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QMCO Quantum

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  • 21.770
  • +12.640+138.44%
Close Nov 25 16:00 ET
  • 20.180
  • -1.590-7.30%
Post 18:15 ET
105.55MMarket Cap-1658P/E (TTM)

Quantum Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-704.73%-15.3M
79.92%-1.9M
-107.52%-10.16M
-28.10%10.57M
-464.84%-9.38M
-562.53%-1.9M
48.52%-9.44M
85.49%-4.89M
308.63%14.7M
85.45%-1.66M
Net income from continuing operations
-306.09%-13.53M
-127.74%-20.82M
-124.77%-41.29M
-86.13%-18.94M
-8,833.63%-9.87M
-273.76%-3.33M
10.55%-9.14M
-147.89%-18.37M
-116.20%-10.18M
101.02%113K
Operating gains losses
77.81%-1.24M
-307.04%-971K
61.53%-3.94M
702.30%3.4M
-73,666.67%-2.21M
47.58%-5.6M
-52.72%469K
85.36%-10.25M
99.18%-564K
-104.92%-3K
Depreciation and amortization
-38.38%1.57M
-35.32%1.78M
-7.96%9.31M
-40.34%1.72M
9.32%2.3M
-0.16%2.54M
6.42%2.75M
7.43%10.12M
9.91%2.88M
-25.67%2.1M
Other non cash items
367.97%3.7M
-15.04%1.08M
1,000.00%6.04M
-57.46%1.08M
1,734.18%2.9M
177.68%790K
212.09%1.27M
-94.54%549K
-67.38%2.54M
-73.36%158K
Change In working capital
-404.52%-7.27M
317.81%15.7M
154.05%8.51M
76.05%19.18M
30.47%-5.84M
180.53%2.39M
52.79%-7.21M
61.68%-15.75M
165.02%10.89M
13.79%-8.4M
-Change in receivables
-30.71%10.29M
1.45%6.35M
263.39%4.85M
-2,037.66%-7.77M
26.98%-8.49M
314.11%14.85M
33.74%6.26M
-181.24%-2.97M
111.95%401K
-285.64%-11.63M
-Change in inventory
25.01%-1.78M
112.42%150K
295.73%10.46M
125.64%15.08M
90.03%-1.04M
-1,082.16%-2.37M
32.74%-1.21M
67.56%-5.34M
290.02%6.68M
-76.35%-10.47M
-Change in prepaid assets
-89.19%248K
25.93%-1.69M
-46.66%1.97M
-48.14%1.58M
-79.27%386K
49.32%2.3M
16.68%-2.29M
193.33%3.7M
79.52%3.04M
176.66%1.86M
-Change in payables and accrued expense
22.28%-3.8M
176.79%4.71M
-1,295.19%-8.69M
185.49%4.96M
-129.01%-2.63M
-515.35%-4.89M
-250.92%-6.13M
113.00%727K
27.06%-5.8M
76.33%9.07M
-Change in other current assets
149.20%402K
106.89%98K
----
----
-59.84%-991K
-40.86%-817K
-457.65%-1.42M
----
----
-97.45%-620K
-Change in other current liabilities
-2,098.55%-7.61M
2,109.65%11.23M
-27.89%737K
-2.75%-1.87M
7.76%2.44M
-200.29%-346K
122.81%508K
134.03%1.02M
-288.59%-1.82M
162.45%2.27M
-Change in other working capital
20.71%-5.03M
-75.01%-5.13M
93.70%-811K
-42.78%3.97M
302.24%4.49M
13.14%-6.34M
78.52%-2.93M
18.07%-12.88M
197.37%6.94M
157.14%1.12M
Cash from discontinued investing activities
Operating cash flow
-704.73%-15.3M
79.92%-1.9M
-107.52%-10.16M
-28.10%10.57M
-464.84%-9.38M
-562.53%-1.9M
48.52%-9.44M
85.49%-4.89M
308.63%14.7M
85.45%-1.66M
Investing cash flow
Cash flow from continuing investing activities
1.11%-1.61M
29.53%-1.62M
62.38%-5.87M
71.46%-844K
61.39%-1.1M
65.83%-1.63M
54.35%-2.3M
-10.46%-15.6M
-26.10%-2.96M
35.00%-2.85M
Net PPE purchase and sale
1.11%-1.61M
29.53%-1.62M
53.35%-5.87M
56.43%-844K
61.39%-1.1M
65.83%-1.63M
24.28%-2.3M
-99.19%-12.58M
17.40%-1.94M
-80.89%-2.85M
Net business purchase and sale
----
----
--0
--0
----
----
----
61.32%-3.02M
---1.02M
--0
Cash from discontinued investing activities
Investing cash flow
1.11%-1.61M
29.53%-1.62M
62.38%-5.87M
71.46%-844K
61.39%-1.1M
65.83%-1.63M
54.35%-2.3M
-10.46%-15.6M
-26.10%-2.96M
35.00%-2.85M
Financing cash flow
Cash flow from continuing financing activities
353.04%16.32M
-142.71%-4.8M
-61.83%15.71M
28.65%-8.43M
86.71%9.3M
7.58%3.6M
-74.83%11.24M
104.22%41.17M
-212.34%-11.81M
262.25%4.98M
Net issuance payments of debt
354.17%16.32M
-142.67%-4.8M
160.48%15.71M
31.15%-8.43M
86.52%9.3M
21.83%3.59M
151.86%11.24M
-241.24%-25.98M
-228.06%-12.24M
262.41%4.99M
Net common stock issuance
----
--0
--0
--0
----
----
-100.01%-9K
3,710.78%67.15M
-55.23%428K
---5K
Cash from discontinued financing activities
Financing cash flow
353.04%16.32M
-142.71%-4.8M
-61.83%15.71M
28.65%-8.43M
86.71%9.3M
7.58%3.6M
-74.83%11.24M
104.22%41.17M
-212.34%-11.81M
262.25%4.98M
Net cash flow
Beginning cash position
-31.65%17.54M
-1.20%25.86M
376.52%26.18M
-6.47%24.55M
-0.64%25.75M
-4.17%25.67M
376.52%26.18M
-83.42%5.49M
505.47%26.25M
11.69%25.92M
Current changes in cash
-867.11%-583K
-1,536.61%-8.31M
-101.51%-312K
2,166.67%1.3M
-350.96%-1.18M
107.61%76K
-102.39%-508K
174.63%20.67M
-105.63%-63K
102.50%471K
Effect of exchange rate changes
--0
-50.00%-3K
-125.00%-3K
200.00%9K
84.14%-23K
-90.51%13K
-106.90%-2K
-76.47%12K
-123.08%-9K
---145K
End cash Position
-34.15%16.96M
-31.65%17.54M
-1.20%25.86M
-1.20%25.86M
-6.47%24.55M
-0.64%25.75M
-4.17%25.67M
376.52%26.18M
376.52%26.18M
505.47%26.25M
Free cash flow
-379.33%-16.91M
70.06%-3.52M
8.30%-16.03M
-23.80%9.73M
-132.42%-10.48M
18.88%-3.53M
45.08%-11.74M
56.36%-17.48M
235.91%12.77M
65.29%-4.51M
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
--
--
(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -704.73%-15.3M79.92%-1.9M-107.52%-10.16M-28.10%10.57M-464.84%-9.38M-562.53%-1.9M48.52%-9.44M85.49%-4.89M308.63%14.7M85.45%-1.66M
Net income from continuing operations -306.09%-13.53M-127.74%-20.82M-124.77%-41.29M-86.13%-18.94M-8,833.63%-9.87M-273.76%-3.33M10.55%-9.14M-147.89%-18.37M-116.20%-10.18M101.02%113K
Operating gains losses 77.81%-1.24M-307.04%-971K61.53%-3.94M702.30%3.4M-73,666.67%-2.21M47.58%-5.6M-52.72%469K85.36%-10.25M99.18%-564K-104.92%-3K
Depreciation and amortization -38.38%1.57M-35.32%1.78M-7.96%9.31M-40.34%1.72M9.32%2.3M-0.16%2.54M6.42%2.75M7.43%10.12M9.91%2.88M-25.67%2.1M
Other non cash items 367.97%3.7M-15.04%1.08M1,000.00%6.04M-57.46%1.08M1,734.18%2.9M177.68%790K212.09%1.27M-94.54%549K-67.38%2.54M-73.36%158K
Change In working capital -404.52%-7.27M317.81%15.7M154.05%8.51M76.05%19.18M30.47%-5.84M180.53%2.39M52.79%-7.21M61.68%-15.75M165.02%10.89M13.79%-8.4M
-Change in receivables -30.71%10.29M1.45%6.35M263.39%4.85M-2,037.66%-7.77M26.98%-8.49M314.11%14.85M33.74%6.26M-181.24%-2.97M111.95%401K-285.64%-11.63M
-Change in inventory 25.01%-1.78M112.42%150K295.73%10.46M125.64%15.08M90.03%-1.04M-1,082.16%-2.37M32.74%-1.21M67.56%-5.34M290.02%6.68M-76.35%-10.47M
-Change in prepaid assets -89.19%248K25.93%-1.69M-46.66%1.97M-48.14%1.58M-79.27%386K49.32%2.3M16.68%-2.29M193.33%3.7M79.52%3.04M176.66%1.86M
-Change in payables and accrued expense 22.28%-3.8M176.79%4.71M-1,295.19%-8.69M185.49%4.96M-129.01%-2.63M-515.35%-4.89M-250.92%-6.13M113.00%727K27.06%-5.8M76.33%9.07M
-Change in other current assets 149.20%402K106.89%98K---------59.84%-991K-40.86%-817K-457.65%-1.42M---------97.45%-620K
-Change in other current liabilities -2,098.55%-7.61M2,109.65%11.23M-27.89%737K-2.75%-1.87M7.76%2.44M-200.29%-346K122.81%508K134.03%1.02M-288.59%-1.82M162.45%2.27M
-Change in other working capital 20.71%-5.03M-75.01%-5.13M93.70%-811K-42.78%3.97M302.24%4.49M13.14%-6.34M78.52%-2.93M18.07%-12.88M197.37%6.94M157.14%1.12M
Cash from discontinued investing activities
Operating cash flow -704.73%-15.3M79.92%-1.9M-107.52%-10.16M-28.10%10.57M-464.84%-9.38M-562.53%-1.9M48.52%-9.44M85.49%-4.89M308.63%14.7M85.45%-1.66M
Investing cash flow
Cash flow from continuing investing activities 1.11%-1.61M29.53%-1.62M62.38%-5.87M71.46%-844K61.39%-1.1M65.83%-1.63M54.35%-2.3M-10.46%-15.6M-26.10%-2.96M35.00%-2.85M
Net PPE purchase and sale 1.11%-1.61M29.53%-1.62M53.35%-5.87M56.43%-844K61.39%-1.1M65.83%-1.63M24.28%-2.3M-99.19%-12.58M17.40%-1.94M-80.89%-2.85M
Net business purchase and sale ----------0--0------------61.32%-3.02M---1.02M--0
Cash from discontinued investing activities
Investing cash flow 1.11%-1.61M29.53%-1.62M62.38%-5.87M71.46%-844K61.39%-1.1M65.83%-1.63M54.35%-2.3M-10.46%-15.6M-26.10%-2.96M35.00%-2.85M
Financing cash flow
Cash flow from continuing financing activities 353.04%16.32M-142.71%-4.8M-61.83%15.71M28.65%-8.43M86.71%9.3M7.58%3.6M-74.83%11.24M104.22%41.17M-212.34%-11.81M262.25%4.98M
Net issuance payments of debt 354.17%16.32M-142.67%-4.8M160.48%15.71M31.15%-8.43M86.52%9.3M21.83%3.59M151.86%11.24M-241.24%-25.98M-228.06%-12.24M262.41%4.99M
Net common stock issuance ------0--0--0---------100.01%-9K3,710.78%67.15M-55.23%428K---5K
Cash from discontinued financing activities
Financing cash flow 353.04%16.32M-142.71%-4.8M-61.83%15.71M28.65%-8.43M86.71%9.3M7.58%3.6M-74.83%11.24M104.22%41.17M-212.34%-11.81M262.25%4.98M
Net cash flow
Beginning cash position -31.65%17.54M-1.20%25.86M376.52%26.18M-6.47%24.55M-0.64%25.75M-4.17%25.67M376.52%26.18M-83.42%5.49M505.47%26.25M11.69%25.92M
Current changes in cash -867.11%-583K-1,536.61%-8.31M-101.51%-312K2,166.67%1.3M-350.96%-1.18M107.61%76K-102.39%-508K174.63%20.67M-105.63%-63K102.50%471K
Effect of exchange rate changes --0-50.00%-3K-125.00%-3K200.00%9K84.14%-23K-90.51%13K-106.90%-2K-76.47%12K-123.08%-9K---145K
End cash Position -34.15%16.96M-31.65%17.54M-1.20%25.86M-1.20%25.86M-6.47%24.55M-0.64%25.75M-4.17%25.67M376.52%26.18M376.52%26.18M505.47%26.25M
Free cash flow -379.33%-16.91M70.06%-3.52M8.30%-16.03M-23.80%9.73M-132.42%-10.48M18.88%-3.53M45.08%-11.74M56.36%-17.48M235.91%12.77M65.29%-4.51M
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----

Analysis

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Price Target

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