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LOCL Local Bounti

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  • 2.5700
  • +0.0400+1.58%
Close Oct 18 16:00 ET
22.21MMarket Cap-150P/E (TTM)

Local Bounti 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
51.55%-4M
9.54%-7.08M
32.07%-33.16M
39.94%-7.17M
3.10%-9.9M
50.38%-8.26M
21.81%-7.83M
-142.73%-48.81M
-147.12%-11.93M
-35.19%-10.22M
Net income from continuing operations
-136.67%-25.27M
-2.22%-24.05M
-11.65%-124.02M
-147.08%-65.55M
10.50%-24.26M
66.28%-10.68M
8.71%-23.53M
-98.01%-111.07M
6.15%-26.53M
-150.18%-27.1M
Operating gains losses
---1.06M
--4.18M
-517.01%-13.77M
-42.05%1.77M
-1,839.29%-543K
----
----
248.05%3.3M
224.92%3.05M
-500.00%-28K
Depreciation and amortization
17.28%3.89M
-6.65%3.23M
25.94%13.13M
-17.93%2.95M
17.13%3.41M
-1.92%3.32M
539.19%3.46M
1,424.42%10.43M
1,132.19%3.6M
1,947.18%2.91M
Other non cash items
22.43%14.13M
1,072.07%12.08M
880.83%31.57M
10,898.95%10.45M
769.00%8.55M
523.89%11.54M
255.52%1.03M
-53.84%3.22M
-48.65%95K
-70.84%984K
Change In working capital
225.09%2.7M
-134.87%-1.82M
-6.12%5.11M
26.57%2.44M
-118.20%-394K
9.18%-2.16M
40.23%5.21M
-42.70%5.44M
-78.71%1.93M
1,013.50%2.17M
-Change in receivables
588.46%889K
-469.74%-281K
39.04%-392K
28.35%-412K
425.00%126K
-41.09%-182K
105.41%76K
-433.16%-643K
-306.83%-575K
142.11%24K
-Change in inventory
27.21%-503K
-242.61%-973K
-670.45%-678K
773.33%606K
49.84%-309K
-172.05%-691K
16.72%-284K
86.50%-88K
68.09%-90K
-217.53%-616K
-Change in prepaid assets
-98.98%5K
4,425.00%181K
-44.45%776K
-222.33%-515K
203.44%795K
-45.33%492K
102.15%4K
141.28%1.4M
-75.61%421K
114.43%262K
-Change in payables and accrued expense
243.29%2.35M
-59.13%2.21M
141.74%5.54M
6.31%2.16M
-115.57%-388K
74.16%-1.64M
31.46%5.42M
-85.41%2.29M
-79.39%2.03M
44.38%2.49M
-Change in other current assets
---50K
---2.94M
-102.06%-48K
29,950.00%601K
-32,550.00%-649K
--0
--0
340.99%2.33M
100.19%2K
-98.08%2K
-Change in other current liabilities
104.44%6K
---21K
-163.58%-96K
-94.48%8K
3,000.00%31K
-550.00%-135K
--0
110.67%151K
110.25%145K
--1K
Cash from discontinued investing activities
Operating cash flow
51.55%-4M
9.54%-7.08M
32.07%-33.16M
39.94%-7.17M
3.10%-9.9M
50.38%-8.26M
21.81%-7.83M
-142.73%-48.81M
-147.12%-11.93M
-35.19%-10.22M
Investing cash flow
Cash flow from continuing investing activities
42.90%-24.84M
-7.04%-34.99M
5.87%-162.27M
-197.05%-45.02M
-182.06%-41.05M
66.01%-43.5M
-122.76%-32.69M
-481.09%-172.39M
2.04%-15.16M
-138.37%-14.56M
Net PPE purchase and sale
42.90%-24.84M
-7.04%-34.99M
-98.29%-162.27M
-9.90%-45.02M
-166.65%-41.05M
-303.02%-43.5M
-122.76%-32.69M
-175.85%-81.83M
-164.78%-40.97M
-152.15%-15.4M
Net business purchase and sale
----
----
--0
--0
----
----
----
---90.55M
--0
--841K
Net other investing changes
----
----
----
----
----
----
----
----
----
--0
Cash from discontinued investing activities
Investing cash flow
42.90%-24.84M
-7.04%-34.99M
5.87%-162.27M
-197.05%-45.02M
-182.06%-41.05M
66.01%-43.5M
-122.76%-32.69M
-481.09%-172.39M
2.04%-15.16M
-138.37%-14.56M
Financing cash flow
Cash flow from continuing financing activities
-64.25%30.28M
73.16%39.9M
29.18%187.38M
80.95%50.75M
286.47%28.87M
-22.66%84.72M
23.05M
-3.81%145.05M
-73.69%28.05M
40.57%7.47M
Net issuance payments of debt
-39.37%30.28M
73.16%39.9M
22.43%152.61M
857.85%50.75M
286.47%28.87M
-55.36%49.95M
--23.05M
195.80%124.65M
--5.3M
18.70%7.47M
Net common stock issuance
----
----
-100.01%-3K
--0
--0
----
----
-83.06%23.3M
--23.3M
--0
Net other financing activities
----
----
1,301.17%34.77M
--0
--0
----
----
-87.38%-2.9M
84.75%-553K
--0
Cash from discontinued financing activities
Financing cash flow
-64.25%30.28M
73.16%39.9M
29.18%187.38M
80.95%50.75M
286.47%28.87M
-22.66%84.72M
--23.05M
-3.81%145.05M
-73.69%28.05M
40.57%7.47M
Net cash flow
Beginning cash position
97.25%14.73M
-32.25%16.9M
-75.33%24.94M
-23.53%18.34M
-2.08%40.43M
-90.22%7.47M
-75.33%24.94M
224,515.56%101.08M
62.12%23.98M
78.39%41.29M
Current changes in cash
-95.62%1.44M
87.61%-2.16M
89.44%-8.04M
-250.78%-1.44M
-27.64%-22.09M
193.89%32.96M
29.23%-17.47M
-175.36%-76.14M
-98.89%957K
-107.20%-17.31M
End cash Position
-59.99%16.17M
97.25%14.73M
-32.25%16.9M
-32.25%16.9M
-23.53%18.34M
-2.08%40.43M
-90.22%7.47M
-75.33%24.94M
-75.33%24.94M
62.12%23.98M
Free cash flow
44.28%-28.84M
-3.83%-42.07M
-49.59%-195.42M
1.34%-52.19M
-98.93%-50.96M
-88.65%-51.76M
-64.11%-40.52M
-162.47%-130.64M
-160.58%-52.9M
-87.44%-25.62M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
--
--
--
--
--
--
(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 51.55%-4M9.54%-7.08M32.07%-33.16M39.94%-7.17M3.10%-9.9M50.38%-8.26M21.81%-7.83M-142.73%-48.81M-147.12%-11.93M-35.19%-10.22M
Net income from continuing operations -136.67%-25.27M-2.22%-24.05M-11.65%-124.02M-147.08%-65.55M10.50%-24.26M66.28%-10.68M8.71%-23.53M-98.01%-111.07M6.15%-26.53M-150.18%-27.1M
Operating gains losses ---1.06M--4.18M-517.01%-13.77M-42.05%1.77M-1,839.29%-543K--------248.05%3.3M224.92%3.05M-500.00%-28K
Depreciation and amortization 17.28%3.89M-6.65%3.23M25.94%13.13M-17.93%2.95M17.13%3.41M-1.92%3.32M539.19%3.46M1,424.42%10.43M1,132.19%3.6M1,947.18%2.91M
Other non cash items 22.43%14.13M1,072.07%12.08M880.83%31.57M10,898.95%10.45M769.00%8.55M523.89%11.54M255.52%1.03M-53.84%3.22M-48.65%95K-70.84%984K
Change In working capital 225.09%2.7M-134.87%-1.82M-6.12%5.11M26.57%2.44M-118.20%-394K9.18%-2.16M40.23%5.21M-42.70%5.44M-78.71%1.93M1,013.50%2.17M
-Change in receivables 588.46%889K-469.74%-281K39.04%-392K28.35%-412K425.00%126K-41.09%-182K105.41%76K-433.16%-643K-306.83%-575K142.11%24K
-Change in inventory 27.21%-503K-242.61%-973K-670.45%-678K773.33%606K49.84%-309K-172.05%-691K16.72%-284K86.50%-88K68.09%-90K-217.53%-616K
-Change in prepaid assets -98.98%5K4,425.00%181K-44.45%776K-222.33%-515K203.44%795K-45.33%492K102.15%4K141.28%1.4M-75.61%421K114.43%262K
-Change in payables and accrued expense 243.29%2.35M-59.13%2.21M141.74%5.54M6.31%2.16M-115.57%-388K74.16%-1.64M31.46%5.42M-85.41%2.29M-79.39%2.03M44.38%2.49M
-Change in other current assets ---50K---2.94M-102.06%-48K29,950.00%601K-32,550.00%-649K--0--0340.99%2.33M100.19%2K-98.08%2K
-Change in other current liabilities 104.44%6K---21K-163.58%-96K-94.48%8K3,000.00%31K-550.00%-135K--0110.67%151K110.25%145K--1K
Cash from discontinued investing activities
Operating cash flow 51.55%-4M9.54%-7.08M32.07%-33.16M39.94%-7.17M3.10%-9.9M50.38%-8.26M21.81%-7.83M-142.73%-48.81M-147.12%-11.93M-35.19%-10.22M
Investing cash flow
Cash flow from continuing investing activities 42.90%-24.84M-7.04%-34.99M5.87%-162.27M-197.05%-45.02M-182.06%-41.05M66.01%-43.5M-122.76%-32.69M-481.09%-172.39M2.04%-15.16M-138.37%-14.56M
Net PPE purchase and sale 42.90%-24.84M-7.04%-34.99M-98.29%-162.27M-9.90%-45.02M-166.65%-41.05M-303.02%-43.5M-122.76%-32.69M-175.85%-81.83M-164.78%-40.97M-152.15%-15.4M
Net business purchase and sale ----------0--0---------------90.55M--0--841K
Net other investing changes --------------------------------------0
Cash from discontinued investing activities
Investing cash flow 42.90%-24.84M-7.04%-34.99M5.87%-162.27M-197.05%-45.02M-182.06%-41.05M66.01%-43.5M-122.76%-32.69M-481.09%-172.39M2.04%-15.16M-138.37%-14.56M
Financing cash flow
Cash flow from continuing financing activities -64.25%30.28M73.16%39.9M29.18%187.38M80.95%50.75M286.47%28.87M-22.66%84.72M23.05M-3.81%145.05M-73.69%28.05M40.57%7.47M
Net issuance payments of debt -39.37%30.28M73.16%39.9M22.43%152.61M857.85%50.75M286.47%28.87M-55.36%49.95M--23.05M195.80%124.65M--5.3M18.70%7.47M
Net common stock issuance ---------100.01%-3K--0--0---------83.06%23.3M--23.3M--0
Net other financing activities --------1,301.17%34.77M--0--0---------87.38%-2.9M84.75%-553K--0
Cash from discontinued financing activities
Financing cash flow -64.25%30.28M73.16%39.9M29.18%187.38M80.95%50.75M286.47%28.87M-22.66%84.72M--23.05M-3.81%145.05M-73.69%28.05M40.57%7.47M
Net cash flow
Beginning cash position 97.25%14.73M-32.25%16.9M-75.33%24.94M-23.53%18.34M-2.08%40.43M-90.22%7.47M-75.33%24.94M224,515.56%101.08M62.12%23.98M78.39%41.29M
Current changes in cash -95.62%1.44M87.61%-2.16M89.44%-8.04M-250.78%-1.44M-27.64%-22.09M193.89%32.96M29.23%-17.47M-175.36%-76.14M-98.89%957K-107.20%-17.31M
End cash Position -59.99%16.17M97.25%14.73M-32.25%16.9M-32.25%16.9M-23.53%18.34M-2.08%40.43M-90.22%7.47M-75.33%24.94M-75.33%24.94M62.12%23.98M
Free cash flow 44.28%-28.84M-3.83%-42.07M-49.59%-195.42M1.34%-52.19M-98.93%-50.96M-88.65%-51.76M-64.11%-40.52M-162.47%-130.64M-160.58%-52.9M-87.44%-25.62M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

Analysis

Analyst Rating

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Price Target

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