US Stock MarketDetailed Quotes

KDOZF KIDOZ INC (CA)

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  • 0.110
  • 0.0000.00%
15min DelayClose Nov 7 16:00 ET
14.44MMarket Cap-5500P/E (TTM)

KIDOZ INC (CA) 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
84.27%-143.55K
-1,174.78%-599.1K
-289.89%-823.64K
-94.23%36.99K
-13.07%98.88K
-170.43%-912.51K
-395.93%-47K
-49.06%433.75K
-28.46%641.54K
131.68%113.75K
Net income from continuing operations
24.30%-385.65K
32.54%-719.58K
-49.36%-2.01M
-21.72%328.31K
-143.59%-764.34K
29.41%-509.42K
-45.90%-1.07M
-607.81%-1.35M
-46.01%419.38K
-318.14%-313.77K
Operating gains losses
-77.74%71
6,220.59%2.08K
33.23%-16.27K
-482.80%-15.63K
85.12%-929
105.22%319
99.79%-34
-203.69%-24.37K
141.41%4.08K
49.87%-6.25K
Depreciation and amortization
-68.98%45.44K
-22.77%114.83K
0.39%588.49K
0.02%146.73K
0.46%146.6K
0.47%146.47K
0.62%148.69K
-3.33%586.2K
-1.31%146.7K
-1.86%145.93K
Deferred tax
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--0
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----
----
-200.00%-210.5K
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Change In working capital
113.45%92.28K
-108.52%-64.68K
-97.80%16.13K
-598.22%-554.78K
366.85%498.15K
-1,244.31%-686.23K
66.72%758.99K
214.92%733.27K
125.24%111.35K
117.81%106.71K
-Change in receivables
521.94%529K
-42.23%2.3M
236.46%1.05M
4.20%-3.04M
161.10%245.7K
-246.22%-125.37K
39.88%3.98M
71.33%-772.42K
-2.92%-3.18M
41.00%-402.16K
-Change in prepaid assets
-32.84%33.8K
93.71%-2.4K
-192.48%-31.65K
-219.01%-41.7K
72.90%-2.17K
-14.13%50.33K
25.90%-38.1K
320.80%34.22K
64.68%35.04K
53.44%-8.02K
-Change in payables and accrued expense
23.02%-470.52K
25.80%-2.36M
-168.38%-1.01M
-22.21%2.53M
-50.74%254.63K
-1,726.71%-611.19K
-36.10%-3.18M
-28.97%1.47M
23.95%3.25M
417.77%516.88K
Cash from discontinued investing activities
Operating cash flow
84.27%-143.55K
-1,174.78%-599.1K
-289.89%-823.64K
-94.23%36.99K
-13.07%98.88K
-170.43%-912.51K
-395.93%-47K
-49.06%433.75K
-28.46%641.54K
131.68%113.75K
Investing cash flow
Cash flow from continuing investing activities
64.62%-1.61K
932.69%12.46K
67.16%-8.71K
0
-11.80%-2.68K
-25.55%-4.54K
78.56%-1.5K
-6,809.64%-26.53K
-4,325.49%-13.54K
-143.60%-2.4K
Net PPE purchase and sale
62.99%-1.68K
-167.78%-4.01K
61.79%-8.71K
--0
55.39%-2.68K
---4.54K
78.56%-1.5K
-179.76%-22.81K
-3,355.99%-9.82K
-162.76%-6.01K
Net other investing changes
--74
--16.46K
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----
----
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-147.98%-3.73K
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Cash from discontinued investing activities
Investing cash flow
64.62%-1.61K
932.69%12.46K
67.16%-8.71K
--0
-11.80%-2.68K
-25.55%-4.54K
78.56%-1.5K
-6,809.64%-26.53K
-4,325.49%-13.54K
-143.60%-2.4K
Financing cash flow
Cash flow from continuing financing activities
99.99%-1
26.04%-7.6K
49.34%-61.95K
61.24%-36.72K
25.71%-7.98K
28.69%-6.97K
-46.06%-10.28K
-8,754.56%-122.29K
-1,102.96%-94.73K
-6.95%-10.74K
Net issuance payments of debt
99.99%-1
22.12%-7.6K
-78.02%-61.44K
-427.97%-36.72K
25.71%-7.98K
28.69%-6.97K
-38.71%-9.76K
-15.61%-34.51K
11.68%-6.96K
-6.95%-10.74K
Net common stock issuance
--0
--0
99.41%-517
--0
--0
--0
---517
---87.78K
---87.78K
--0
Proceeds from stock option exercised by employees
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--0
----
----
----
----
--0
----
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Cash from discontinued financing activities
Financing cash flow
99.99%-1
26.04%-7.6K
49.34%-61.95K
61.24%-36.72K
25.71%-7.98K
28.69%-6.97K
-46.06%-10.28K
-8,754.56%-122.29K
-1,102.96%-94.73K
-6.95%-10.74K
Net cash flow
Beginning cash position
-62.04%874.98K
-37.84%1.47M
13.71%2.36M
-19.74%1.47M
-20.17%1.38M
10.78%2.3M
13.71%2.36M
69.54%2.08M
53.80%1.83M
11.33%1.73M
Current changes in cash
84.29%-145.15K
-911.08%-594.24K
-413.88%-894.31K
-99.95%269
-12.32%88.22K
-163.39%-924.02K
-3,254.75%-58.77K
-66.58%284.92K
-39.99%533.27K
127.67%100.61K
End cash Position
-47.14%729.83K
-62.04%874.98K
-37.84%1.47M
-37.84%1.47M
-19.74%1.47M
-20.17%1.38M
10.78%2.3M
13.71%2.36M
13.71%2.36M
53.80%1.83M
Free cash flow
84.16%-145.23K
-1,143.71%-603.1K
-302.55%-832.35K
-94.14%36.99K
-10.71%96.2K
-171.78%-917.05K
-644.73%-48.49K
-51.27%410.94K
-29.53%631.73K
129.81%107.74K
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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(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 84.27%-143.55K-1,174.78%-599.1K-289.89%-823.64K-94.23%36.99K-13.07%98.88K-170.43%-912.51K-395.93%-47K-49.06%433.75K-28.46%641.54K131.68%113.75K
Net income from continuing operations 24.30%-385.65K32.54%-719.58K-49.36%-2.01M-21.72%328.31K-143.59%-764.34K29.41%-509.42K-45.90%-1.07M-607.81%-1.35M-46.01%419.38K-318.14%-313.77K
Operating gains losses -77.74%716,220.59%2.08K33.23%-16.27K-482.80%-15.63K85.12%-929105.22%31999.79%-34-203.69%-24.37K141.41%4.08K49.87%-6.25K
Depreciation and amortization -68.98%45.44K-22.77%114.83K0.39%588.49K0.02%146.73K0.46%146.6K0.47%146.47K0.62%148.69K-3.33%586.2K-1.31%146.7K-1.86%145.93K
Deferred tax ----------0-----------------200.00%-210.5K--------
Change In working capital 113.45%92.28K-108.52%-64.68K-97.80%16.13K-598.22%-554.78K366.85%498.15K-1,244.31%-686.23K66.72%758.99K214.92%733.27K125.24%111.35K117.81%106.71K
-Change in receivables 521.94%529K-42.23%2.3M236.46%1.05M4.20%-3.04M161.10%245.7K-246.22%-125.37K39.88%3.98M71.33%-772.42K-2.92%-3.18M41.00%-402.16K
-Change in prepaid assets -32.84%33.8K93.71%-2.4K-192.48%-31.65K-219.01%-41.7K72.90%-2.17K-14.13%50.33K25.90%-38.1K320.80%34.22K64.68%35.04K53.44%-8.02K
-Change in payables and accrued expense 23.02%-470.52K25.80%-2.36M-168.38%-1.01M-22.21%2.53M-50.74%254.63K-1,726.71%-611.19K-36.10%-3.18M-28.97%1.47M23.95%3.25M417.77%516.88K
Cash from discontinued investing activities
Operating cash flow 84.27%-143.55K-1,174.78%-599.1K-289.89%-823.64K-94.23%36.99K-13.07%98.88K-170.43%-912.51K-395.93%-47K-49.06%433.75K-28.46%641.54K131.68%113.75K
Investing cash flow
Cash flow from continuing investing activities 64.62%-1.61K932.69%12.46K67.16%-8.71K0-11.80%-2.68K-25.55%-4.54K78.56%-1.5K-6,809.64%-26.53K-4,325.49%-13.54K-143.60%-2.4K
Net PPE purchase and sale 62.99%-1.68K-167.78%-4.01K61.79%-8.71K--055.39%-2.68K---4.54K78.56%-1.5K-179.76%-22.81K-3,355.99%-9.82K-162.76%-6.01K
Net other investing changes --74--16.46K---------------------147.98%-3.73K--------
Cash from discontinued investing activities
Investing cash flow 64.62%-1.61K932.69%12.46K67.16%-8.71K--0-11.80%-2.68K-25.55%-4.54K78.56%-1.5K-6,809.64%-26.53K-4,325.49%-13.54K-143.60%-2.4K
Financing cash flow
Cash flow from continuing financing activities 99.99%-126.04%-7.6K49.34%-61.95K61.24%-36.72K25.71%-7.98K28.69%-6.97K-46.06%-10.28K-8,754.56%-122.29K-1,102.96%-94.73K-6.95%-10.74K
Net issuance payments of debt 99.99%-122.12%-7.6K-78.02%-61.44K-427.97%-36.72K25.71%-7.98K28.69%-6.97K-38.71%-9.76K-15.61%-34.51K11.68%-6.96K-6.95%-10.74K
Net common stock issuance --0--099.41%-517--0--0--0---517---87.78K---87.78K--0
Proceeds from stock option exercised by employees ----------0------------------0--------
Cash from discontinued financing activities
Financing cash flow 99.99%-126.04%-7.6K49.34%-61.95K61.24%-36.72K25.71%-7.98K28.69%-6.97K-46.06%-10.28K-8,754.56%-122.29K-1,102.96%-94.73K-6.95%-10.74K
Net cash flow
Beginning cash position -62.04%874.98K-37.84%1.47M13.71%2.36M-19.74%1.47M-20.17%1.38M10.78%2.3M13.71%2.36M69.54%2.08M53.80%1.83M11.33%1.73M
Current changes in cash 84.29%-145.15K-911.08%-594.24K-413.88%-894.31K-99.95%269-12.32%88.22K-163.39%-924.02K-3,254.75%-58.77K-66.58%284.92K-39.99%533.27K127.67%100.61K
End cash Position -47.14%729.83K-62.04%874.98K-37.84%1.47M-37.84%1.47M-19.74%1.47M-20.17%1.38M10.78%2.3M13.71%2.36M13.71%2.36M53.80%1.83M
Free cash flow 84.16%-145.23K-1,143.71%-603.1K-302.55%-832.35K-94.14%36.99K-10.71%96.2K-171.78%-917.05K-644.73%-48.49K-51.27%410.94K-29.53%631.73K129.81%107.74K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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