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ROII RiskOn International

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  • 0.001
  • +0.000+20.00%
15min DelayClose Dec 20 16:00 ET
19.60KMarket Cap0.00P/E (TTM)

RiskOn International Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Sep 30, 2022
(Q1)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
24.83%-37.62M
63.13%-8.24M
3.34%-13.68M
20.06%-7.79M
-107.76%-7.91M
-211.36%-50.04M
-158.32%-22.33M
-512.55%-14.15M
-123.35%-9.75M
-406.78%-3.81M
Net income from continuing operations
60.52%-34.49M
80.65%-10.93M
-665.82%-14.99M
38.45%-14.03M
150.92%5.46M
-727.72%-87.36M
-376.32%-56.49M
-42.40%2.65M
-289.41%-22.8M
-519.01%-10.72M
Operating gains losses
-162.21%-25.31M
-102.21%-815.88K
85.82%-824.48K
-129.95%-2.73M
-5,420.65%-20.94M
388.56%40.68M
40,529.13%36.99M
47.06%-5.81M
562.57%9.11M
108.94%393.53K
Depreciation and amortization
3,658.80%4.4M
3,341.92%4.03M
-121.62%-3.8M
140.34%4.03M
280.49%136.88K
-66.27%117.15K
-36.00%117.15K
-3,304.64%-1.71M
1,307.94%1.68M
-85.59%35.98K
Other non cash items
233.82%7.38M
130.71%1.22M
123.58%2.04M
35.63%3.32M
-82.91%796.58K
-210.35%-5.51M
-284.57%-3.98M
-517.05%-8.64M
2,562.34%2.45M
590.62%4.66M
Change In working capital
6,975.73%10.14M
-154.18%-1.75M
612.26%3.9M
582.80%1.61M
290.06%6.38M
-112.07%-147.48K
-203.57%-686.93K
-152.51%-760.61K
49.03%-334.42K
798.67%1.63M
-Change in receivables
95.40%-7.74K
133.00%55.51K
-99.27%454
-11.58%-59.8K
53.49%-3.9K
---168.23K
---168.23K
--61.98K
-211.45%-53.59K
82.56%-8.39K
-Change in prepaid assets
77.83%504.48K
-185.97%-284K
109.11%14.37K
196.52%366.25K
-16.84%407.87K
124.07%283.69K
95.42%330.34K
75.42%-157.7K
-172.69%-379.44K
535.46%490.49K
-Change in payables and accrued expense
12,106.29%9.6M
-195.37%-1.5M
677.14%3.82M
1,244.49%1.31M
418.75%5.97M
-92.97%78.66K
-201.10%-507.45K
-131.43%-662.14K
108.16%97.24K
487.80%1.15M
-Change in other current assets
-118.67%-22.75K
----
----
4.97%31.78K
4.94%31.39K
542.01%121.83K
----
----
156.79%30.27K
-43.88%29.91K
-Change in other current liabilities
----
----
----
-7.51%-31.07K
-7.51%-30.68K
----
----
----
---28.9K
---28.54K
-Change in other working capital
114.13%65.47K
--4.04K
----
----
----
-973.17%-463.43K
----
----
----
----
Cash from discontinued investing activities
-74.40%9.17M
-98.32%344.86K
-47.96%6.65M
-85.23%1.07M
123.50%1.11M
2,393.48%35.82M
3,679.50%20.5M
777.26%12.78M
351.27%7.25M
-1,168.69%-4.71M
Operating cash flow
-100.04%-28.45M
-329.86%-7.89M
-411.00%-7.03M
-169.31%-6.72M
20.08%-6.8M
19.35%-14.22M
80.09%-1.84M
-61.13%-1.38M
65.58%-2.5M
-2,638.69%-8.51M
Investing cash flow
Cash flow from continuing investing activities
-799.34%-360.4K
4.29%-38.35K
59.98%-322.05K
99.56%-40.07K
70.49%-40.07K
83.30%-804.63K
Net PPE purchase and sale
-175.50%-110.4K
4.29%-38.35K
-279.79%-72.05K
----
----
99.44%-40.07K
70.49%-40.07K
101.42%40.07K
----
----
Net investment purchase and sale
---250K
--0
----
----
----
--0
--0
----
----
----
Cash from discontinued investing activities
Investing cash flow
-393.81%-360.4K
90.28%-38.35K
-185.31%-322.05K
--0
--0
-80.14%122.67K
-103.94%-394.56K
107.79%377.49K
-8.64%-4.94M
203,231.96%5.08M
Financing cash flow
Cash flow from continuing financing activities
98.97%28.77M
194.61%7.85M
33,660.11%7.45M
5,355.56%6.72M
-43.36%6.74M
-25.76%14.46M
367.68%2.67M
22.08K
-100.67%-127.88K
5,570.33%11.9M
Net issuance payments of debt
--7.9M
698.91%1.65M
-30,164.45%-6.64M
5,967.02%7.5M
5,414.74%5.38M
--0
-63.67%207.06K
--22.08K
-21.03%-127.88K
58.80%-101.27K
Net common stock issuance
-3.50%1.66M
-162.08%-1.06M
--939.79K
--0
--1.78M
-91.08%1.72M
--1.72M
--0
--0
--0
Net preferred stock issuance
-111.48%-1.31M
--0
---100K
--0
---1.21M
--11.37M
---635K
--0
--12M
--0
Proceeds from stock option exercised by employees
--3.01M
----
----
----
--0
--0
----
----
----
42,307.32%12M
Net other financing activities
1,170.51%17.51M
--4.26M
----
----
--781.9K
--1.38M
----
----
----
----
Cash from discontinued financing activities
0
0
0
0
0
88.08%-379.57K
76.44%-402.92K
107.86%23.36K
124.72%291.14K
-291.14K
Financing cash flow
104.34%28.77M
247.07%7.85M
16,305.69%7.45M
4,016.32%6.72M
-41.94%6.74M
-13.58%14.08M
298.45%2.26M
115.29%45.44K
-99.09%163.27K
5,436.48%11.61M
Net cash flow
Beginning cash position
-22.61%65.84K
279.06%101.49K
-99.84%1.55K
-99.98%2.01K
-21.43%66.84K
-89.49%85.07K
-93.82%26.77K
-84.66%986.3K
1,326.14%8.26M
-92.30%85.07K
Current changes in cash
-104.98%-39.43K
-329.49%-75.08K
110.59%100.94K
99.99%-451
-100.79%-64.84K
97.35%-19.24K
109.39%32.72K
84.10%-953.18K
-218.39%-7.28M
1,654.95%8.18M
End cash Position
-59.89%26.41K
-59.89%26.41K
279.06%101.49K
-99.84%1.55K
-99.98%2.01K
-22.61%65.84K
-22.61%65.84K
-93.82%26.77K
-84.66%986.3K
1,326.14%8.26M
Free cash flow
-100.25%-28.56M
-322.72%-7.93M
-431.72%-7.1M
-165.05%-6.72M
20.08%-6.8M
42.58%-14.26M
79.95%-1.88M
63.62%-1.34M
77.94%-2.54M
-2,638.69%-8.51M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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(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(Q2)Sep 30, 2022(Q1)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 24.83%-37.62M63.13%-8.24M3.34%-13.68M20.06%-7.79M-107.76%-7.91M-211.36%-50.04M-158.32%-22.33M-512.55%-14.15M-123.35%-9.75M-406.78%-3.81M
Net income from continuing operations 60.52%-34.49M80.65%-10.93M-665.82%-14.99M38.45%-14.03M150.92%5.46M-727.72%-87.36M-376.32%-56.49M-42.40%2.65M-289.41%-22.8M-519.01%-10.72M
Operating gains losses -162.21%-25.31M-102.21%-815.88K85.82%-824.48K-129.95%-2.73M-5,420.65%-20.94M388.56%40.68M40,529.13%36.99M47.06%-5.81M562.57%9.11M108.94%393.53K
Depreciation and amortization 3,658.80%4.4M3,341.92%4.03M-121.62%-3.8M140.34%4.03M280.49%136.88K-66.27%117.15K-36.00%117.15K-3,304.64%-1.71M1,307.94%1.68M-85.59%35.98K
Other non cash items 233.82%7.38M130.71%1.22M123.58%2.04M35.63%3.32M-82.91%796.58K-210.35%-5.51M-284.57%-3.98M-517.05%-8.64M2,562.34%2.45M590.62%4.66M
Change In working capital 6,975.73%10.14M-154.18%-1.75M612.26%3.9M582.80%1.61M290.06%6.38M-112.07%-147.48K-203.57%-686.93K-152.51%-760.61K49.03%-334.42K798.67%1.63M
-Change in receivables 95.40%-7.74K133.00%55.51K-99.27%454-11.58%-59.8K53.49%-3.9K---168.23K---168.23K--61.98K-211.45%-53.59K82.56%-8.39K
-Change in prepaid assets 77.83%504.48K-185.97%-284K109.11%14.37K196.52%366.25K-16.84%407.87K124.07%283.69K95.42%330.34K75.42%-157.7K-172.69%-379.44K535.46%490.49K
-Change in payables and accrued expense 12,106.29%9.6M-195.37%-1.5M677.14%3.82M1,244.49%1.31M418.75%5.97M-92.97%78.66K-201.10%-507.45K-131.43%-662.14K108.16%97.24K487.80%1.15M
-Change in other current assets -118.67%-22.75K--------4.97%31.78K4.94%31.39K542.01%121.83K--------156.79%30.27K-43.88%29.91K
-Change in other current liabilities -------------7.51%-31.07K-7.51%-30.68K---------------28.9K---28.54K
-Change in other working capital 114.13%65.47K--4.04K-------------973.17%-463.43K----------------
Cash from discontinued investing activities -74.40%9.17M-98.32%344.86K-47.96%6.65M-85.23%1.07M123.50%1.11M2,393.48%35.82M3,679.50%20.5M777.26%12.78M351.27%7.25M-1,168.69%-4.71M
Operating cash flow -100.04%-28.45M-329.86%-7.89M-411.00%-7.03M-169.31%-6.72M20.08%-6.8M19.35%-14.22M80.09%-1.84M-61.13%-1.38M65.58%-2.5M-2,638.69%-8.51M
Investing cash flow
Cash flow from continuing investing activities -799.34%-360.4K4.29%-38.35K59.98%-322.05K99.56%-40.07K70.49%-40.07K83.30%-804.63K
Net PPE purchase and sale -175.50%-110.4K4.29%-38.35K-279.79%-72.05K--------99.44%-40.07K70.49%-40.07K101.42%40.07K--------
Net investment purchase and sale ---250K--0--------------0--0------------
Cash from discontinued investing activities
Investing cash flow -393.81%-360.4K90.28%-38.35K-185.31%-322.05K--0--0-80.14%122.67K-103.94%-394.56K107.79%377.49K-8.64%-4.94M203,231.96%5.08M
Financing cash flow
Cash flow from continuing financing activities 98.97%28.77M194.61%7.85M33,660.11%7.45M5,355.56%6.72M-43.36%6.74M-25.76%14.46M367.68%2.67M22.08K-100.67%-127.88K5,570.33%11.9M
Net issuance payments of debt --7.9M698.91%1.65M-30,164.45%-6.64M5,967.02%7.5M5,414.74%5.38M--0-63.67%207.06K--22.08K-21.03%-127.88K58.80%-101.27K
Net common stock issuance -3.50%1.66M-162.08%-1.06M--939.79K--0--1.78M-91.08%1.72M--1.72M--0--0--0
Net preferred stock issuance -111.48%-1.31M--0---100K--0---1.21M--11.37M---635K--0--12M--0
Proceeds from stock option exercised by employees --3.01M--------------0--0------------42,307.32%12M
Net other financing activities 1,170.51%17.51M--4.26M----------781.9K--1.38M----------------
Cash from discontinued financing activities 0000088.08%-379.57K76.44%-402.92K107.86%23.36K124.72%291.14K-291.14K
Financing cash flow 104.34%28.77M247.07%7.85M16,305.69%7.45M4,016.32%6.72M-41.94%6.74M-13.58%14.08M298.45%2.26M115.29%45.44K-99.09%163.27K5,436.48%11.61M
Net cash flow
Beginning cash position -22.61%65.84K279.06%101.49K-99.84%1.55K-99.98%2.01K-21.43%66.84K-89.49%85.07K-93.82%26.77K-84.66%986.3K1,326.14%8.26M-92.30%85.07K
Current changes in cash -104.98%-39.43K-329.49%-75.08K110.59%100.94K99.99%-451-100.79%-64.84K97.35%-19.24K109.39%32.72K84.10%-953.18K-218.39%-7.28M1,654.95%8.18M
End cash Position -59.89%26.41K-59.89%26.41K279.06%101.49K-99.84%1.55K-99.98%2.01K-22.61%65.84K-22.61%65.84K-93.82%26.77K-84.66%986.3K1,326.14%8.26M
Free cash flow -100.25%-28.56M-322.72%-7.93M-431.72%-7.1M-165.05%-6.72M20.08%-6.8M42.58%-14.26M79.95%-1.88M63.62%-1.34M77.94%-2.54M-2,638.69%-8.51M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes------------------
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