US Stock MarketDetailed Quotes

NVVE Nuvve

Watchlist
  • 0.4930
  • -0.0063-1.26%
Close Aug 21 16:00 ET
  • 0.5176
  • +0.0246+4.99%
Post 20:01 ET
3.22MMarket Cap-27P/E (TTM)

Nuvve 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
-24.73%-4.01M
18.98%-4.72M
37.64%-21.25M
-155.25%-15.05M
134.89%2.85M
72.20%-3.22M
30.98%-5.83M
-16.76%-34.08M
-3.25%-5.9M
18.90%-8.16M
Net income from continuing operations
50.54%-3.95M
12.16%-6.73M
-27.44%-31.3M
5.03%-7.32M
-25.10%-8.33M
-46.28%-7.98M
-61.90%-7.66M
67.09%-24.56M
17.64%-7.71M
1.27%-6.66M
Operating gains losses
-602.08%-1.59M
-1,089.52%-411.06K
95.14%-590.05K
95.17%-45.62K
84.38%-283.03K
95.02%-226.85K
99.28%-34.56K
-6,705.47%-12.14M
-199.25%-944.79K
51.21%-1.81M
Depreciation and amortization
15.98%92.51K
13.25%86.66K
36.84%396.21K
103.24%159.17K
9.92%80.75K
13.22%79.77K
13.70%76.52K
72.80%289.54K
73.24%78.32K
81.49%73.47K
Other non cash items
7.33%126.82K
9.17%126.18K
13.06%476.21K
43.66%121.08K
126.28%121.4K
13.17%118.15K
-35.38%115.58K
-99.11%421.18K
368.82%84.28K
-98.18%53.65K
Change In working capital
-78.41%797.35K
87.88%1.32M
269.70%5.65M
-581.77%-8.88M
1,172.07%10.13M
201.52%3.69M
219.31%705.04K
45.41%-3.33M
67.51%1.84M
75.89%-945.26K
-Change in receivables
46.00%764.83K
131.09%443.88K
-183.12%-634.43K
1,746.61%913.14K
-172.10%-643.92K
199.00%523.85K
-413.84%-1.43M
185.99%763.3K
92.96%-55.46K
2,179.49%893.04K
-Change in inventory
-96.48%38.5K
-112.71%-193.18K
1,355.73%5.45M
236.55%727.5K
316.61%2.11M
174.46%1.09M
-15.11%1.52M
95.69%-433.64K
104.38%216.17K
50.46%-971.97K
-Change in prepaid assets
-68.16%188.59K
313.99%732.93K
78.40%-447.6K
-2,284.93%-751.64K
109.39%54.3K
208.30%592.24K
62.58%-342.51K
-198.66%-2.07M
-100.94%-31.52K
68.79%-578.26K
-Change in payables and accrued expense
-111.83%-187.71K
-70.93%288.86K
174.56%1.5M
-697.42%-9.68M
1,713.06%8.6M
232.57%1.59M
152.38%993.53K
-140.78%-2.01M
-44.08%1.62M
-663.72%-533.16K
-Change in other working capital
93.32%-6.86K
236.94%52.12K
-149.50%-206.64K
-190.33%-83.84K
-92.66%17.99K
-199.68%-102.72K
-62.13%-38.06K
-33.34%417.48K
-83.42%92.82K
202.36%245.08K
Cash from discontinued investing activities
Operating cash flow
-24.73%-4.01M
18.98%-4.72M
37.64%-21.25M
-155.25%-15.05M
134.89%2.85M
72.20%-3.22M
30.98%-5.83M
-16.76%-34.08M
-3.25%-5.9M
18.90%-8.16M
Investing cash flow
Cash flow from continuing investing activities
86.55%-12.2K
-103.11%-40.91K
179.05%1.14M
112.88%11.44K
-206.98%-98.1K
91.50%-90.65K
623.81%1.31M
-441.69%-1.44M
67.48%-88.86K
-17,174.05%-31.96K
Net PPE purchase and sale
86.55%-12.2K
-267.70%-40.91K
56.98%-188.43K
112.88%11.44K
-206.98%-98.1K
-36.60%-90.65K
95.57%-11.13K
-65.00%-438.05K
67.48%-88.86K
-17,174.05%-31.96K
Net investment purchase and sale
--0
--0
232.52%1.33M
--0
--0
--0
--1.33M
---1M
--0
--0
Cash from discontinued investing activities
Investing cash flow
86.55%-12.2K
-103.11%-40.91K
179.05%1.14M
112.88%11.44K
-206.98%-98.1K
91.50%-90.65K
623.81%1.31M
-441.69%-1.44M
67.48%-88.86K
-17,174.05%-31.96K
Financing cash flow
Cash flow from continuing financing activities
-93.24%170.41K
1,307.66%8.51M
-69.25%5.86M
7,586.13%2.64M
-99.32%102.07K
-37.40%2.52M
29,276.12%604.82K
-68.08%19.06M
101.41%34.3K
458.85%15.01M
Net issuance payments of debt
-0.19%-2.59K
-52.32%-2.89K
16.00%-8.14K
-20.48%-2.77K
69.88%-895
-9.86%-2.58K
8.54%-1.9K
98.04%-9.69K
-87.19%-2.3K
-13.22%-2.97K
Net common stock issuance
--0
1,303.74%8.52M
-65.12%5.87M
--2.64M
-99.31%102.96K
35.62%2.52M
--606.72K
170.14%16.83M
--0
--14.97M
Proceeds from stock option exercised by employees
----
----
--0
--0
--0
----
----
288.53%2.24M
-93.44%36.6K
95.16%35.76K
Cash from discontinued financing activities
Financing cash flow
-93.24%170.41K
1,307.66%8.51M
-69.25%5.86M
7,586.13%2.64M
-99.32%102.07K
-37.40%2.52M
29,276.12%604.82K
-68.08%19.06M
101.41%34.3K
458.85%15.01M
Net cash flow
Beginning cash position
-53.25%5.76M
-87.59%2.01M
-50.42%16.23M
-35.14%14.34M
-24.93%11.54M
-49.03%12.33M
-50.42%16.23M
1,338.58%32.74M
-46.21%22.12M
-68.27%15.37M
Current changes in cash
-389.34%-3.85M
195.80%3.75M
13.38%-14.25M
-108.42%-12.41M
-58.13%2.85M
90.86%-787.54K
55.04%-3.91M
-154.37%-16.46M
29.34%-5.95M
192.30%6.81M
Effect of exchange rate changes
2,296.67%2.16K
-99.91%5
170.92%35.62K
7.51%76.32K
30.44%-46.2K
100.04%90
-96.32%5.41K
-125.17%-50.23K
44.74%70.99K
-226.87%-66.42K
End cash Position
-83.44%1.91M
-53.25%5.76M
-87.59%2.01M
-87.59%2.01M
-35.14%14.34M
-24.93%11.54M
-49.03%12.33M
-50.42%16.23M
-50.42%16.23M
-46.21%22.12M
Free cash flow
-21.68%-4.02M
18.44%-4.77M
37.88%-21.44M
-151.27%-15.04M
133.55%2.75M
71.58%-3.31M
32.85%-5.84M
-17.16%-34.52M
-0.02%-5.99M
18.58%-8.19M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(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 -24.73%-4.01M18.98%-4.72M37.64%-21.25M-155.25%-15.05M134.89%2.85M72.20%-3.22M30.98%-5.83M-16.76%-34.08M-3.25%-5.9M18.90%-8.16M
Net income from continuing operations 50.54%-3.95M12.16%-6.73M-27.44%-31.3M5.03%-7.32M-25.10%-8.33M-46.28%-7.98M-61.90%-7.66M67.09%-24.56M17.64%-7.71M1.27%-6.66M
Operating gains losses -602.08%-1.59M-1,089.52%-411.06K95.14%-590.05K95.17%-45.62K84.38%-283.03K95.02%-226.85K99.28%-34.56K-6,705.47%-12.14M-199.25%-944.79K51.21%-1.81M
Depreciation and amortization 15.98%92.51K13.25%86.66K36.84%396.21K103.24%159.17K9.92%80.75K13.22%79.77K13.70%76.52K72.80%289.54K73.24%78.32K81.49%73.47K
Other non cash items 7.33%126.82K9.17%126.18K13.06%476.21K43.66%121.08K126.28%121.4K13.17%118.15K-35.38%115.58K-99.11%421.18K368.82%84.28K-98.18%53.65K
Change In working capital -78.41%797.35K87.88%1.32M269.70%5.65M-581.77%-8.88M1,172.07%10.13M201.52%3.69M219.31%705.04K45.41%-3.33M67.51%1.84M75.89%-945.26K
-Change in receivables 46.00%764.83K131.09%443.88K-183.12%-634.43K1,746.61%913.14K-172.10%-643.92K199.00%523.85K-413.84%-1.43M185.99%763.3K92.96%-55.46K2,179.49%893.04K
-Change in inventory -96.48%38.5K-112.71%-193.18K1,355.73%5.45M236.55%727.5K316.61%2.11M174.46%1.09M-15.11%1.52M95.69%-433.64K104.38%216.17K50.46%-971.97K
-Change in prepaid assets -68.16%188.59K313.99%732.93K78.40%-447.6K-2,284.93%-751.64K109.39%54.3K208.30%592.24K62.58%-342.51K-198.66%-2.07M-100.94%-31.52K68.79%-578.26K
-Change in payables and accrued expense -111.83%-187.71K-70.93%288.86K174.56%1.5M-697.42%-9.68M1,713.06%8.6M232.57%1.59M152.38%993.53K-140.78%-2.01M-44.08%1.62M-663.72%-533.16K
-Change in other working capital 93.32%-6.86K236.94%52.12K-149.50%-206.64K-190.33%-83.84K-92.66%17.99K-199.68%-102.72K-62.13%-38.06K-33.34%417.48K-83.42%92.82K202.36%245.08K
Cash from discontinued investing activities
Operating cash flow -24.73%-4.01M18.98%-4.72M37.64%-21.25M-155.25%-15.05M134.89%2.85M72.20%-3.22M30.98%-5.83M-16.76%-34.08M-3.25%-5.9M18.90%-8.16M
Investing cash flow
Cash flow from continuing investing activities 86.55%-12.2K-103.11%-40.91K179.05%1.14M112.88%11.44K-206.98%-98.1K91.50%-90.65K623.81%1.31M-441.69%-1.44M67.48%-88.86K-17,174.05%-31.96K
Net PPE purchase and sale 86.55%-12.2K-267.70%-40.91K56.98%-188.43K112.88%11.44K-206.98%-98.1K-36.60%-90.65K95.57%-11.13K-65.00%-438.05K67.48%-88.86K-17,174.05%-31.96K
Net investment purchase and sale --0--0232.52%1.33M--0--0--0--1.33M---1M--0--0
Cash from discontinued investing activities
Investing cash flow 86.55%-12.2K-103.11%-40.91K179.05%1.14M112.88%11.44K-206.98%-98.1K91.50%-90.65K623.81%1.31M-441.69%-1.44M67.48%-88.86K-17,174.05%-31.96K
Financing cash flow
Cash flow from continuing financing activities -93.24%170.41K1,307.66%8.51M-69.25%5.86M7,586.13%2.64M-99.32%102.07K-37.40%2.52M29,276.12%604.82K-68.08%19.06M101.41%34.3K458.85%15.01M
Net issuance payments of debt -0.19%-2.59K-52.32%-2.89K16.00%-8.14K-20.48%-2.77K69.88%-895-9.86%-2.58K8.54%-1.9K98.04%-9.69K-87.19%-2.3K-13.22%-2.97K
Net common stock issuance --01,303.74%8.52M-65.12%5.87M--2.64M-99.31%102.96K35.62%2.52M--606.72K170.14%16.83M--0--14.97M
Proceeds from stock option exercised by employees ----------0--0--0--------288.53%2.24M-93.44%36.6K95.16%35.76K
Cash from discontinued financing activities
Financing cash flow -93.24%170.41K1,307.66%8.51M-69.25%5.86M7,586.13%2.64M-99.32%102.07K-37.40%2.52M29,276.12%604.82K-68.08%19.06M101.41%34.3K458.85%15.01M
Net cash flow
Beginning cash position -53.25%5.76M-87.59%2.01M-50.42%16.23M-35.14%14.34M-24.93%11.54M-49.03%12.33M-50.42%16.23M1,338.58%32.74M-46.21%22.12M-68.27%15.37M
Current changes in cash -389.34%-3.85M195.80%3.75M13.38%-14.25M-108.42%-12.41M-58.13%2.85M90.86%-787.54K55.04%-3.91M-154.37%-16.46M29.34%-5.95M192.30%6.81M
Effect of exchange rate changes 2,296.67%2.16K-99.91%5170.92%35.62K7.51%76.32K30.44%-46.2K100.04%90-96.32%5.41K-125.17%-50.23K44.74%70.99K-226.87%-66.42K
End cash Position -83.44%1.91M-53.25%5.76M-87.59%2.01M-87.59%2.01M-35.14%14.34M-24.93%11.54M-49.03%12.33M-50.42%16.23M-50.42%16.23M-46.21%22.12M
Free cash flow -21.68%-4.02M18.44%-4.77M37.88%-21.44M-151.27%-15.04M133.55%2.75M71.58%-3.31M32.85%-5.84M-17.16%-34.52M-0.02%-5.99M18.58%-8.19M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

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