US Stock MarketDetailed Quotes

QXO QXO Inc

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  • 15.900
  • +0.400+2.58%
Close Nov 19 16:00 ET
  • 16.000
  • +0.100+0.63%
Post 20:01 ET
6.51BMarket Cap27.89P/E (TTM)

QXO Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
2,667.60%31.61M
-328.40%-1.05M
146.68%365.51K
-71.36%583.81K
-125.70%-234.2K
-29.18%1.14M
196.23%459.06K
-9,396.26%-783.06K
801.81%2.04M
1,900.22%911.09K
Net income from continuing operations
911.94%17.13M
-271.78%-590.09K
-50.24%138.09K
-279.17%-1.07M
2,241.64%418.91K
-1,471.85%-2.11M
491.39%343.51K
782.53%277.49K
-109.93%-282.22K
94.84%-19.56K
Depreciation and amortization
179.59%137K
5.99%356.53K
1.09%357.47K
-35.83%1.13M
11.10%387.74K
-87.17%49K
-10.34%336.38K
-45.57%353.62K
25.89%1.76M
-28.12%349.01K
Deferred tax
137.50%171K
-273.77%-240.54K
-14.76%69.54K
-193.50%-337.84K
15.39%-101.84K
-2,572.35%-456K
1,005.90%138.42K
3,807.04%81.58K
-339.18%-115.11K
-27.88%-120.36K
Change In working capital
-100.62%-21K
-125.10%-599.42K
87.22%-199.58K
136.61%803.6K
-220.00%-741.4K
185.31%3.37M
66.51%-266.29K
-134.75%-1.56M
129.34%339.63K
793.39%617.81K
-Change in receivables
262.29%779K
-85.90%93.92K
72.20%-164.92K
-6.19%-583.06K
-19,375.44%-176.06K
-185.76%-480K
420.91%666.16K
-243.69%-593.16K
-2.80%-549.05K
99.77%-904
-Change in prepaid assets
-378.14%-7.25M
-570.36%-2.97M
169.16%116.04K
47.54%-164.13K
-288.68%-2.16M
456.33%2.61M
-679.96%-443.2K
44.46%-167.8K
59.73%-312.88K
-22.80%-555.76K
-Change in payables and accrued expense
397.38%6.65M
3,994.16%2.46M
99.98%-133
-18.16%1.51M
-14.18%886.66K
9.43%1.34M
89.15%-63.18K
-463.50%-645.83K
453.01%1.85M
24.45%1.03M
-Change in other current assets
1,514.29%113K
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--7K
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-Change in other current liabilities
28.24%-61K
32.77%-59.76K
18.03%-81.24K
80.15%-126.34K
260.82%146.66K
7.83%-85K
3.64%-88.88K
72.53%-99.12K
-23.01%-636.43K
62.75%-91.2K
-Change in other working capital
-1,950.00%-246K
106.32%21.33K
-24.22%-69.33K
1,526.55%163.47K
144.49%568.47K
95.14%-12K
-3,300.35%-337.19K
-649.24%-55.81K
-103.41%-11.46K
32.57%232.51K
Cash from discontinued investing activities
Operating cash flow
2,667.60%31.61M
-328.40%-1.05M
146.68%365.51K
-71.36%583.81K
-125.70%-234.2K
-29.18%1.14M
196.23%459.06K
-9,396.26%-783.06K
801.81%2.04M
1,900.22%911.09K
Investing cash flow
Cash flow from continuing investing activities
96.08%-2K
92.24%-1.48K
-1,115.59%-60.52K
-111.62%-399.42K
-32,441,500.00%-324.42K
-522.56%-51K
-1,902,000.00%-19.02K
97.24%-4.98K
63.03%-188.74K
100.00%-1
Net PPE purchase and sale
96.08%-2K
92.24%-1.48K
-1,115.59%-60.52K
-212.13%-120.93K
-4,592,600.00%-45.93K
-522.56%-51K
-1,902,000.00%-19.02K
83.70%-4.98K
66.24%-38.74K
-100.02%-1
Net other investing changes
----
----
----
-85.66%-278.49K
----
----
----
----
---150K
--0
Cash from discontinued investing activities
Investing cash flow
96.08%-2K
92.24%-1.48K
-1,115.59%-60.52K
-111.62%-399.42K
-32,441,500.00%-324.42K
-522.56%-51K
-1,902,000.00%-19.02K
97.24%-4.98K
63.03%-188.74K
100.00%-1
Financing cash flow
Cash flow from continuing financing activities
301,197.99%4.04B
518,962.60%966.05M
51.07%-168.72K
-212.87%-2.05M
-32.02%-177.72K
-445.27%-1.34M
-37.21%-186.19K
-148.26%-344.81K
-230.21%-655.13K
5.12%-134.61K
Net issuance payments of debt
-423.10%-1.52M
19.28%-150.28K
51.07%-168.72K
-52.41%-998.47K
-31.83%-177.47K
-17.92%-290K
-37.21%-186.19K
-148.26%-344.81K
-9.91%-655.13K
5.12%-134.61K
Net preferred stock issuance
---2.11M
----
----
----
----
--0
----
----
----
----
Cash dividends paid
-827.69%-9.75M
----
----
---1.05M
---256
---1.05M
----
----
--0
--0
Net other financing activities
--0
----
----
----
----
----
----
----
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Cash from discontinued financing activities
Financing cash flow
301,197.99%4.04B
518,962.60%966.05M
51.07%-168.72K
-212.87%-2.05M
-32.02%-177.72K
-445.27%-1.34M
-37.21%-186.19K
-148.26%-344.81K
-230.21%-655.13K
5.12%-134.61K
Net cash flow
Beginning cash position
13,522.50%971.28M
-8.67%6.28M
-23.29%6.14M
17.53%8.01M
-4.87%6.88M
21.39%7.13M
6.00%6.88M
17.53%8.01M
3.32%6.81M
-0.28%7.23M
Current changes in cash
1,627,831.20%4.07B
380,041.63%965M
112.03%136.27K
-256.16%-1.87M
-194.83%-736.34K
-118.40%-250K
141.43%253.85K
-245.72%-1.13M
446.19%1.19M
277.23%776.48K
End cash Position
73,164.71%5.04B
13,522.50%971.28M
-8.67%6.28M
-23.29%6.14M
-23.29%6.14M
-4.87%6.88M
21.39%7.13M
6.00%6.88M
17.53%8.01M
17.53%8.01M
Free cash flow
2,796.79%31.6M
-338.61%-1.05M
138.70%304.99K
-76.85%462.88K
-130.75%-280.12K
-32.00%1.09M
192.24%440.04K
-1,931.35%-788.04K
1,697.07%2M
2,070.26%911.09K
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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(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 2,667.60%31.61M-328.40%-1.05M146.68%365.51K-71.36%583.81K-125.70%-234.2K-29.18%1.14M196.23%459.06K-9,396.26%-783.06K801.81%2.04M1,900.22%911.09K
Net income from continuing operations 911.94%17.13M-271.78%-590.09K-50.24%138.09K-279.17%-1.07M2,241.64%418.91K-1,471.85%-2.11M491.39%343.51K782.53%277.49K-109.93%-282.22K94.84%-19.56K
Depreciation and amortization 179.59%137K5.99%356.53K1.09%357.47K-35.83%1.13M11.10%387.74K-87.17%49K-10.34%336.38K-45.57%353.62K25.89%1.76M-28.12%349.01K
Deferred tax 137.50%171K-273.77%-240.54K-14.76%69.54K-193.50%-337.84K15.39%-101.84K-2,572.35%-456K1,005.90%138.42K3,807.04%81.58K-339.18%-115.11K-27.88%-120.36K
Change In working capital -100.62%-21K-125.10%-599.42K87.22%-199.58K136.61%803.6K-220.00%-741.4K185.31%3.37M66.51%-266.29K-134.75%-1.56M129.34%339.63K793.39%617.81K
-Change in receivables 262.29%779K-85.90%93.92K72.20%-164.92K-6.19%-583.06K-19,375.44%-176.06K-185.76%-480K420.91%666.16K-243.69%-593.16K-2.80%-549.05K99.77%-904
-Change in prepaid assets -378.14%-7.25M-570.36%-2.97M169.16%116.04K47.54%-164.13K-288.68%-2.16M456.33%2.61M-679.96%-443.2K44.46%-167.8K59.73%-312.88K-22.80%-555.76K
-Change in payables and accrued expense 397.38%6.65M3,994.16%2.46M99.98%-133-18.16%1.51M-14.18%886.66K9.43%1.34M89.15%-63.18K-463.50%-645.83K453.01%1.85M24.45%1.03M
-Change in other current assets 1,514.29%113K------------------7K----------------
-Change in other current liabilities 28.24%-61K32.77%-59.76K18.03%-81.24K80.15%-126.34K260.82%146.66K7.83%-85K3.64%-88.88K72.53%-99.12K-23.01%-636.43K62.75%-91.2K
-Change in other working capital -1,950.00%-246K106.32%21.33K-24.22%-69.33K1,526.55%163.47K144.49%568.47K95.14%-12K-3,300.35%-337.19K-649.24%-55.81K-103.41%-11.46K32.57%232.51K
Cash from discontinued investing activities
Operating cash flow 2,667.60%31.61M-328.40%-1.05M146.68%365.51K-71.36%583.81K-125.70%-234.2K-29.18%1.14M196.23%459.06K-9,396.26%-783.06K801.81%2.04M1,900.22%911.09K
Investing cash flow
Cash flow from continuing investing activities 96.08%-2K92.24%-1.48K-1,115.59%-60.52K-111.62%-399.42K-32,441,500.00%-324.42K-522.56%-51K-1,902,000.00%-19.02K97.24%-4.98K63.03%-188.74K100.00%-1
Net PPE purchase and sale 96.08%-2K92.24%-1.48K-1,115.59%-60.52K-212.13%-120.93K-4,592,600.00%-45.93K-522.56%-51K-1,902,000.00%-19.02K83.70%-4.98K66.24%-38.74K-100.02%-1
Net other investing changes -------------85.66%-278.49K-------------------150K--0
Cash from discontinued investing activities
Investing cash flow 96.08%-2K92.24%-1.48K-1,115.59%-60.52K-111.62%-399.42K-32,441,500.00%-324.42K-522.56%-51K-1,902,000.00%-19.02K97.24%-4.98K63.03%-188.74K100.00%-1
Financing cash flow
Cash flow from continuing financing activities 301,197.99%4.04B518,962.60%966.05M51.07%-168.72K-212.87%-2.05M-32.02%-177.72K-445.27%-1.34M-37.21%-186.19K-148.26%-344.81K-230.21%-655.13K5.12%-134.61K
Net issuance payments of debt -423.10%-1.52M19.28%-150.28K51.07%-168.72K-52.41%-998.47K-31.83%-177.47K-17.92%-290K-37.21%-186.19K-148.26%-344.81K-9.91%-655.13K5.12%-134.61K
Net preferred stock issuance ---2.11M------------------0----------------
Cash dividends paid -827.69%-9.75M-----------1.05M---256---1.05M----------0--0
Net other financing activities --0------------------------------------
Cash from discontinued financing activities
Financing cash flow 301,197.99%4.04B518,962.60%966.05M51.07%-168.72K-212.87%-2.05M-32.02%-177.72K-445.27%-1.34M-37.21%-186.19K-148.26%-344.81K-230.21%-655.13K5.12%-134.61K
Net cash flow
Beginning cash position 13,522.50%971.28M-8.67%6.28M-23.29%6.14M17.53%8.01M-4.87%6.88M21.39%7.13M6.00%6.88M17.53%8.01M3.32%6.81M-0.28%7.23M
Current changes in cash 1,627,831.20%4.07B380,041.63%965M112.03%136.27K-256.16%-1.87M-194.83%-736.34K-118.40%-250K141.43%253.85K-245.72%-1.13M446.19%1.19M277.23%776.48K
End cash Position 73,164.71%5.04B13,522.50%971.28M-8.67%6.28M-23.29%6.14M-23.29%6.14M-4.87%6.88M21.39%7.13M6.00%6.88M17.53%8.01M17.53%8.01M
Free cash flow 2,796.79%31.6M-338.61%-1.05M138.70%304.99K-76.85%462.88K-130.75%-280.12K-32.00%1.09M192.24%440.04K-1,931.35%-788.04K1,697.07%2M2,070.26%911.09K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

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