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PX P10 Inc

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  • 11.290
  • +0.040+0.36%
Close Oct 18 16:00 ET
  • 11.290
  • 0.0000.00%
Post 16:02 ET
1.26BMarket Cap564.50P/E (TTM)

P10 Inc 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
313.13%34.83M
-47.25%10.96M
-22.68%47.69M
-89.41%1.88M
-20.10%16.6M
-45.78%8.43M
172.59%20.78M
25.82%61.68M
113.22%17.73M
-10.06%20.78M
Net income from continuing operations
251.57%7.39M
581.79%5.24M
-126.44%-7.77M
-139.14%-1.89M
-255.78%-8.75M
-81.15%2.1M
-90.13%769K
173.05%29.4M
220.90%4.84M
37.74%5.62M
Operating gains losses
60.67%-164K
-138.60%-272K
89.49%-161K
-61.44%-381K
503.76%751K
46.81%-417K
65.03%-114K
-116.28%-1.53M
-102.32%-236K
26.77%-186K
Depreciation and amortization
-11.36%6.65M
-10.10%6.66M
9.53%29.96M
-11.70%7.53M
19.75%7.53M
19.75%7.5M
17.96%7.4M
-10.91%27.35M
5.96%8.53M
-16.79%6.28M
Deferred tax
84.01%2.83M
227.07%1.34M
1.73%3.76M
144.26%1.83M
-29.88%1.44M
-55.69%1.54M
-145.70%-1.05M
145.37%3.69M
59.71%-4.14M
6.98%2.06M
Other non cash items
2.90%852K
-27.51%788K
-0.09%3.52M
-47.36%789K
-49.12%813K
897.59%828K
219.71%1.09M
-57.18%3.52M
-72.35%1.5M
108.62%1.6M
Change In working capital
194.66%10.6M
-270.21%-9.51M
16.03%-16.27M
-18,470.83%-22.05M
712.37%11.38M
-52.18%-11.19M
154.34%5.59M
-182.12%-19.37M
101.38%120K
-125.89%-1.86M
-Change in receivables
-7.75%-6.09M
-42.33%-7.73M
0.08%-25.23M
-22.57%-5.75M
-53.09%-8.39M
35.84%-5.65M
13.24%-5.43M
-169.30%-25.25M
-19.11%-4.69M
-3,282.10%-5.48M
-Change in prepaid assets
2,458.19%8.35M
293.21%1.74M
-436.40%-9.66M
-660.63%-9.97M
226.47%222K
-190.54%-354K
-30.28%442K
306.55%2.87M
226.64%1.78M
109.14%68K
-Change in payables and accrued expense
30.90%10.05M
-154.63%-2.96M
2,143.17%29.01M
-160.80%-5.96M
519.77%21.88M
-41.25%7.68M
134.38%5.41M
-8,452.94%-1.42M
-986.05%-2.29M
914.66%3.53M
-Change in other current assets
-20.89%674K
99.09%1.31M
-7.28%2.7M
115.44%614K
6.86%576K
-42.90%852K
10.40%658K
76.38%2.91M
-34.03%285K
30.51%539K
-Change in other current liabilities
90.99%-882K
-305.97%-2.11M
-828.90%-13.22M
-125.87%-1.33M
-320.19%-3.12M
30.55%-9.79M
-91.12%1.02M
582.18%1.81M
199.44%5.13M
-112.95%-743K
-Change in other working capital
61.68%-1.51M
-93.17%238K
139.40%119K
461.86%351K
-5.78%212K
-761.62%-3.93M
440.43%3.49M
-111.59%-302K
-108.43%-97K
-85.84%225K
Cash from discontinued investing activities
Operating cash flow
313.13%34.83M
-47.25%10.96M
-22.68%47.69M
-89.41%1.88M
-20.10%16.6M
-45.78%8.43M
172.59%20.78M
25.82%61.68M
113.22%17.73M
-10.06%20.78M
Investing cash flow
Cash flow from continuing investing activities
-1,282.43%-875K
62.91%-260K
97.72%-2.25M
98.43%-1.52M
91.90%-100K
-28.85%74K
-65.33%-701K
-108.00%-98.59M
-17,902.97%-97.04M
97.33%-1.23M
Capital expenditure reported
---160K
--0
-96.38%-271K
-2,810.00%-271K
114.75%9K
--0
74.29%-9K
---138K
--10K
---61K
Net PPE purchase and sale
-153.93%-937K
46.69%-258K
8.49%-1.19M
57.45%-160K
39.65%-172K
0.54%-369K
-84.03%-484K
-903.88%-1.3M
-637.25%-376K
-630.77%-285K
Net intangibles purchase and sale
--0
--0
61.11%-14K
116.67%6K
--2K
---1K
---21K
-20.00%-36K
---36K
--0
Net business purchase and sale
-2.48%433K
195.45%65K
100.78%744K
100.24%228K
-83.44%50K
-21.00%444K
-77.55%22K
-113.57%-95.44M
-46,697.57%-96.4M
100.67%302K
Net other investing changes
---211K
67.94%-67K
9.29%-1.52M
-474.03%-1.33M
100.92%11K
--0
6.70%-209K
34.17%-1.68M
18.09%-231K
-58.46%-1.19M
Cash from discontinued investing activities
Investing cash flow
-1,282.43%-875K
62.91%-260K
97.72%-2.25M
98.43%-1.52M
91.90%-100K
-28.85%74K
-65.33%-701K
-108.00%-98.59M
-17,902.97%-97.04M
97.33%-1.23M
Financing cash flow
Cash flow from continuing financing activities
-62.98%-31.78M
7.19%-12.73M
-287.00%-42.87M
-89.23%9.48M
20.64%-19.14M
-22.02%-19.5M
45.17%-13.71M
-21.17%22.93M
1,053.98%88.04M
-175.32%-24.12M
Net issuance payments of debt
-9.56%-13.76M
521.50%23.84M
-101.06%-825K
-76.76%27.54M
36.53%-10.16M
---12.56M
77.37%-5.66M
192.74%77.5M
210.54%118.5M
-148.57%-16M
Net common stock issuance
-560.62%-12.94M
-729.13%-32.25M
16.60%-18.65M
34.26%-12.61M
94.16%-185K
---1.96M
---3.89M
-116.20%-22.36M
-113.90%-19.19M
---3.17M
Cash dividends paid
-7.59%-4.4M
-8.54%-3.77M
-46.42%-15.41M
-12.87%-3.93M
-11.00%-3.91M
-16.24%-4.09M
---3.48M
-354.91%-10.52M
-118.52%-3.48M
-352,500.00%-3.53M
Proceeds from stock option exercised by employees
----
----
--0
--0
----
----
----
-1,021.04%-12.47M
106.47%72K
---72K
Net other financing activities
22.89%-694K
20.06%-550K
13.41%-7.99M
80.70%-1.52M
-260.21%-4.89M
---900K
-8,500.00%-688K
57.90%-9.23M
61.56%-7.87M
-48.31%-1.36M
Cash from discontinued financing activities
Financing cash flow
-62.98%-31.78M
7.19%-12.73M
-287.00%-42.87M
-89.23%9.48M
20.64%-19.14M
-22.02%-19.5M
45.17%-13.71M
-21.17%22.93M
1,053.98%88.04M
-175.32%-24.12M
Net cash flow
Beginning cash position
-16.25%30.03M
8.70%32.06M
-32.17%29.49M
7.01%22.22M
-1.91%24.86M
39.67%35.86M
-32.17%29.49M
240.15%43.48M
-26.05%20.76M
32.23%25.34M
Current changes in cash
119.74%2.17M
-131.83%-2.03M
118.33%2.57M
12.70%9.84M
42.32%-2.64M
-3,252.44%-11M
135.74%6.37M
-145.57%-13.99M
-43.33%8.73M
-151.42%-4.58M
End cash Position
29.53%32.2M
-16.25%30.03M
8.70%32.06M
8.70%32.06M
7.01%22.22M
-1.91%24.86M
39.67%35.86M
-32.17%29.49M
-32.17%29.49M
-26.05%20.76M
Free cash flow
318.49%33.73M
-47.19%10.7M
-23.24%46.22M
-91.61%1.45M
-19.53%16.44M
-46.71%8.06M
176.67%20.26M
23.22%60.21M
109.67%17.33M
-11.30%20.43M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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Unqualified Opinion
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(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 313.13%34.83M-47.25%10.96M-22.68%47.69M-89.41%1.88M-20.10%16.6M-45.78%8.43M172.59%20.78M25.82%61.68M113.22%17.73M-10.06%20.78M
Net income from continuing operations 251.57%7.39M581.79%5.24M-126.44%-7.77M-139.14%-1.89M-255.78%-8.75M-81.15%2.1M-90.13%769K173.05%29.4M220.90%4.84M37.74%5.62M
Operating gains losses 60.67%-164K-138.60%-272K89.49%-161K-61.44%-381K503.76%751K46.81%-417K65.03%-114K-116.28%-1.53M-102.32%-236K26.77%-186K
Depreciation and amortization -11.36%6.65M-10.10%6.66M9.53%29.96M-11.70%7.53M19.75%7.53M19.75%7.5M17.96%7.4M-10.91%27.35M5.96%8.53M-16.79%6.28M
Deferred tax 84.01%2.83M227.07%1.34M1.73%3.76M144.26%1.83M-29.88%1.44M-55.69%1.54M-145.70%-1.05M145.37%3.69M59.71%-4.14M6.98%2.06M
Other non cash items 2.90%852K-27.51%788K-0.09%3.52M-47.36%789K-49.12%813K897.59%828K219.71%1.09M-57.18%3.52M-72.35%1.5M108.62%1.6M
Change In working capital 194.66%10.6M-270.21%-9.51M16.03%-16.27M-18,470.83%-22.05M712.37%11.38M-52.18%-11.19M154.34%5.59M-182.12%-19.37M101.38%120K-125.89%-1.86M
-Change in receivables -7.75%-6.09M-42.33%-7.73M0.08%-25.23M-22.57%-5.75M-53.09%-8.39M35.84%-5.65M13.24%-5.43M-169.30%-25.25M-19.11%-4.69M-3,282.10%-5.48M
-Change in prepaid assets 2,458.19%8.35M293.21%1.74M-436.40%-9.66M-660.63%-9.97M226.47%222K-190.54%-354K-30.28%442K306.55%2.87M226.64%1.78M109.14%68K
-Change in payables and accrued expense 30.90%10.05M-154.63%-2.96M2,143.17%29.01M-160.80%-5.96M519.77%21.88M-41.25%7.68M134.38%5.41M-8,452.94%-1.42M-986.05%-2.29M914.66%3.53M
-Change in other current assets -20.89%674K99.09%1.31M-7.28%2.7M115.44%614K6.86%576K-42.90%852K10.40%658K76.38%2.91M-34.03%285K30.51%539K
-Change in other current liabilities 90.99%-882K-305.97%-2.11M-828.90%-13.22M-125.87%-1.33M-320.19%-3.12M30.55%-9.79M-91.12%1.02M582.18%1.81M199.44%5.13M-112.95%-743K
-Change in other working capital 61.68%-1.51M-93.17%238K139.40%119K461.86%351K-5.78%212K-761.62%-3.93M440.43%3.49M-111.59%-302K-108.43%-97K-85.84%225K
Cash from discontinued investing activities
Operating cash flow 313.13%34.83M-47.25%10.96M-22.68%47.69M-89.41%1.88M-20.10%16.6M-45.78%8.43M172.59%20.78M25.82%61.68M113.22%17.73M-10.06%20.78M
Investing cash flow
Cash flow from continuing investing activities -1,282.43%-875K62.91%-260K97.72%-2.25M98.43%-1.52M91.90%-100K-28.85%74K-65.33%-701K-108.00%-98.59M-17,902.97%-97.04M97.33%-1.23M
Capital expenditure reported ---160K--0-96.38%-271K-2,810.00%-271K114.75%9K--074.29%-9K---138K--10K---61K
Net PPE purchase and sale -153.93%-937K46.69%-258K8.49%-1.19M57.45%-160K39.65%-172K0.54%-369K-84.03%-484K-903.88%-1.3M-637.25%-376K-630.77%-285K
Net intangibles purchase and sale --0--061.11%-14K116.67%6K--2K---1K---21K-20.00%-36K---36K--0
Net business purchase and sale -2.48%433K195.45%65K100.78%744K100.24%228K-83.44%50K-21.00%444K-77.55%22K-113.57%-95.44M-46,697.57%-96.4M100.67%302K
Net other investing changes ---211K67.94%-67K9.29%-1.52M-474.03%-1.33M100.92%11K--06.70%-209K34.17%-1.68M18.09%-231K-58.46%-1.19M
Cash from discontinued investing activities
Investing cash flow -1,282.43%-875K62.91%-260K97.72%-2.25M98.43%-1.52M91.90%-100K-28.85%74K-65.33%-701K-108.00%-98.59M-17,902.97%-97.04M97.33%-1.23M
Financing cash flow
Cash flow from continuing financing activities -62.98%-31.78M7.19%-12.73M-287.00%-42.87M-89.23%9.48M20.64%-19.14M-22.02%-19.5M45.17%-13.71M-21.17%22.93M1,053.98%88.04M-175.32%-24.12M
Net issuance payments of debt -9.56%-13.76M521.50%23.84M-101.06%-825K-76.76%27.54M36.53%-10.16M---12.56M77.37%-5.66M192.74%77.5M210.54%118.5M-148.57%-16M
Net common stock issuance -560.62%-12.94M-729.13%-32.25M16.60%-18.65M34.26%-12.61M94.16%-185K---1.96M---3.89M-116.20%-22.36M-113.90%-19.19M---3.17M
Cash dividends paid -7.59%-4.4M-8.54%-3.77M-46.42%-15.41M-12.87%-3.93M-11.00%-3.91M-16.24%-4.09M---3.48M-354.91%-10.52M-118.52%-3.48M-352,500.00%-3.53M
Proceeds from stock option exercised by employees ----------0--0-------------1,021.04%-12.47M106.47%72K---72K
Net other financing activities 22.89%-694K20.06%-550K13.41%-7.99M80.70%-1.52M-260.21%-4.89M---900K-8,500.00%-688K57.90%-9.23M61.56%-7.87M-48.31%-1.36M
Cash from discontinued financing activities
Financing cash flow -62.98%-31.78M7.19%-12.73M-287.00%-42.87M-89.23%9.48M20.64%-19.14M-22.02%-19.5M45.17%-13.71M-21.17%22.93M1,053.98%88.04M-175.32%-24.12M
Net cash flow
Beginning cash position -16.25%30.03M8.70%32.06M-32.17%29.49M7.01%22.22M-1.91%24.86M39.67%35.86M-32.17%29.49M240.15%43.48M-26.05%20.76M32.23%25.34M
Current changes in cash 119.74%2.17M-131.83%-2.03M118.33%2.57M12.70%9.84M42.32%-2.64M-3,252.44%-11M135.74%6.37M-145.57%-13.99M-43.33%8.73M-151.42%-4.58M
End cash Position 29.53%32.2M-16.25%30.03M8.70%32.06M8.70%32.06M7.01%22.22M-1.91%24.86M39.67%35.86M-32.17%29.49M-32.17%29.49M-26.05%20.76M
Free cash flow 318.49%33.73M-47.19%10.7M-23.24%46.22M-91.61%1.45M-19.53%16.44M-46.71%8.06M176.67%20.26M23.22%60.21M109.67%17.33M-11.30%20.43M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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