US Stock MarketDetailed Quotes

ORGS Orgenesis

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  • 1.120
  • -0.060-5.08%
15min DelayClose Nov 8 16:00 ET
5.34MMarket Cap-140P/E (TTM)

Orgenesis 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
0.12%-5.91M
38.66%-4.44M
40.47%-14.84M
95.34%-502K
76.18%-1.18M
7.80%-5.91M
-159.31%-7.24M
7.23%-24.92M
-336.73%-10.76M
40.67%-4.96M
Net income from continuing operations
69.97%-9.37M
57.20%-10.01M
-433.47%-64.92M
-420.68%-6.62M
-164.56%-3.73M
-467.97%-31.19M
-484.86%-23.38M
32.62%-12.17M
74.65%-1.27M
86.13%-1.41M
Operating gains losses
-97.17%152K
-98.49%7K
248.15%6.59M
-14.65%303K
-8.25%445K
968.59%5.38M
-15.48%464K
-23.65%1.89M
43.72%355K
-77.52%485K
Depreciation and amortization
18.26%706K
-34.08%381K
-21.13%1.56M
-62.33%194K
-60.86%191K
19.16%597K
21.94%578K
6.12%1.98M
7.29%515K
4.72%488K
Other non cash items
241.71%3.02M
13.14%2.68M
11.21%1.46M
9.09%660K
131.56%565K
-775.32%-2.13M
1,521.23%2.37M
160.64%1.31M
1,160.42%605K
-1.61%244K
Change In working capital
-116.64%-3.1M
-82.61%2.19M
283.32%36.63M
134.02%4.19M
125.54%1.27M
851.86%18.6M
5,517.67%12.57M
-29.76%-19.98M
-1,113.42%-12.31M
-262.57%-4.96M
-Change in receivables
-99.97%4K
-100.50%-74K
242.80%30.06M
99.84%-19K
98.73%-65K
949.70%15.35M
871.52%14.79M
-72.86%-21.05M
-1,688.17%-12.21M
-548.60%-5.11M
-Change in inventory
108.97%34K
--0
-5,457.14%-389K
--0
--0
---379K
-350.00%-10K
-112.73%-7K
-221.43%-17K
-82.35%6K
-Change in prepaid assets
-52.76%154K
165.87%1.44M
10.49%432K
2,345.78%2.03M
187.50%259K
243.16%326K
-528.88%-2.18M
50.38%391K
-85.71%83K
-6.47%-296K
-Change in payables and accrued expense
-199.85%-3.29M
2,600.00%825K
565.55%6.53M
1,429.86%2.2M
81.15%1.07M
525.32%3.29M
-103.23%-33K
124.51%981K
212.50%144K
126.52%589K
-Change in other current assets
--0
-150.00%-1K
-50.00%13K
-66.67%3K
--6K
-86.67%2K
0.00%2K
244.44%26K
325.00%9K
--0
-Change in other working capital
-116.67%-1K
-166.67%-2K
94.04%-19K
---28K
--0
300.00%6K
-97.97%3K
-165.50%-319K
----
----
Cash from discontinued investing activities
Operating cash flow
0.12%-5.91M
38.66%-4.44M
40.47%-14.84M
95.34%-502K
76.18%-1.18M
7.80%-5.91M
-159.31%-7.24M
7.23%-24.92M
-336.73%-10.76M
40.67%-4.96M
Investing cash flow
Cash flow from continuing investing activities
99.93%-1K
94.80%-68K
73.77%-3.71M
99.07%-62K
67.51%-843K
54.00%-1.5M
18.97%-1.31M
-14.12%-14.13M
-16.29%-6.68M
48.94%-2.6M
Net PPE purchase and sale
99.80%-1K
84.12%-204K
82.78%-2.1M
--0
88.53%-300K
84.89%-511K
-42.46%-1.29M
-54.72%-12.17M
-16.96%-5.27M
-43.89%-2.62M
Net business purchase and sale
--0
--134K
-289.44%-1.63M
-173.13%-117K
---543K
---973K
--0
456.20%862K
661.90%160K
--0
Net investment purchase and sale
--0
109.09%2K
-135.71%-33K
--0
--0
-450.00%-11K
-1,000.00%-22K
50.00%-14K
-71.43%-12K
300.00%2K
Net other investing changes
----
----
101.96%55K
----
----
----
----
33.83%-2.81M
-24.44%-1.55M
--19K
Cash from discontinued investing activities
Investing cash flow
99.93%-1K
94.80%-68K
73.77%-3.71M
99.07%-62K
67.51%-843K
54.00%-1.5M
18.97%-1.31M
-14.12%-14.13M
-16.29%-6.68M
48.94%-2.6M
Financing cash flow
Cash flow from continuing financing activities
33.26%6.51M
-38.85%3.61M
-65.59%13.62M
-93.71%1.23M
-82.62%1.6M
-55.19%4.89M
590,900.00%5.91M
37,437.74%39.58M
1,879.27%19.48M
229,825.00%9.19M
Net issuance payments of debt
3,871.43%528K
-85.86%349K
-80.15%3.34M
1,188.46%283K
-92.63%597K
-100.16%-14K
49,480.00%2.47M
1,753.94%16.8M
97.41%-26K
202,725.00%8.11M
Net common stock issuance
268.00%168K
-31.42%2.36M
142.23%5.28M
--942K
--1M
---100K
57,250.00%3.44M
139.67%2.18M
--0
----
Net other financing activities
--5.82M
--905K
-75.72%5M
--0
--0
----
----
--20.59M
--19.51M
---1.09M
Cash from discontinued financing activities
Financing cash flow
33.26%6.51M
-38.85%3.61M
-65.59%13.62M
-93.71%1.23M
-82.62%1.6M
-55.19%4.89M
590,900.00%5.91M
37,437.74%39.58M
1,879.27%19.48M
229,825.00%9.19M
Net cash flow
Beginning cash position
-84.86%565K
-76.78%1.48M
6.61%6.37M
-82.34%789K
-55.54%1.23M
131.31%3.73M
6.61%6.37M
-86.89%5.97M
-71.00%4.47M
-90.45%2.76M
Current changes in cash
123.90%603K
66.06%-895K
-1,045.49%-4.93M
-67.71%661K
-126.08%-427K
-303.30%-2.52M
40.12%-2.64M
101.32%521K
122.01%2.05M
112.18%1.64M
Effect of exchange rate changes
-163.16%-12K
-1,800.00%-19K
128.57%36K
120.00%29K
-115.71%-11K
120.21%19K
-102.33%-1K
47.06%-126K
-10.69%-145K
204.48%70K
End cash Position
-5.79%1.16M
-84.86%565K
-76.78%1.48M
-76.78%1.48M
-82.34%789K
-55.54%1.23M
131.31%3.73M
6.61%6.37M
6.61%6.37M
-71.00%4.47M
Free cash flow
8.05%-5.91M
45.51%-4.65M
54.65%-16.93M
96.90%-502K
80.45%-1.48M
34.86%-6.43M
-130.78%-8.53M
-7.51%-37.34M
-132.51%-16.21M
25.53%-7.58M
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 0.12%-5.91M38.66%-4.44M40.47%-14.84M95.34%-502K76.18%-1.18M7.80%-5.91M-159.31%-7.24M7.23%-24.92M-336.73%-10.76M40.67%-4.96M
Net income from continuing operations 69.97%-9.37M57.20%-10.01M-433.47%-64.92M-420.68%-6.62M-164.56%-3.73M-467.97%-31.19M-484.86%-23.38M32.62%-12.17M74.65%-1.27M86.13%-1.41M
Operating gains losses -97.17%152K-98.49%7K248.15%6.59M-14.65%303K-8.25%445K968.59%5.38M-15.48%464K-23.65%1.89M43.72%355K-77.52%485K
Depreciation and amortization 18.26%706K-34.08%381K-21.13%1.56M-62.33%194K-60.86%191K19.16%597K21.94%578K6.12%1.98M7.29%515K4.72%488K
Other non cash items 241.71%3.02M13.14%2.68M11.21%1.46M9.09%660K131.56%565K-775.32%-2.13M1,521.23%2.37M160.64%1.31M1,160.42%605K-1.61%244K
Change In working capital -116.64%-3.1M-82.61%2.19M283.32%36.63M134.02%4.19M125.54%1.27M851.86%18.6M5,517.67%12.57M-29.76%-19.98M-1,113.42%-12.31M-262.57%-4.96M
-Change in receivables -99.97%4K-100.50%-74K242.80%30.06M99.84%-19K98.73%-65K949.70%15.35M871.52%14.79M-72.86%-21.05M-1,688.17%-12.21M-548.60%-5.11M
-Change in inventory 108.97%34K--0-5,457.14%-389K--0--0---379K-350.00%-10K-112.73%-7K-221.43%-17K-82.35%6K
-Change in prepaid assets -52.76%154K165.87%1.44M10.49%432K2,345.78%2.03M187.50%259K243.16%326K-528.88%-2.18M50.38%391K-85.71%83K-6.47%-296K
-Change in payables and accrued expense -199.85%-3.29M2,600.00%825K565.55%6.53M1,429.86%2.2M81.15%1.07M525.32%3.29M-103.23%-33K124.51%981K212.50%144K126.52%589K
-Change in other current assets --0-150.00%-1K-50.00%13K-66.67%3K--6K-86.67%2K0.00%2K244.44%26K325.00%9K--0
-Change in other working capital -116.67%-1K-166.67%-2K94.04%-19K---28K--0300.00%6K-97.97%3K-165.50%-319K--------
Cash from discontinued investing activities
Operating cash flow 0.12%-5.91M38.66%-4.44M40.47%-14.84M95.34%-502K76.18%-1.18M7.80%-5.91M-159.31%-7.24M7.23%-24.92M-336.73%-10.76M40.67%-4.96M
Investing cash flow
Cash flow from continuing investing activities 99.93%-1K94.80%-68K73.77%-3.71M99.07%-62K67.51%-843K54.00%-1.5M18.97%-1.31M-14.12%-14.13M-16.29%-6.68M48.94%-2.6M
Net PPE purchase and sale 99.80%-1K84.12%-204K82.78%-2.1M--088.53%-300K84.89%-511K-42.46%-1.29M-54.72%-12.17M-16.96%-5.27M-43.89%-2.62M
Net business purchase and sale --0--134K-289.44%-1.63M-173.13%-117K---543K---973K--0456.20%862K661.90%160K--0
Net investment purchase and sale --0109.09%2K-135.71%-33K--0--0-450.00%-11K-1,000.00%-22K50.00%-14K-71.43%-12K300.00%2K
Net other investing changes --------101.96%55K----------------33.83%-2.81M-24.44%-1.55M--19K
Cash from discontinued investing activities
Investing cash flow 99.93%-1K94.80%-68K73.77%-3.71M99.07%-62K67.51%-843K54.00%-1.5M18.97%-1.31M-14.12%-14.13M-16.29%-6.68M48.94%-2.6M
Financing cash flow
Cash flow from continuing financing activities 33.26%6.51M-38.85%3.61M-65.59%13.62M-93.71%1.23M-82.62%1.6M-55.19%4.89M590,900.00%5.91M37,437.74%39.58M1,879.27%19.48M229,825.00%9.19M
Net issuance payments of debt 3,871.43%528K-85.86%349K-80.15%3.34M1,188.46%283K-92.63%597K-100.16%-14K49,480.00%2.47M1,753.94%16.8M97.41%-26K202,725.00%8.11M
Net common stock issuance 268.00%168K-31.42%2.36M142.23%5.28M--942K--1M---100K57,250.00%3.44M139.67%2.18M--0----
Net other financing activities --5.82M--905K-75.72%5M--0--0----------20.59M--19.51M---1.09M
Cash from discontinued financing activities
Financing cash flow 33.26%6.51M-38.85%3.61M-65.59%13.62M-93.71%1.23M-82.62%1.6M-55.19%4.89M590,900.00%5.91M37,437.74%39.58M1,879.27%19.48M229,825.00%9.19M
Net cash flow
Beginning cash position -84.86%565K-76.78%1.48M6.61%6.37M-82.34%789K-55.54%1.23M131.31%3.73M6.61%6.37M-86.89%5.97M-71.00%4.47M-90.45%2.76M
Current changes in cash 123.90%603K66.06%-895K-1,045.49%-4.93M-67.71%661K-126.08%-427K-303.30%-2.52M40.12%-2.64M101.32%521K122.01%2.05M112.18%1.64M
Effect of exchange rate changes -163.16%-12K-1,800.00%-19K128.57%36K120.00%29K-115.71%-11K120.21%19K-102.33%-1K47.06%-126K-10.69%-145K204.48%70K
End cash Position -5.79%1.16M-84.86%565K-76.78%1.48M-76.78%1.48M-82.34%789K-55.54%1.23M131.31%3.73M6.61%6.37M6.61%6.37M-71.00%4.47M
Free cash flow 8.05%-5.91M45.51%-4.65M54.65%-16.93M96.90%-502K80.45%-1.48M34.86%-6.43M-130.78%-8.53M-7.51%-37.34M-132.51%-16.21M25.53%-7.58M
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

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Price Target

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