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NGS Natural Gas Services

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  • 19.945
  • -0.305-1.51%
Trading Oct 18 11:31 ET
248.65MMarket Cap18.82P/E (TTM)

Natural Gas Services 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
477.02%25.51M
-69.22%5.61M
-35.05%18.03M
-201.00%-7.67M
-55.90%3.06M
-46.43%4.42M
264.80%18.22M
-2.67%27.76M
-11.44%7.59M
-3.87%6.93M
Net income from continuing operations
743.25%4.25M
1,277.84%5.1M
934.27%4.75M
325.13%1.7M
2,813.75%2.17M
820.00%504K
9.79%370K
93.80%-569K
86.53%-756K
93.63%-80K
Operating gains losses
----
----
-92.40%-481K
-38.89%-200K
-266.67%-75K
-57.39%-181K
30.56%-25K
-37.36%-250K
-161.82%-144K
--45K
Depreciation and amortization
20.05%7.71M
14.96%7.09M
10.09%26.55M
19.37%7.16M
13.17%6.81M
6.22%6.42M
1.72%6.17M
-5.04%24.12M
-6.09%6M
-5.82%6.02M
Deferred tax
383.06%1.2M
883.78%1.46M
259.69%1.84M
90.27%430K
1,525.35%1.01M
-32.43%248K
1,445.45%148K
119.64%511K
110.46%226K
67.43%-71K
Other non cash items
151.43%176K
-185.29%-29K
84.04%1.17M
1,663.83%829K
4,540.00%232K
-84.05%70K
-76.06%34K
-77.62%633K
-98.42%47K
-86.49%5K
Change In working capital
359.15%11.99M
-176.28%-8.39M
-1,835.04%-23.08M
-1,513.06%-22.07M
-1,814.42%-7.37M
-467.51%-4.63M
672.36%11M
-87.03%1.33M
-75.62%1.56M
-78.08%430K
-Change in receivables
253.20%9.16M
-830.20%-3.27M
-484.48%-25.01M
-452.83%-11.44M
-881.03%-7.24M
-685.23%-5.98M
85.93%-351K
-399.23%-4.28M
-271.70%-2.07M
-216.22%-738K
-Change in inventory
56.52%-1.5M
368.76%2.65M
83.85%-669K
223.74%1.94M
154.16%1.83M
-169.27%-3.45M
-147.29%-986K
-224.43%-4.14M
-486.91%-1.57M
-2,330.94%-3.38M
-Change in prepaid assets
-34.71%-1.08M
-49.70%250K
97.20%-7K
64.07%274K
-93.96%20K
19.07%-798K
108.82%497K
45.65%-250K
181.86%167K
192.92%331K
-Change in payables and accrued expense
1.37%5.39M
-168.79%-7.96M
-75.72%2.44M
-463.70%-12.52M
-145.11%-1.94M
100.76%5.31M
3,416.33%11.57M
2.84%10.03M
-17.22%3.44M
225.80%4.29M
-Change in other working capital
-94.14%17K
-122.99%-60K
661.29%174K
-120.88%-332K
42.31%-45K
304.23%290K
118.63%261K
-103.84%-31K
88.17%1.59M
-322.86%-78K
Cash from discontinued investing activities
Operating cash flow
477.02%25.51M
-69.22%5.61M
-35.05%18.03M
-201.00%-7.67M
-55.90%3.06M
-46.43%4.42M
264.80%18.22M
-2.67%27.76M
-11.44%7.59M
-3.87%6.93M
Investing cash flow
Cash flow from continuing investing activities
62.96%-16.94M
77.13%-10.94M
-136.46%-153.89M
15.29%-25.18M
-117.27%-35.13M
-317.18%-45.74M
-481.88%-47.84M
-153.57%-65.08M
-348.46%-29.72M
-152.07%-16.17M
Net PPE purchase and sale
62.66%-16.98M
77.13%-10.93M
-137.01%-153.47M
15.28%-25.13M
-117.45%-35.08M
-321.90%-45.46M
-484.61%-47.79M
-153.77%-64.75M
-351.14%-29.67M
-153.20%-16.13M
Net other investing changes
112.54%35K
82.00%-9K
-28.27%-422K
22.81%-44K
-36.11%-49K
-47.62%-279K
-6.38%-50K
-119.33%-329K
-9.62%-57K
16.28%-36K
Cash from discontinued investing activities
Investing cash flow
62.96%-16.94M
77.13%-10.94M
-136.46%-153.89M
15.29%-25.18M
-117.27%-35.13M
-317.18%-45.74M
-481.88%-47.84M
-153.57%-65.08M
-348.46%-29.72M
-152.07%-16.17M
Financing cash flow
Cash flow from continuing financing activities
-126.69%-10.19M
-76.75%7.83M
662.07%135.23M
54.40%35.39M
1,299.45%27.99M
1,082.20%38.19M
1,123.41%33.66M
300.62%17.75M
769.65%22.92M
178.74%2M
Net issuance payments of debt
-123.08%-9M
-77.78%8M
455.69%138.91M
56.13%35.91M
1,299.45%27.99M
--39M
--36.01M
6,080.14%25M
2,299,800.00%23M
--2M
Net common stock issuance
----
----
--0
--0
----
----
----
15.20%-6.66M
--0
--0
Net other financing activities
-46.92%-1.19M
92.56%-175K
-520.95%-3.68M
-584.00%-513K
--0
-420.51%-812K
-551.25%-2.35M
-3.32%-592K
---75K
--0
Cash from discontinued financing activities
Financing cash flow
-126.69%-10.19M
-76.75%7.83M
662.07%135.23M
54.40%35.39M
1,299.45%27.99M
1,082.20%38.19M
1,123.41%33.66M
300.62%17.75M
769.65%22.92M
178.74%2M
Net cash flow
Beginning cash position
-29.32%5.24M
-18.56%2.75M
-85.30%3.37M
-92.38%197K
-56.39%4.29M
-54.88%7.41M
-85.30%3.37M
-20.68%22.94M
-89.42%2.59M
-62.45%9.83M
Current changes in cash
48.08%-1.62M
-38.29%2.49M
96.80%-626K
223.89%2.55M
43.55%-4.09M
52.62%-3.13M
162.00%4.04M
-227.09%-19.57M
153.10%787K
-314.12%-7.24M
End cash Position
-15.63%3.62M
-29.32%5.24M
-18.56%2.75M
-18.56%2.75M
-92.38%197K
-56.39%4.29M
-54.88%7.41M
-85.30%3.37M
-85.30%3.37M
-89.42%2.59M
Free cash flow
119.82%8.18M
82.00%-5.32M
-263.80%-135.91M
-48.30%-33.05M
-250.04%-32.03M
-1,423.86%-41.27M
-819.18%-29.57M
-1,426.16%-37.36M
-1,249.20%-22.28M
-1,420.35%-9.15M
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 477.02%25.51M-69.22%5.61M-35.05%18.03M-201.00%-7.67M-55.90%3.06M-46.43%4.42M264.80%18.22M-2.67%27.76M-11.44%7.59M-3.87%6.93M
Net income from continuing operations 743.25%4.25M1,277.84%5.1M934.27%4.75M325.13%1.7M2,813.75%2.17M820.00%504K9.79%370K93.80%-569K86.53%-756K93.63%-80K
Operating gains losses ---------92.40%-481K-38.89%-200K-266.67%-75K-57.39%-181K30.56%-25K-37.36%-250K-161.82%-144K--45K
Depreciation and amortization 20.05%7.71M14.96%7.09M10.09%26.55M19.37%7.16M13.17%6.81M6.22%6.42M1.72%6.17M-5.04%24.12M-6.09%6M-5.82%6.02M
Deferred tax 383.06%1.2M883.78%1.46M259.69%1.84M90.27%430K1,525.35%1.01M-32.43%248K1,445.45%148K119.64%511K110.46%226K67.43%-71K
Other non cash items 151.43%176K-185.29%-29K84.04%1.17M1,663.83%829K4,540.00%232K-84.05%70K-76.06%34K-77.62%633K-98.42%47K-86.49%5K
Change In working capital 359.15%11.99M-176.28%-8.39M-1,835.04%-23.08M-1,513.06%-22.07M-1,814.42%-7.37M-467.51%-4.63M672.36%11M-87.03%1.33M-75.62%1.56M-78.08%430K
-Change in receivables 253.20%9.16M-830.20%-3.27M-484.48%-25.01M-452.83%-11.44M-881.03%-7.24M-685.23%-5.98M85.93%-351K-399.23%-4.28M-271.70%-2.07M-216.22%-738K
-Change in inventory 56.52%-1.5M368.76%2.65M83.85%-669K223.74%1.94M154.16%1.83M-169.27%-3.45M-147.29%-986K-224.43%-4.14M-486.91%-1.57M-2,330.94%-3.38M
-Change in prepaid assets -34.71%-1.08M-49.70%250K97.20%-7K64.07%274K-93.96%20K19.07%-798K108.82%497K45.65%-250K181.86%167K192.92%331K
-Change in payables and accrued expense 1.37%5.39M-168.79%-7.96M-75.72%2.44M-463.70%-12.52M-145.11%-1.94M100.76%5.31M3,416.33%11.57M2.84%10.03M-17.22%3.44M225.80%4.29M
-Change in other working capital -94.14%17K-122.99%-60K661.29%174K-120.88%-332K42.31%-45K304.23%290K118.63%261K-103.84%-31K88.17%1.59M-322.86%-78K
Cash from discontinued investing activities
Operating cash flow 477.02%25.51M-69.22%5.61M-35.05%18.03M-201.00%-7.67M-55.90%3.06M-46.43%4.42M264.80%18.22M-2.67%27.76M-11.44%7.59M-3.87%6.93M
Investing cash flow
Cash flow from continuing investing activities 62.96%-16.94M77.13%-10.94M-136.46%-153.89M15.29%-25.18M-117.27%-35.13M-317.18%-45.74M-481.88%-47.84M-153.57%-65.08M-348.46%-29.72M-152.07%-16.17M
Net PPE purchase and sale 62.66%-16.98M77.13%-10.93M-137.01%-153.47M15.28%-25.13M-117.45%-35.08M-321.90%-45.46M-484.61%-47.79M-153.77%-64.75M-351.14%-29.67M-153.20%-16.13M
Net other investing changes 112.54%35K82.00%-9K-28.27%-422K22.81%-44K-36.11%-49K-47.62%-279K-6.38%-50K-119.33%-329K-9.62%-57K16.28%-36K
Cash from discontinued investing activities
Investing cash flow 62.96%-16.94M77.13%-10.94M-136.46%-153.89M15.29%-25.18M-117.27%-35.13M-317.18%-45.74M-481.88%-47.84M-153.57%-65.08M-348.46%-29.72M-152.07%-16.17M
Financing cash flow
Cash flow from continuing financing activities -126.69%-10.19M-76.75%7.83M662.07%135.23M54.40%35.39M1,299.45%27.99M1,082.20%38.19M1,123.41%33.66M300.62%17.75M769.65%22.92M178.74%2M
Net issuance payments of debt -123.08%-9M-77.78%8M455.69%138.91M56.13%35.91M1,299.45%27.99M--39M--36.01M6,080.14%25M2,299,800.00%23M--2M
Net common stock issuance ----------0--0------------15.20%-6.66M--0--0
Net other financing activities -46.92%-1.19M92.56%-175K-520.95%-3.68M-584.00%-513K--0-420.51%-812K-551.25%-2.35M-3.32%-592K---75K--0
Cash from discontinued financing activities
Financing cash flow -126.69%-10.19M-76.75%7.83M662.07%135.23M54.40%35.39M1,299.45%27.99M1,082.20%38.19M1,123.41%33.66M300.62%17.75M769.65%22.92M178.74%2M
Net cash flow
Beginning cash position -29.32%5.24M-18.56%2.75M-85.30%3.37M-92.38%197K-56.39%4.29M-54.88%7.41M-85.30%3.37M-20.68%22.94M-89.42%2.59M-62.45%9.83M
Current changes in cash 48.08%-1.62M-38.29%2.49M96.80%-626K223.89%2.55M43.55%-4.09M52.62%-3.13M162.00%4.04M-227.09%-19.57M153.10%787K-314.12%-7.24M
End cash Position -15.63%3.62M-29.32%5.24M-18.56%2.75M-18.56%2.75M-92.38%197K-56.39%4.29M-54.88%7.41M-85.30%3.37M-85.30%3.37M-89.42%2.59M
Free cash flow 119.82%8.18M82.00%-5.32M-263.80%-135.91M-48.30%-33.05M-250.04%-32.03M-1,423.86%-41.27M-819.18%-29.57M-1,426.16%-37.36M-1,249.20%-22.28M-1,420.35%-9.15M
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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