.28%-230.13K
---60.23K
---169.89K
-Change in prepaid assets
685.05%451.07K
-2,818.83%-1.64M
28.18%-134.96K
166.71%118.71K
-951.70%-371.55K
237.75%57.46K
608.36%60.41K
-838.20%-187.93K
---177.96K
--43.62K
-Change in payables and accrued expense
78.23%682.06K
-126.97%-180.26K
149.16%3M
51.16%1.22M
100.34%733.75K
85.93%382.67K
488.45%668.49K
138.34%1.2M
--804.38K
--366.26K
-Change in other current assets
--0
13.26%-61.09K
--16.56K
--745
--110.04K
---23.79K
---70.43K
--0
--0
--0
-Change in other current liabilities
-72.10%-40.72K
20.53%-40.11K
-3,597.75%-133.12K
-935.84%-34.63K
-676.00%-24.37K
-2,514.08%-23.66K
-289.62%-50.47K
---3.6K
--4.14K
--4.23K
Cash from discontinued investing activities
Operating cash flow
175.80%149.72K
-924.07%-3.17M
-43.73%-3.82M
-121.74%-754.78K
-127.36%-2.56M
45.78%-197.51K
62.63%-309.46K
-163.21%-2.66M
---340.38K
---1.13M
Investing cash flow
Cash flow from continuing investing activities
78.37%-23.69K
-1,020.88%-156.95K
87.25%-1.87M
73.47%-1.51M
90.71%-240.55K
94.51%-109.55K
99.68%-14K
-264.82%-14.67M
-5.68M
-2.59M
Net PPE purchase and sale
77.55%-23.69K
-1,020.88%-156.95K
-184.30%-383.73K
-100.71%-23.65K
93.03%-240.55K
---105.53K
---14K
89.70%-134.97K
--3.32M
---3.45M
Net intangibles purchase and sale
----
----
--0
-99.71%4.02K
--0
----
----
---41.82K
--1.39M
---1.43M
Net business purchase and sale
----
----
89.76%-1.49M
85.65%-1.49M
----
----
----
-445.86%-14.51M
---10.35M
--2.29M
Net other investing changes
----
----
----
----
----
----
----
142.53%21.8K
---24.54K
---514
Cash from discontinued investing activities
Investing cash flow
78.37%-23.69K
-1,020.88%-156.95K
87.25%-1.87M
73.47%-1.51M
90.71%-240.55K
94.51%-109.55K
99.68%-14K
-264.82%-14.67M
---5.68M
---2.59M
Financing cash flow
Cash flow from continuing financing activities
-132.52%-187.45K
579.84%3.22M
-64.20%5.63M
-89.14%682.79K
28.48%3.89M
-63.62%576.36K
-90.17%473.07K
122.32%15.71M
6.29M
3.03M
Net issuance payments of debt
-132.52%-187.45K
-175.97%-359.37K
-98.84%185.44K
-89.88%682.79K
-156.52%-1.55M
-63.83%576.36K
-90.34%473.07K
133.35%15.97M
--6.75M
--2.74M
Net common stock issuance
--0
--3.38M
--5.44M
--0
--5.44M
--0
--0
--0
--0
----
Net preferred stock issuance
--0
--200K
----
----
----
--0
--0
----
----
----
Net other financing activities
----
----
100.00%1
----
----
----
----
-60.15%-260.61K
---461.02K
--293.19K
Cash from discontinued financing activities
Financing cash flow
-132.52%-187.45K
579.84%3.22M
-64.20%5.63M
-89.14%682.79K
28.48%3.89M
-63.62%576.36K
-90.17%473.07K
122.32%15.71M
--6.29M
--3.03M
Net cash flow
Beginning cash position
-54.69%269.08K
-14.70%378.96K
-78.42%444.25K
1,018.78%1.96M
0.40%863.18K
-63.69%593.87K
-78.42%444.25K
9,269.22%2.06M
--174.87K
--859.71K
Current changes in cash
-122.81%-61.42K
-173.45%-109.88K
95.96%-65.29K
-685.56%-1.58M
259.63%1.09M
134.71%269.31K
135.38%149.61K
-179.26%-1.61M
--269.39K
---684.84K
End cash Position
-75.94%207.66K
-54.69%269.08K
-14.70%378.96K
-14.70%378.96K
1,018.78%1.96M
0.40%863.18K
-63.69%593.87K
-78.42%444.25K
--444.25K
--174.87K
Free cash flow
141.04%126.03K
-928.26%-3.33M
-48.30%-4.2M
-117.75%-774.41K
53.38%-2.8M
15.70%-307.05K
60.94%-323.46K
-22.18%-2.84M
--4.36M
---6.01M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
--
--
(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 175.80%149.72K-924.07%-3.17M-43.73%-3.82M-121.74%-754.78K-127.36%-2.56M45.78%-197.51K62.63%-309.46K-163.21%-2.66M-340.38K-1.13M
Net income from continuing operations -175.81%-3.39M-122.35%-3.42M-201.16%-14.79M-114.16%-4.14M-460.21%-7.88M-89.56%-1.23M-66.78%-1.54M-269.02%-4.91M---1.93M---1.41M
Operating gains losses ----------18.81K--0--16.11K--0--2.7K------------
Depreciation and amortization 66.39%553.9K12.22%401.21K132.10%1.41M39.77%382.23K114.12%342.19K316.86%332.89K270.66%357.53K626.49%609.59K--273.46K--159.81K
Other non cash items 460.52%1.47M548.92%2.03M489.39%6.46M121.07%1.34M16,104.09%4.54M103.86%261.4K-5.92%312.84K5,104.43%1.1M--606.44K--28.02K
Change In working capital 247.95%1.52M-491.53%-2.18M439.31%2.96M115.86%1.54M353.99%426.45K478.33%436K266.41%556.42K153.90%548.81K--713.86K--93.93K
-Change in receivables 213.42%453.56K-746.40%-280.4K153.71%125.62K-60.27%57.03K71.39%-42.99K261.35%144.72K75.90%-33.13K-2.53%-233.9K--143.53K---150.29K
-Change in inventory 71.47%-28.93K240.05%25.85K136.90%84.91K404.17%183.21K112.69%21.56K---101.4K---18.46K-461.28%-230.13K---60.23K---169.89K
-Change in prepaid assets 685.05%451.07K-2,818.83%-1.64M28.18%-134.96K166.71%118.71K-951.70%-371.55K237.75%57.46K608.36%60.41K-838.20%-187.93K---177.96K--43.62K
-Change in payables and accrued expense 78.23%682.06K-126.97%-180.26K149.16%3M51.16%1.22M100.34%733.75K85.93%382.67K488.45%668.49K138.34%1.2M--804.38K--366.26K
-Change in other current assets --013.26%-61.09K--16.56K--745--110.04K---23.79K---70.43K--0--0--0
-Change in other current liabilities -72.10%-40.72K20.53%-40.11K-3,597.75%-133.12K-935.84%-34.63K-676.00%-24.37K-2,514.08%-23.66K-289.62%-50.47K---3.6K--4.14K--4.23K
Cash from discontinued investing activities
Operating cash flow 175.80%149.72K-924.07%-3.17M-43.73%-3.82M-121.74%-754.78K-127.36%-2.56M45.78%-197.51K62.63%-309.46K-163.21%-2.66M---340.38K---1.13M
Investing cash flow
Cash flow from continuing investing activities 78.37%-23.69K-1,020.88%-156.95K87.25%-1.87M73.47%-1.51M90.71%-240.55K94.51%-109.55K99.68%-14K-264.82%-14.67M-5.68M-2.59M
Net PPE purchase and sale 77.55%-23.69K-1,020.88%-156.95K-184.30%-383.73K-100.71%-23.65K93.03%-240.55K---105.53K---14K89.70%-134.97K--3.32M---3.45M
Net intangibles purchase and sale ----------0-99.71%4.02K--0-----------41.82K--1.39M---1.43M
Net business purchase and sale --------89.76%-1.49M85.65%-1.49M-------------445.86%-14.51M---10.35M--2.29M
Net other investing changes ----------------------------142.53%21.8K---24.54K---514
Cash from discontinued investing activities
Investing cash flow 78.37%-23.69K-1,020.88%-156.95K87.25%-1.87M73.47%-1.51M90.71%-240.55K94.51%-109.55K99.68%-14K-264.82%-14.67M---5.68M---2.59M
Financing cash flow
Cash flow from continuing financing activities -132.52%-187.45K579.84%3.22M-64.20%5.63M-89.14%682.79K28.48%3.89M-63.62%576.36K-90.17%473.07K122.32%15.71M6.29M3.03M
Net issuance payments of debt -132.52%-187.45K-175.97%-359.37K-98.84%185.44K-89.88%682.79K-156.52%-1.55M-63.83%576.36K-90.34%473.07K133.35%15.97M--6.75M--2.74M
Net common stock issuance --0--3.38M--5.44M--0--5.44M--0--0--0--0----
Net preferred stock issuance --0--200K--------------0--0------------
Net other financing activities --------100.00%1-----------------60.15%-260.61K---461.02K--293.19K
Cash from discontinued financing activities
Financing cash flow -132.52%-187.45K579.84%3.22M-64.20%5.63M-89.14%682.79K28.48%3.89M-63.62%576.36K-90.17%473.07K122.32%15.71M--6.29M--3.03M
Net cash flow
Beginning cash position -54.69%269.08K-14.70%378.96K-78.42%444.25K1,018.78%1.96M0.40%863.18K-63.69%593.87K-78.42%444.25K9,269.22%2.06M--174.87K--859.71K
Current changes in cash -122.81%-61.42K-173.45%-109.88K95.96%-65.29K-685.56%-1.58M259.63%1.09M134.71%269.31K135.38%149.61K-179.26%-1.61M--269.39K---684.84K
End cash Position -75.94%207.66K-54.69%269.08K-14.70%378.96K-14.70%378.96K1,018.78%1.96M0.40%863.18K-63.69%593.87K-78.42%444.25K--444.25K--174.87K
Free cash flow 141.04%126.03K-928.26%-3.33M-48.30%-4.2M-117.75%-774.41K53.38%-2.8M15.70%-307.05K60.94%-323.46K-22.18%-2.84M--4.36M---6.01M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------------

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