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LBCC Long Blockchain Corp

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15min DelayClose Jul 16 09:30 ET
0Market Cap0.00P/E (TTM)

Long Blockchain Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2018
(Q2)Jun 30, 2018
(Q1)Mar 31, 2018
(Q3)Sep 30, 2017
(Q2)Jun 30, 2017
(Q1)Mar 31, 2017
(FY)Dec 31, 2016
(Q4)Dec 31, 2016
(Q3)Sep 30, 2016
(Q2)Jun 30, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
88.91%-284.28K
76.26%-643.41K
31.73%-1.45M
19.31%-2.56M
-337.97%-2.71M
-137.46%-2.13M
-118.86%-6.47M
-89.06%-1.78M
-457.53%-3.18M
34.41%-618.92K
Net income from continuing operations
81.02%-742.64K
55.67%-1.87M
34.82%-2.25M
20.00%-3.91M
-102.92%-4.23M
-143.78%-3.45M
-228.51%-10.45M
-76.83%-2.06M
-412.32%-4.89M
-204.64%-2.08M
Operating gains losses
--75.67K
765.65%228.74K
32.22%15.15K
--0
--26.42K
--11.46K
47,636.31%1.59M
--1.59M
----
----
Depreciation and amortization
41.18%45.63K
-19.46%29.47K
-26.35%31.39K
-20.53%32.32K
-9.11%36.59K
6.69%42.62K
41.96%162.5K
21.95%41.63K
43.74%40.67K
52.67%40.26K
Other non cash items
-542.14%-235.69K
-46.27%137.6K
16,984.40%152.64K
-96.64%53.31K
525.76%256.12K
-102.52%-904
2,622.99%74.96K
-44,806.16%-1.59M
8,150.78%1.59M
114.81%40.93K
Change In working capital
-29.72%517.2K
39.33%717.4K
61.96%442.02K
182.01%735.9K
-34.23%514.91K
184.03%272.92K
37.91%-214.12K
-467.17%-195.75K
-520.20%-897.32K
310.29%782.86K
-Change in receivables
-134.10%-131.74K
147.98%186.84K
135.26%100.59K
82.81%-56.27K
49.83%-389.38K
-643.76%-285.31K
-561.37%-1.46M
-1,766.76%-314.79K
-667.68%-327.27K
-261.41%-776.17K
-Change in inventory
-33.59%343.17K
137.78%411.81K
-168.37%-77.57K
252.37%516.74K
-591.79%-1.09M
-50.90%113.46K
-213.89%-475.38K
-169.67%-209.78K
-894.98%-339.13K
-9.96%-157.55K
-Change in prepaid assets
-32.36%82.44K
74.08%-21.17K
-6.64%-86.26K
488.10%121.87K
-203.68%-81.67K
6.79%-80.89K
-135.84%-42.84K
-174.00%-3.42K
-207.17%-31.4K
58.21%78.77K
-Change in payables and accrued expense
84.10%356.46K
-95.10%101.63K
1.92%532.52K
346.76%193.62K
41.12%2.07M
1,885.44%522.49K
803.50%1.75M
200.77%329.08K
-138.71%-78.47K
19,284.87%1.47M
-Change in other current liabilities
---136.29K
---30.2K
---22.81K
----
----
----
----
----
----
----
-Change in other working capital
130.14%3.16K
2,065.67%68.5K
-240.64%-4.45K
91.33%-10.49K
-98.13%3.16K
108.74%3.16K
110.10%14.97K
0.00%3.16K
-4,693.90%-121.05K
399.83%169.01K
Cash from discontinued investing activities
Operating cash flow
88.91%-284.28K
76.26%-643.41K
31.73%-1.45M
19.31%-2.56M
-337.97%-2.71M
-137.46%-2.13M
-118.86%-6.47M
-89.06%-1.78M
-457.53%-3.18M
34.41%-618.92K
Investing cash flow
Cash flow from continuing investing activities
0
0
0
0
1,233.10%1.58M
575.38%861.64K
-955.24%-2.41M
87.03%-21.19K
-6,600.21%-2.38M
-489.76%-139.83K
Net PPE purchase and sale
--0
--0
--0
--0
19.56%-9.86K
---29.56K
85.50%-14.62K
85.69%-5.13K
107.76%2.75K
48.33%-12.25K
Net investment purchase and sale
--0
--0
--0
--0
--1.59M
--787.61K
---2.42M
--87.54K
---2.51M
--0
Net other investing changes
----
----
----
--0
--0
-18.79%103.6K
118.79%23.98K
---103.6K
----
----
Cash from discontinued investing activities
Investing cash flow
--0
--0
--0
--0
1,233.10%1.58M
575.38%861.64K
-955.24%-2.41M
87.03%-21.19K
-6,600.21%-2.38M
-489.76%-139.83K
Financing cash flow
Cash flow from continuing financing activities
-83.79%446.35K
-22.99%961.9K
695.15%1.08M
-53.25%2.75M
195.61%1.25M
-85.28%136.11K
231.43%9.92M
157.96%2.69M
930.49%5.89M
-62.77%422.56K
Net issuance payments of debt
-17,906.76%-1.88M
8,355.12%848.71K
177.32%1M
53.87%-10.47K
97.97%-10.28K
-232.28%-1.29M
-3.42%1.72M
27.88%1.27M
-402.30%-22.68K
-163.54%-505.48K
Net common stock issuance
----
----
----
-39.25%3.56M
---170.33K
--1.43M
1,182.46%7.29M
--561.35K
5,767.28%5.87M
----
Proceeds from stock option exercised by employees
----
----
----
----
----
----
46.44%861.79K
----
----
----
Net other financing activities
316.08%1.73M
--113.19K
--82.04K
-1,946.32%-800.99K
----
----
-6.86%56.25K
--0
--43.38K
151.29%66.25K
Cash from discontinued financing activities
Financing cash flow
-83.79%446.35K
-22.99%961.9K
695.15%1.08M
-53.25%2.75M
195.61%1.25M
-85.28%136.11K
231.43%9.92M
157.96%2.69M
930.49%5.89M
-62.77%422.56K
Net cash flow
Beginning cash position
31.96%318.49K
--0
-70.31%370.95K
805.13%241.36K
-67.35%118.47K
503.09%1.25M
-47.96%207.19K
33.84%359.61K
-91.19%26.67K
168.37%362.85K
Current changes in cash
-13.94%162.07K
159.17%318.49K
67.20%-370.95K
-43.44%188.31K
136.55%122.89K
-826.62%-1.13M
645.82%1.04M
1,547.15%889.94K
1,075.73%332.95K
-300.58%-336.19K
End cash Position
11.84%480.56K
31.96%318.49K
--0
19.48%429.67K
805.13%241.36K
-67.35%118.47K
503.09%1.25M
503.09%1.25M
33.84%359.61K
-91.19%26.67K
Free cash flow
88.91%-284.28K
76.35%-643.41K
32.67%-1.45M
19.24%-2.56M
-331.03%-2.72M
-140.76%-2.16M
-112.13%-6.49M
-82.65%-1.78M
-424.41%-3.18M
34.75%-631.17K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q3)Sep 30, 2018(Q2)Jun 30, 2018(Q1)Mar 31, 2018(Q3)Sep 30, 2017(Q2)Jun 30, 2017(Q1)Mar 31, 2017(FY)Dec 31, 2016(Q4)Dec 31, 2016(Q3)Sep 30, 2016(Q2)Jun 30, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 88.91%-284.28K76.26%-643.41K31.73%-1.45M19.31%-2.56M-337.97%-2.71M-137.46%-2.13M-118.86%-6.47M-89.06%-1.78M-457.53%-3.18M34.41%-618.92K
Net income from continuing operations 81.02%-742.64K55.67%-1.87M34.82%-2.25M20.00%-3.91M-102.92%-4.23M-143.78%-3.45M-228.51%-10.45M-76.83%-2.06M-412.32%-4.89M-204.64%-2.08M
Operating gains losses --75.67K765.65%228.74K32.22%15.15K--0--26.42K--11.46K47,636.31%1.59M--1.59M--------
Depreciation and amortization 41.18%45.63K-19.46%29.47K-26.35%31.39K-20.53%32.32K-9.11%36.59K6.69%42.62K41.96%162.5K21.95%41.63K43.74%40.67K52.67%40.26K
Other non cash items -542.14%-235.69K-46.27%137.6K16,984.40%152.64K-96.64%53.31K525.76%256.12K-102.52%-9042,622.99%74.96K-44,806.16%-1.59M8,150.78%1.59M114.81%40.93K
Change In working capital -29.72%517.2K39.33%717.4K61.96%442.02K182.01%735.9K-34.23%514.91K184.03%272.92K37.91%-214.12K-467.17%-195.75K-520.20%-897.32K310.29%782.86K
-Change in receivables -134.10%-131.74K147.98%186.84K135.26%100.59K82.81%-56.27K49.83%-389.38K-643.76%-285.31K-561.37%-1.46M-1,766.76%-314.79K-667.68%-327.27K-261.41%-776.17K
-Change in inventory -33.59%343.17K137.78%411.81K-168.37%-77.57K252.37%516.74K-591.79%-1.09M-50.90%113.46K-213.89%-475.38K-169.67%-209.78K-894.98%-339.13K-9.96%-157.55K
-Change in prepaid assets -32.36%82.44K74.08%-21.17K-6.64%-86.26K488.10%121.87K-203.68%-81.67K6.79%-80.89K-135.84%-42.84K-174.00%-3.42K-207.17%-31.4K58.21%78.77K
-Change in payables and accrued expense 84.10%356.46K-95.10%101.63K1.92%532.52K346.76%193.62K41.12%2.07M1,885.44%522.49K803.50%1.75M200.77%329.08K-138.71%-78.47K19,284.87%1.47M
-Change in other current liabilities ---136.29K---30.2K---22.81K----------------------------
-Change in other working capital 130.14%3.16K2,065.67%68.5K-240.64%-4.45K91.33%-10.49K-98.13%3.16K108.74%3.16K110.10%14.97K0.00%3.16K-4,693.90%-121.05K399.83%169.01K
Cash from discontinued investing activities
Operating cash flow 88.91%-284.28K76.26%-643.41K31.73%-1.45M19.31%-2.56M-337.97%-2.71M-137.46%-2.13M-118.86%-6.47M-89.06%-1.78M-457.53%-3.18M34.41%-618.92K
Investing cash flow
Cash flow from continuing investing activities 00001,233.10%1.58M575.38%861.64K-955.24%-2.41M87.03%-21.19K-6,600.21%-2.38M-489.76%-139.83K
Net PPE purchase and sale --0--0--0--019.56%-9.86K---29.56K85.50%-14.62K85.69%-5.13K107.76%2.75K48.33%-12.25K
Net investment purchase and sale --0--0--0--0--1.59M--787.61K---2.42M--87.54K---2.51M--0
Net other investing changes --------------0--0-18.79%103.6K118.79%23.98K---103.6K--------
Cash from discontinued investing activities
Investing cash flow --0--0--0--01,233.10%1.58M575.38%861.64K-955.24%-2.41M87.03%-21.19K-6,600.21%-2.38M-489.76%-139.83K
Financing cash flow
Cash flow from continuing financing activities -83.79%446.35K-22.99%961.9K695.15%1.08M-53.25%2.75M195.61%1.25M-85.28%136.11K231.43%9.92M157.96%2.69M930.49%5.89M-62.77%422.56K
Net issuance payments of debt -17,906.76%-1.88M8,355.12%848.71K177.32%1M53.87%-10.47K97.97%-10.28K-232.28%-1.29M-3.42%1.72M27.88%1.27M-402.30%-22.68K-163.54%-505.48K
Net common stock issuance -------------39.25%3.56M---170.33K--1.43M1,182.46%7.29M--561.35K5,767.28%5.87M----
Proceeds from stock option exercised by employees ------------------------46.44%861.79K------------
Net other financing activities 316.08%1.73M--113.19K--82.04K-1,946.32%-800.99K---------6.86%56.25K--0--43.38K151.29%66.25K
Cash from discontinued financing activities
Financing cash flow -83.79%446.35K-22.99%961.9K695.15%1.08M-53.25%2.75M195.61%1.25M-85.28%136.11K231.43%9.92M157.96%2.69M930.49%5.89M-62.77%422.56K
Net cash flow
Beginning cash position 31.96%318.49K--0-70.31%370.95K805.13%241.36K-67.35%118.47K503.09%1.25M-47.96%207.19K33.84%359.61K-91.19%26.67K168.37%362.85K
Current changes in cash -13.94%162.07K159.17%318.49K67.20%-370.95K-43.44%188.31K136.55%122.89K-826.62%-1.13M645.82%1.04M1,547.15%889.94K1,075.73%332.95K-300.58%-336.19K
End cash Position 11.84%480.56K31.96%318.49K--019.48%429.67K805.13%241.36K-67.35%118.47K503.09%1.25M503.09%1.25M33.84%359.61K-91.19%26.67K
Free cash flow 88.91%-284.28K76.35%-643.41K32.67%-1.45M19.24%-2.56M-331.03%-2.72M-140.76%-2.16M-112.13%-6.49M-82.65%-1.78M-424.41%-3.18M34.75%-631.17K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

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