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RDVT Red Violet

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  • 28.010
  • +1.390+5.22%
Close Oct 15 16:00 ET
  • 28.010
  • 0.0000.00%
Post 16:00 ET
384.62MMarket Cap25.01P/E (TTM)

Red Violet 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
61.18%5.72M
181.19%4.31M
20.96%15.07M
-3.56%4.2M
84.07%5.79M
40.48%3.55M
-37.00%1.53M
39.24%12.46M
123.42%4.36M
-9.21%3.15M
Net income from continuing operations
89.99%2.64M
149.16%1.78M
2,096.27%13.53M
30.70%-1.07M
453.37%12.5M
777.07%1.39M
569.16%716K
-5.95%616K
13.45%-1.54M
79.78%2.26M
Depreciation and amortization
15.73%2.38M
18.48%2.27M
25.12%8.35M
21.82%2.21M
26.74%2.17M
27.34%2.05M
24.90%1.92M
23.63%6.68M
23.81%1.82M
27.36%1.71M
Deferred tax
296.10%610K
1,670.00%471K
-11,112.36%-9.8M
529.66%507K
-104,420.00%-10.43M
600.00%154K
-117.14%-30K
-55.05%89K
-159.60%-118K
--10K
Other non cash items
-6.76%138K
-7.59%134K
5.30%576K
-6.38%132K
8.63%151K
9.63%148K
9.85%145K
7.05%547K
9.30%141K
10.32%139K
Change In working capital
1.91%-1.59M
44.18%-1.83M
-207.02%-4.07M
-61.34%919K
96.06%-90K
-245.32%-1.62M
-246.14%-3.27M
44.42%-1.32M
387.09%2.38M
-800.00%-2.29M
-Change in receivables
68.78%-246K
21.14%-806K
-36.24%-2.69M
-158.72%-505K
84.13%-373K
-307.37%-788K
-18.56%-1.02M
-213.17%-1.97M
211.59%860K
-256.75%-2.35M
-Change in prepaid assets
153.33%8K
29.87%-378K
-98.84%-342K
-16.67%65K
41.35%147K
-111.72%-15K
-11.83%-539K
-855.56%-172K
52.94%78K
-83.09%104K
-Change in payables and accrued expense
39.56%-388K
53.50%-625K
-124.01%-498K
-37.18%1.22M
36.50%273K
12.65%-642K
-299.11%-1.34M
236.36%2.07M
1,826.79%1.93M
398.51%200K
-Change in other current assets
-698.45%-772K
153.24%156K
118.10%84K
123.71%110K
--138K
--129K
---293K
-23,300.00%-464K
---464K
--0
-Change in other current liabilities
18.71%-139K
18.67%-135K
-3.72%-641K
20.37%-129K
-12.18%-175K
-12.50%-171K
-12.16%-166K
-11.96%-618K
-12.50%-162K
-11.43%-156K
-Change in other working capital
59.56%-55K
-140.86%-38K
111.70%20K
24.43%163K
-20.48%-100K
-49.45%-136K
172.66%93K
-150.74%-171K
-68.59%131K
-2,666.67%-83K
Cash from discontinued investing activities
Operating cash flow
61.18%5.72M
181.19%4.31M
20.96%15.07M
-3.56%4.2M
84.07%5.79M
40.48%3.55M
-37.00%1.53M
39.24%12.46M
123.42%4.36M
-9.21%3.15M
Investing cash flow
Cash flow from continuing investing activities
-9.81%-2.46M
-3.24%-2.39M
-3.59%-9.15M
12.07%-2.13M
-7.10%-2.46M
-1.63%-2.24M
-21.50%-2.32M
-68.36%-8.83M
-64.33%-2.42M
-91.81%-2.3M
Capital expenditure reported
-7.83%-2.41M
-2.38%-2.33M
-6.72%-9.02M
9.24%-2.1M
-7.39%-2.41M
-6.53%-2.24M
-26.70%-2.27M
-70.35%-8.46M
-63.75%-2.32M
-98.94%-2.25M
Net PPE purchase and sale
-642.86%-52K
-47.73%-65K
67.29%-122K
76.47%-24K
6.00%-47K
93.52%-7K
61.06%-44K
-33.21%-373K
-78.95%-102K
26.47%-50K
Cash from discontinued investing activities
Investing cash flow
-9.81%-2.46M
-3.24%-2.39M
-3.59%-9.15M
12.07%-2.13M
-7.10%-2.46M
-1.63%-2.24M
-21.50%-2.32M
-68.36%-8.83M
-64.33%-2.42M
-91.81%-2.3M
Financing cash flow
Cash flow from continuing financing activities
-491.25%-4.46M
-772.82%-1.8M
6.17%-5.7M
-203.28%-4.26M
74.37%-488K
72.73%-754K
-3,333.33%-206K
-134.54%-6.08M
-106.88%-1.4M
31.63%-1.9M
Net common stock issuance
-503.81%-4.44M
-708.57%-1.42M
-322.67%-3.71M
-379.53%-2.46M
6.58%-341K
---735K
---175K
-104.20%-878K
-102.45%-513K
---365K
Net other financing activities
-5.26%-20K
-1,135.48%-383K
61.69%-1.99M
-101.69%-1.8M
90.45%-147K
99.31%-19K
-416.67%-31K
-56.30%-5.2M
-64.21%-890K
---1.54M
Cash from discontinued financing activities
Financing cash flow
-491.25%-4.46M
-772.82%-1.8M
6.17%-5.7M
-203.28%-4.26M
74.37%-488K
72.73%-754K
-3,333.33%-206K
-134.54%-6.08M
-106.88%-1.4M
31.63%-1.9M
Net cash flow
Beginning cash position
4.31%32.15M
0.70%32.03M
-7.15%31.81M
9.39%34.21M
-2.97%31.37M
-11.38%30.82M
-7.15%31.81M
164.40%34.26M
133.43%31.27M
132.32%32.33M
Current changes in cash
-318.91%-1.2M
111.59%115K
109.07%222K
-505.59%-2.18M
369.38%2.84M
122.48%550K
-291.88%-992K
-111.49%-2.45M
-97.43%537K
-103.67%-1.06M
End cash Position
-1.35%30.94M
4.31%32.15M
0.70%32.03M
0.70%32.03M
9.39%34.21M
-2.97%31.37M
-11.38%30.82M
-7.15%31.81M
-7.15%31.81M
133.43%31.27M
Free cash flow
149.54%3.25M
343.38%1.91M
63.22%5.93M
7.06%2.08M
292.23%3.33M
310.06%1.3M
-250.29%-786K
-2.00%3.63M
305.01%1.94M
-62.55%849K
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
(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 61.18%5.72M181.19%4.31M20.96%15.07M-3.56%4.2M84.07%5.79M40.48%3.55M-37.00%1.53M39.24%12.46M123.42%4.36M-9.21%3.15M
Net income from continuing operations 89.99%2.64M149.16%1.78M2,096.27%13.53M30.70%-1.07M453.37%12.5M777.07%1.39M569.16%716K-5.95%616K13.45%-1.54M79.78%2.26M
Depreciation and amortization 15.73%2.38M18.48%2.27M25.12%8.35M21.82%2.21M26.74%2.17M27.34%2.05M24.90%1.92M23.63%6.68M23.81%1.82M27.36%1.71M
Deferred tax 296.10%610K1,670.00%471K-11,112.36%-9.8M529.66%507K-104,420.00%-10.43M600.00%154K-117.14%-30K-55.05%89K-159.60%-118K--10K
Other non cash items -6.76%138K-7.59%134K5.30%576K-6.38%132K8.63%151K9.63%148K9.85%145K7.05%547K9.30%141K10.32%139K
Change In working capital 1.91%-1.59M44.18%-1.83M-207.02%-4.07M-61.34%919K96.06%-90K-245.32%-1.62M-246.14%-3.27M44.42%-1.32M387.09%2.38M-800.00%-2.29M
-Change in receivables 68.78%-246K21.14%-806K-36.24%-2.69M-158.72%-505K84.13%-373K-307.37%-788K-18.56%-1.02M-213.17%-1.97M211.59%860K-256.75%-2.35M
-Change in prepaid assets 153.33%8K29.87%-378K-98.84%-342K-16.67%65K41.35%147K-111.72%-15K-11.83%-539K-855.56%-172K52.94%78K-83.09%104K
-Change in payables and accrued expense 39.56%-388K53.50%-625K-124.01%-498K-37.18%1.22M36.50%273K12.65%-642K-299.11%-1.34M236.36%2.07M1,826.79%1.93M398.51%200K
-Change in other current assets -698.45%-772K153.24%156K118.10%84K123.71%110K--138K--129K---293K-23,300.00%-464K---464K--0
-Change in other current liabilities 18.71%-139K18.67%-135K-3.72%-641K20.37%-129K-12.18%-175K-12.50%-171K-12.16%-166K-11.96%-618K-12.50%-162K-11.43%-156K
-Change in other working capital 59.56%-55K-140.86%-38K111.70%20K24.43%163K-20.48%-100K-49.45%-136K172.66%93K-150.74%-171K-68.59%131K-2,666.67%-83K
Cash from discontinued investing activities
Operating cash flow 61.18%5.72M181.19%4.31M20.96%15.07M-3.56%4.2M84.07%5.79M40.48%3.55M-37.00%1.53M39.24%12.46M123.42%4.36M-9.21%3.15M
Investing cash flow
Cash flow from continuing investing activities -9.81%-2.46M-3.24%-2.39M-3.59%-9.15M12.07%-2.13M-7.10%-2.46M-1.63%-2.24M-21.50%-2.32M-68.36%-8.83M-64.33%-2.42M-91.81%-2.3M
Capital expenditure reported -7.83%-2.41M-2.38%-2.33M-6.72%-9.02M9.24%-2.1M-7.39%-2.41M-6.53%-2.24M-26.70%-2.27M-70.35%-8.46M-63.75%-2.32M-98.94%-2.25M
Net PPE purchase and sale -642.86%-52K-47.73%-65K67.29%-122K76.47%-24K6.00%-47K93.52%-7K61.06%-44K-33.21%-373K-78.95%-102K26.47%-50K
Cash from discontinued investing activities
Investing cash flow -9.81%-2.46M-3.24%-2.39M-3.59%-9.15M12.07%-2.13M-7.10%-2.46M-1.63%-2.24M-21.50%-2.32M-68.36%-8.83M-64.33%-2.42M-91.81%-2.3M
Financing cash flow
Cash flow from continuing financing activities -491.25%-4.46M-772.82%-1.8M6.17%-5.7M-203.28%-4.26M74.37%-488K72.73%-754K-3,333.33%-206K-134.54%-6.08M-106.88%-1.4M31.63%-1.9M
Net common stock issuance -503.81%-4.44M-708.57%-1.42M-322.67%-3.71M-379.53%-2.46M6.58%-341K---735K---175K-104.20%-878K-102.45%-513K---365K
Net other financing activities -5.26%-20K-1,135.48%-383K61.69%-1.99M-101.69%-1.8M90.45%-147K99.31%-19K-416.67%-31K-56.30%-5.2M-64.21%-890K---1.54M
Cash from discontinued financing activities
Financing cash flow -491.25%-4.46M-772.82%-1.8M6.17%-5.7M-203.28%-4.26M74.37%-488K72.73%-754K-3,333.33%-206K-134.54%-6.08M-106.88%-1.4M31.63%-1.9M
Net cash flow
Beginning cash position 4.31%32.15M0.70%32.03M-7.15%31.81M9.39%34.21M-2.97%31.37M-11.38%30.82M-7.15%31.81M164.40%34.26M133.43%31.27M132.32%32.33M
Current changes in cash -318.91%-1.2M111.59%115K109.07%222K-505.59%-2.18M369.38%2.84M122.48%550K-291.88%-992K-111.49%-2.45M-97.43%537K-103.67%-1.06M
End cash Position -1.35%30.94M4.31%32.15M0.70%32.03M0.70%32.03M9.39%34.21M-2.97%31.37M-11.38%30.82M-7.15%31.81M-7.15%31.81M133.43%31.27M
Free cash flow 149.54%3.25M343.38%1.91M63.22%5.93M7.06%2.08M292.23%3.33M310.06%1.3M-250.29%-786K-2.00%3.63M305.01%1.94M-62.55%849K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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