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JET Global Crossing Airlines Group Inc

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  • 0.950
  • 0.0000.00%
15min DelayMarket Closed Nov 1 15:59 ET
57.97MMarket Cap-3015P/E (TTM)

Global Crossing Airlines Group Inc 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
-79.25%894K
-206.61%-2.13M
61.69%-1.38M
392.01%5.38M
-333.02%-10.37M
181.34%4.31M
23.68%-696K
67.19%-3.6M
21.65%-1.84M
482.49%4.45M
Net income from continuing operations
103.81%285K
-5.06%-6.38M
-31.38%-20.79M
47.10%-2.35M
-3,091.05%-4.89M
-10.43%-7.47M
-27.04%-6.07M
20.88%-15.82M
0.96%-4.44M
103.11%163.64K
Operating gains losses
----
----
-3.25%-297.31K
14.18%-250.34K
-8,461.29%-76.97K
---51K
--81K
-110.27%-287.95K
-228.41%-291.7K
-100.03%-899
Depreciation and amortization
158.55%5.82M
69.00%3.87M
93.57%10.47M
78.25%3.08M
71.13%2.84M
115.87%2.25M
135.20%2.29M
354.80%5.41M
386.26%1.73M
337.47%1.66M
Asset impairment expenditure
---2K
2,094.44%359K
-97.31%5.92K
--0
-45.07%23.92K
--0
---18K
--219.76K
--124.87K
--43.54K
Remuneration paid in stock
-12.66%531K
-31.54%343K
77.78%2.47M
33.19%787.45K
715.60%568.59K
77.26%608K
30.94%501K
10.53%1.39M
-14.14%591.2K
-75.18%69.72K
Other non cashItems
134.62%915K
35.86%466K
-62.25%1.34M
-104.33%-136.59K
--740.81K
--390K
--343K
--3.54M
--3.15M
----
Change In working capital
-178.47%-6.73M
-136.39%-793K
178.00%5.43M
256.80%4.24M
-551.12%-9.58M
32,825.38%8.58M
-13.23%2.18M
-48.22%1.95M
-414.17%-2.71M
-36.77%2.12M
-Change in receivables
45.76%-909K
438.49%4.25M
-297.92%-7.75M
-150.14%-2.86M
-520.82%-1.96M
-119.29%-1.68M
-554.79%-1.26M
-161.08%-1.95M
-65.74%-1.14M
-465.32%-314.92K
-Change in prepaid assets
306.22%1.16M
-417.36%-626K
74.50%-321.84K
1,345.61%858.77K
34.46%-496.61K
-304.14%-563K
85.59%-121K
60.20%-1.26M
102.13%59.41K
-192.06%-757.7K
-Change in payables and accrued expense
-118.99%-2.27M
-120.36%-1.05M
110.06%19.52M
14,085.85%7.32M
-212.53%-4.91M
920.47%11.95M
35.62%5.16M
16.12%9.29M
-101.23%-52.34K
28.62%4.37M
-Change in other current assets
-167.64%-301K
-98.83%3K
589.12%1.67M
309.43%713.22K
--251.52K
--445K
--256K
---340.56K
---340.56K
--0
-Change in other current liabilities
-180.74%-4.42M
-80.73%-3.37M
-102.85%-7.69M
-45.39%-1.79M
-110.13%-2.46M
-139.64%-1.57M
-154.75%-1.86M
-1,111.04%-3.79M
-1,694.40%-1.23M
-45.42%-1.17M
Cash from discontinued investing activities
Operating cash flow
-79.25%894K
-206.61%-2.13M
61.69%-1.38M
392.01%5.38M
-333.02%-10.37M
181.34%4.31M
23.68%-696K
66.65%-3.6M
21.65%-1.84M
482.49%4.45M
Investing cash flow
Cash flow from continuing investing activities
32.13%-1.97M
-187.00%-3.25M
-155.61%-13.19M
-691.36%-5.41M
-117.23%-3.74M
-56.11%-2.91M
-26.95%-1.13M
-690.30%-5.16M
-154.74%-683.13K
-27.09%-1.72M
Net PPE purchase and sale
29.15%-1.89M
-459.28%-1.72M
-111.45%-4.04M
-149.07%-1.96M
439.84%886.77K
-350.62%-2.66M
-12.44%-307K
-192.86%-1.91M
-436.32%-786.96K
-32.79%-260.94K
Net other investing changes
64.49%-87K
-85.56%-1.53M
-181.60%-9.14M
-3,418.75%-3.45M
-216.68%-4.63M
80.73%-245K
-33.37%-824K
---3.25M
--103.83K
-26.12%-1.46M
Cash from discontinued investing activities
Investing cash flow
32.13%-1.97M
-187.00%-3.25M
-155.61%-13.19M
-691.36%-5.41M
-117.23%-3.74M
-56.11%-2.91M
-26.95%-1.13M
-690.30%-5.16M
-154.74%-683.13K
-27.09%-1.72M
Financing cash flow
Cash flow from continuing financing activities
-165.52%-539K
-106.43%-231K
330.08%26.78M
130.87%405.41K
7,257.37%22.98M
-132.00%-203K
-37.38%3.59M
-67.10%6.23M
-15.35%175.6K
-219.96%-321.13K
Net issuance payments of debt
-5.73%-627K
-109.67%-231K
359.19%24.91M
171.09%127.98K
7,257.06%22.98M
---593K
-59.68%2.39M
--5.42M
---180.03K
---321.14K
Net common stock issuance
-51.79%188K
--0
133.29%1.87M
75.51%277.43K
3,822.22%353
-38.52%390K
12,024.87%1.2M
-95.78%802.33K
-57.54%158.07K
100.01%9
Net other financing activities
----
----
----
----
----
----
99.49%-1K
----
----
--0
Cash from discontinued financing activities
Financing cash flow
-166.83%-539K
-106.43%-231K
330.08%26.78M
130.87%405.41K
7,257.37%22.98M
-131.85%-202K
-37.40%3.59M
-67.05%6.23M
-15.35%175.6K
-219.96%-321.13K
Net cash flow
Beginning cash position
66.93%12.06M
223.66%17.68M
-31.69%5.46M
121.51%17.3M
55.94%8.43M
-39.42%7.23M
-31.69%5.46M
1,356.92%7.99M
-12.14%7.81M
-51.49%5.4M
Current changes in cash
-234.95%-1.62M
-417.72%-5.61M
582.19%12.21M
116.00%375.84K
268.78%8.87M
118.37%1.2M
-55.12%1.77M
-134.02%-2.53M
-162.54%-2.35M
206.89%2.41M
End cash Position
23.99%10.45M
66.93%12.06M
223.67%17.68M
223.67%17.68M
121.51%17.3M
55.94%8.43M
-39.42%7.23M
-31.69%5.46M
-31.69%5.46M
-12.14%7.81M
Free cash from
-160.23%-992K
-283.95%-3.85M
1.65%-5.42M
229.99%3.42M
-326.37%-9.48M
127.97%1.65M
15.36%-1M
51.86%-5.51M
-5.26%-2.63M
408.03%4.19M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
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 -79.25%894K-206.61%-2.13M61.69%-1.38M392.01%5.38M-333.02%-10.37M181.34%4.31M23.68%-696K67.19%-3.6M21.65%-1.84M482.49%4.45M
Net income from continuing operations 103.81%285K-5.06%-6.38M-31.38%-20.79M47.10%-2.35M-3,091.05%-4.89M-10.43%-7.47M-27.04%-6.07M20.88%-15.82M0.96%-4.44M103.11%163.64K
Operating gains losses ---------3.25%-297.31K14.18%-250.34K-8,461.29%-76.97K---51K--81K-110.27%-287.95K-228.41%-291.7K-100.03%-899
Depreciation and amortization 158.55%5.82M69.00%3.87M93.57%10.47M78.25%3.08M71.13%2.84M115.87%2.25M135.20%2.29M354.80%5.41M386.26%1.73M337.47%1.66M
Asset impairment expenditure ---2K2,094.44%359K-97.31%5.92K--0-45.07%23.92K--0---18K--219.76K--124.87K--43.54K
Remuneration paid in stock -12.66%531K-31.54%343K77.78%2.47M33.19%787.45K715.60%568.59K77.26%608K30.94%501K10.53%1.39M-14.14%591.2K-75.18%69.72K
Other non cashItems 134.62%915K35.86%466K-62.25%1.34M-104.33%-136.59K--740.81K--390K--343K--3.54M--3.15M----
Change In working capital -178.47%-6.73M-136.39%-793K178.00%5.43M256.80%4.24M-551.12%-9.58M32,825.38%8.58M-13.23%2.18M-48.22%1.95M-414.17%-2.71M-36.77%2.12M
-Change in receivables 45.76%-909K438.49%4.25M-297.92%-7.75M-150.14%-2.86M-520.82%-1.96M-119.29%-1.68M-554.79%-1.26M-161.08%-1.95M-65.74%-1.14M-465.32%-314.92K
-Change in prepaid assets 306.22%1.16M-417.36%-626K74.50%-321.84K1,345.61%858.77K34.46%-496.61K-304.14%-563K85.59%-121K60.20%-1.26M102.13%59.41K-192.06%-757.7K
-Change in payables and accrued expense -118.99%-2.27M-120.36%-1.05M110.06%19.52M14,085.85%7.32M-212.53%-4.91M920.47%11.95M35.62%5.16M16.12%9.29M-101.23%-52.34K28.62%4.37M
-Change in other current assets -167.64%-301K-98.83%3K589.12%1.67M309.43%713.22K--251.52K--445K--256K---340.56K---340.56K--0
-Change in other current liabilities -180.74%-4.42M-80.73%-3.37M-102.85%-7.69M-45.39%-1.79M-110.13%-2.46M-139.64%-1.57M-154.75%-1.86M-1,111.04%-3.79M-1,694.40%-1.23M-45.42%-1.17M
Cash from discontinued investing activities
Operating cash flow -79.25%894K-206.61%-2.13M61.69%-1.38M392.01%5.38M-333.02%-10.37M181.34%4.31M23.68%-696K66.65%-3.6M21.65%-1.84M482.49%4.45M
Investing cash flow
Cash flow from continuing investing activities 32.13%-1.97M-187.00%-3.25M-155.61%-13.19M-691.36%-5.41M-117.23%-3.74M-56.11%-2.91M-26.95%-1.13M-690.30%-5.16M-154.74%-683.13K-27.09%-1.72M
Net PPE purchase and sale 29.15%-1.89M-459.28%-1.72M-111.45%-4.04M-149.07%-1.96M439.84%886.77K-350.62%-2.66M-12.44%-307K-192.86%-1.91M-436.32%-786.96K-32.79%-260.94K
Net other investing changes 64.49%-87K-85.56%-1.53M-181.60%-9.14M-3,418.75%-3.45M-216.68%-4.63M80.73%-245K-33.37%-824K---3.25M--103.83K-26.12%-1.46M
Cash from discontinued investing activities
Investing cash flow 32.13%-1.97M-187.00%-3.25M-155.61%-13.19M-691.36%-5.41M-117.23%-3.74M-56.11%-2.91M-26.95%-1.13M-690.30%-5.16M-154.74%-683.13K-27.09%-1.72M
Financing cash flow
Cash flow from continuing financing activities -165.52%-539K-106.43%-231K330.08%26.78M130.87%405.41K7,257.37%22.98M-132.00%-203K-37.38%3.59M-67.10%6.23M-15.35%175.6K-219.96%-321.13K
Net issuance payments of debt -5.73%-627K-109.67%-231K359.19%24.91M171.09%127.98K7,257.06%22.98M---593K-59.68%2.39M--5.42M---180.03K---321.14K
Net common stock issuance -51.79%188K--0133.29%1.87M75.51%277.43K3,822.22%353-38.52%390K12,024.87%1.2M-95.78%802.33K-57.54%158.07K100.01%9
Net other financing activities ------------------------99.49%-1K----------0
Cash from discontinued financing activities
Financing cash flow -166.83%-539K-106.43%-231K330.08%26.78M130.87%405.41K7,257.37%22.98M-131.85%-202K-37.40%3.59M-67.05%6.23M-15.35%175.6K-219.96%-321.13K
Net cash flow
Beginning cash position 66.93%12.06M223.66%17.68M-31.69%5.46M121.51%17.3M55.94%8.43M-39.42%7.23M-31.69%5.46M1,356.92%7.99M-12.14%7.81M-51.49%5.4M
Current changes in cash -234.95%-1.62M-417.72%-5.61M582.19%12.21M116.00%375.84K268.78%8.87M118.37%1.2M-55.12%1.77M-134.02%-2.53M-162.54%-2.35M206.89%2.41M
End cash Position 23.99%10.45M66.93%12.06M223.67%17.68M223.67%17.68M121.51%17.3M55.94%8.43M-39.42%7.23M-31.69%5.46M-31.69%5.46M-12.14%7.81M
Free cash from -160.23%-992K-283.95%-3.85M1.65%-5.42M229.99%3.42M-326.37%-9.48M127.97%1.65M15.36%-1M51.86%-5.51M-5.26%-2.63M408.03%4.19M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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