US Stock MarketDetailed Quotes

NAT Nordic American Tankers

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  • 2.680
  • -0.200-6.94%
Close Nov 29 13:00 ET
  • 2.680
  • 0.0000.00%
Post 16:55 ET
559.57MMarket Cap9.24P/E (TTM)

Nordic American Tankers 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
477.79%139.45M
154.28%24.13M
Net income from continuing operations
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----
553.67%98.71M
----
----
----
----
108.81%15.1M
----
----
Operating gains losses
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----
----
----
----
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---6.01M
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----
Depreciation and amortization
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1.94%51.4M
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----
----
----
-26.23%50.42M
----
----
Other non cash items
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----
-80.54%-8.2M
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----
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----
-18.68%-4.54M
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----
Change In working capital
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85.25%-4.67M
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----
----
----
-1,966.14%-31.63M
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----
-Change in receivables
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47.63%-5.81M
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----
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-266.94%-11.1M
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----
-Change in inventory
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-26.22%-5.75M
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----
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-211.13%-4.56M
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----
-Change in prepaid assets
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194.95%2.56M
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----
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----
-1,041.96%-2.69M
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----
-Change in payables and accrued expense
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-3,785.65%-8.48M
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----
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----
-98.04%230K
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----
-Change in other current assets
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----
194.89%12.82M
----
----
----
----
-131.16%-13.51M
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----
Cash from discontinued investing activities
Operating cash flow
-31.78%32.76M
-26.44%37.59M
477.79%139.45M
-67.02%13.37M
1,201.47%26.95M
1,000.60%48.02M
692.19%51.1M
154.28%24.13M
689.02%40.54M
85.30%-2.45M
Investing cash flow
Cash flow from continuing investing activities
-1,343.85%-1.88M
14.29%-186K
-413.63%-73.67M
-565.09%-73.19M
-100.89%-137K
99.77%-130K
-101.81%-217K
-313.94%-14.34M
31.75%15.74M
216.91%15.41M
Net PPE purchase and sale
-1,343.85%-1.88M
14.29%-186K
-413.63%-73.67M
-565.09%-73.19M
-100.89%-137K
99.77%-130K
-101.81%-217K
-313.94%-14.34M
31.75%15.74M
216.91%15.41M
Cash from discontinued investing activities
Investing cash flow
-1,343.85%-1.88M
14.29%-186K
-413.63%-73.67M
-565.09%-73.19M
-100.89%-137K
99.77%-130K
-101.81%-217K
-313.94%-14.34M
31.75%15.74M
216.91%15.41M
Financing cash flow
Cash flow from continuing financing activities
-406.96%-33.2M
61.05%-20.65M
-1,162.43%-95.67M
143.33%19.09M
-345.36%-55.2M
-110.26%-6.55M
-3,310.96%-53.01M
-70.49%9.01M
-2,617.31%-44.05M
-149.33%-12.39M
Net issuance payments of debt
-24.39%-8.15M
62.57%-8.12M
70.02%-5.22M
271.49%46.9M
-5.58%-23.88M
-112.75%-6.55M
-15.31%-21.69M
55.06%-17.41M
-35.29%-27.35M
-263.48%-22.62M
Net common stock issuance
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--0
--0
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----
--0
-38.67%49.1M
--0
-54.53%14.26M
Cash dividends paid
---25.06M
60.00%-12.53M
-295.83%-89.78M
-62.50%-27.14M
-676.59%-31.32M
--0
-1,510.23%-31.32M
-133.84%-22.68M
-374.55%-16.7M
---4.03M
Net other financing activities
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---669K
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Cash from discontinued financing activities
Financing cash flow
-406.96%-33.2M
61.05%-20.65M
-1,162.43%-95.67M
143.33%19.09M
-345.36%-55.2M
-110.26%-6.55M
-3,310.96%-53.01M
-70.49%9.01M
-2,617.31%-44.05M
-149.33%-12.39M
Net cash flow
Beginning cash position
-18.15%50.03M
-47.30%33.36M
41.78%63.3M
45.03%74.04M
102.06%102.41M
23.05%61.13M
41.78%63.3M
-28.07%44.65M
34.86%51.06M
19.06%50.68M
Current changes in cash
-105.61%-2.32M
886.57%16.75M
-259.06%-29.9M
-433.16%-40.73M
-5,044.60%-28.38M
4,210.84%41.34M
-142.27%-2.13M
207.96%18.8M
79.47%12.22M
112.19%574K
Effect of exchange rate changes
-146.15%-128K
-74.47%-82K
69.01%-44K
95.45%43K
105.94%12K
-206.12%-52K
-327.27%-47K
-1,083.33%-142K
204.76%22K
-6,633.33%-202K
End cash Position
-53.54%47.59M
-18.15%50.03M
-47.30%33.36M
-47.30%33.36M
45.03%74.04M
102.06%102.41M
23.05%61.13M
41.78%63.3M
41.78%63.3M
34.86%51.06M
Free cash flow
-35.51%30.88M
-26.49%37.4M
192.27%65.78M
-269.18%-59.81M
1,040.91%26.82M
161.70%47.89M
294.40%50.88M
-14.63%-71.28M
484.26%35.36M
90.45%-2.85M
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
--
--
--
--
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 477.79%139.45M154.28%24.13M
Net income from continuing operations --------553.67%98.71M----------------108.81%15.1M--------
Operating gains losses -------------------------------6.01M--------
Depreciation and amortization --------1.94%51.4M-----------------26.23%50.42M--------
Other non cash items ---------80.54%-8.2M-----------------18.68%-4.54M--------
Change In working capital --------85.25%-4.67M-----------------1,966.14%-31.63M--------
-Change in receivables --------47.63%-5.81M-----------------266.94%-11.1M--------
-Change in inventory ---------26.22%-5.75M-----------------211.13%-4.56M--------
-Change in prepaid assets --------194.95%2.56M-----------------1,041.96%-2.69M--------
-Change in payables and accrued expense ---------3,785.65%-8.48M-----------------98.04%230K--------
-Change in other current assets --------194.89%12.82M-----------------131.16%-13.51M--------
Cash from discontinued investing activities
Operating cash flow -31.78%32.76M-26.44%37.59M477.79%139.45M-67.02%13.37M1,201.47%26.95M1,000.60%48.02M692.19%51.1M154.28%24.13M689.02%40.54M85.30%-2.45M
Investing cash flow
Cash flow from continuing investing activities -1,343.85%-1.88M14.29%-186K-413.63%-73.67M-565.09%-73.19M-100.89%-137K99.77%-130K-101.81%-217K-313.94%-14.34M31.75%15.74M216.91%15.41M
Net PPE purchase and sale -1,343.85%-1.88M14.29%-186K-413.63%-73.67M-565.09%-73.19M-100.89%-137K99.77%-130K-101.81%-217K-313.94%-14.34M31.75%15.74M216.91%15.41M
Cash from discontinued investing activities
Investing cash flow -1,343.85%-1.88M14.29%-186K-413.63%-73.67M-565.09%-73.19M-100.89%-137K99.77%-130K-101.81%-217K-313.94%-14.34M31.75%15.74M216.91%15.41M
Financing cash flow
Cash flow from continuing financing activities -406.96%-33.2M61.05%-20.65M-1,162.43%-95.67M143.33%19.09M-345.36%-55.2M-110.26%-6.55M-3,310.96%-53.01M-70.49%9.01M-2,617.31%-44.05M-149.33%-12.39M
Net issuance payments of debt -24.39%-8.15M62.57%-8.12M70.02%-5.22M271.49%46.9M-5.58%-23.88M-112.75%-6.55M-15.31%-21.69M55.06%-17.41M-35.29%-27.35M-263.48%-22.62M
Net common stock issuance ----------0--0----------0-38.67%49.1M--0-54.53%14.26M
Cash dividends paid ---25.06M60.00%-12.53M-295.83%-89.78M-62.50%-27.14M-676.59%-31.32M--0-1,510.23%-31.32M-133.84%-22.68M-374.55%-16.7M---4.03M
Net other financing activities -----------669K----------------------------
Cash from discontinued financing activities
Financing cash flow -406.96%-33.2M61.05%-20.65M-1,162.43%-95.67M143.33%19.09M-345.36%-55.2M-110.26%-6.55M-3,310.96%-53.01M-70.49%9.01M-2,617.31%-44.05M-149.33%-12.39M
Net cash flow
Beginning cash position -18.15%50.03M-47.30%33.36M41.78%63.3M45.03%74.04M102.06%102.41M23.05%61.13M41.78%63.3M-28.07%44.65M34.86%51.06M19.06%50.68M
Current changes in cash -105.61%-2.32M886.57%16.75M-259.06%-29.9M-433.16%-40.73M-5,044.60%-28.38M4,210.84%41.34M-142.27%-2.13M207.96%18.8M79.47%12.22M112.19%574K
Effect of exchange rate changes -146.15%-128K-74.47%-82K69.01%-44K95.45%43K105.94%12K-206.12%-52K-327.27%-47K-1,083.33%-142K204.76%22K-6,633.33%-202K
End cash Position -53.54%47.59M-18.15%50.03M-47.30%33.36M-47.30%33.36M45.03%74.04M102.06%102.41M23.05%61.13M41.78%63.3M41.78%63.3M34.86%51.06M
Free cash flow -35.51%30.88M-26.49%37.4M192.27%65.78M-269.18%-59.81M1,040.91%26.82M161.70%47.89M294.40%50.88M-14.63%-71.28M484.26%35.36M90.45%-2.85M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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