US Stock MarketDetailed Quotes

SBEV Splash Beverage

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  • 0.320
  • +0.038+13.33%
Close Jul 22 16:00 ET
  • 0.320
  • +0.000+0.06%
Post 19:32 ET
16.62MMarket Cap-652P/E (TTM)

Splash Beverage Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
68.13%-1.31M
27.43%-10.19M
47.59%-1.69M
46.68%-1.98M
0.56%-2.42M
12.23%-4.1M
4.47%-14.04M
-4.35%-3.22M
5.72%-3.72M
40.00%-2.43M
Net income from continuing operations
-25.25%-4.67M
3.17%-21M
-25.05%-5.99M
-10.23%-5.67M
2.58%-5.61M
37.79%-3.73M
25.34%-21.69M
18.45%-4.79M
58.56%-5.14M
8.85%-5.76M
Depreciation and amortization
3.53%135.23K
-41.67%545.98K
-77.42%142.03K
171.78%136.26K
169.42%137.07K
-36.56%130.62K
738.98%936.02K
7,698.07%629.12K
25.97%50.14K
1,336.39%50.88K
Other non cash items
257.48%886.86K
4,236.15%3.84M
3,917.07%1.33M
1,751.36%996.38K
17.37%1.26M
125.92%248.09K
1,322.10%88.47K
135.31%33.17K
---60.34K
--1.07M
Change In working capital
284.13%1.78M
859.67%5.26M
351.00%3.18M
431.92%1.99M
307.63%1.06M
-238.97%-968.99K
68.77%-692.75K
342.38%704.72K
44.99%-599.65K
-1,748.27%-511.95K
-Change in receivables
135.59%134.73K
232.08%921.48K
286.53%622.06K
230.90%441.82K
208.42%236.17K
-35.28%-378.57K
-10.81%-697.66K
-484.32%-333.5K
702.97%133.52K
47.48%-217.84K
-Change in inventory
35.43%780.76K
181.70%1.47M
578.18%654.99K
157.33%539.83K
48.36%-302.5K
531.83%576.51K
-59.78%-1.8M
65.12%-136.98K
-219.51%-941.59K
-59.42%-585.75K
-Change in prepaid assets
80.68%-139.92K
-0.09%238.08K
-58.27%148.13K
95.45%-12.35K
469.92%826.37K
-7,524.79%-724.07K
137.35%238.3K
175.63%355K
25.37%-271.44K
-16.01%145K
-Change in payables and accrued expense
327.75%1.01M
68.38%2.63M
113.74%1.75M
112.77%1.02M
106.57%302.92K
-476.18%-442.87K
794.73%1.56M
69.28%820.2K
207.05%479.87K
-74.80%146.64K
Cash from discontinued investing activities
0
93.65%-32.77K
Operating cash flow
68.13%-1.31M
27.60%-10.19M
48.12%-1.69M
46.68%-1.98M
8.97%-2.42M
7.81%-4.1M
7.49%-14.07M
3.87%-3.25M
5.19%-3.72M
37.54%-2.66M
Investing cash flow
Cash flow from continuing investing activities
0
86.26%-14.11K
97.38%-1.5K
0
-2.04K
-10.57K
-102.7K
-57.28K
-45.42K
0
Capital expenditure reported
--0
86.26%-14.11K
97.38%-1.5K
--0
---2.04K
---10.57K
---102.7K
---57.28K
---45.42K
--0
Cash from discontinued investing activities
Investing cash flow
--0
86.26%-14.11K
97.38%-1.5K
--0
---2.04K
---10.57K
---102.7K
---57.28K
---45.42K
--0
Financing cash flow
Cash flow from continuing financing activities
-48.05%950.64K
-57.45%6.15M
-61.63%1.98M
-46.92%1.15M
173.09%1.19M
-79.12%1.83M
-24.02%14.45M
984.03%5.16M
1,690.07%2.16M
-110.91%-1.63M
Net issuance payments of debt
-41.37%955.64K
63.33%5.57M
-65.61%1.6M
484.22%1.15M
336.38%1.19M
472.61%1.63M
557.38%3.41M
2,420.16%4.65M
-5.29%-298.04K
-806.18%-504.92K
Net common stock issuance
----
--0
--0
--0
----
----
-41.78%11.43M
--617.69K
--2.74M
-107.47%-1.13M
Net other financing activities
-102.50%-5K
248.53%580K
445.45%380K
--0
--0
--200K
-402.12%-390.5K
71.28%-110K
----
----
Cash from discontinued financing activities
0
0
Financing cash flow
-48.05%950.64K
-57.45%6.15M
-61.63%1.98M
-46.92%1.15M
173.09%1.19M
-79.12%1.83M
-24.02%14.45M
984.03%5.16M
1,690.07%2.16M
-110.91%-1.63M
Net cash flow
Beginning cash position
-91.43%379.98K
5.99%4.43M
-96.30%96.12K
-78.53%903.24K
-74.74%2.15M
5.99%4.43M
1,000.36%4.18M
-68.06%2.6M
-64.78%4.21M
593.30%8.5M
Current changes in cash
84.34%-357.78K
-1,597.47%-4.06M
-84.22%291.99K
47.88%-836.52K
71.40%-1.23M
-152.95%-2.28M
-92.88%270.83K
146.71%1.85M
57.76%-1.6M
-140.02%-4.29M
Effect of exchange rate changes
-362.21%-7.44K
119.00%3.89K
60.26%-8.14K
--29.41K
---15.77K
---1.61K
---20.47K
---20.47K
--0
--0
End cash Position
-99.31%14.76K
-91.43%379.98K
-91.43%379.98K
-96.30%96.12K
-78.53%903.24K
-74.74%2.15M
5.99%4.43M
5.99%4.43M
-68.06%2.6M
-64.78%4.21M
Free cash flow
68.21%-1.31M
28.02%-10.2M
48.97%-1.69M
47.33%-1.98M
8.89%-2.42M
7.57%-4.11M
6.82%-14.18M
2.17%-3.31M
4.03%-3.76M
37.54%-2.66M
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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(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(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 68.13%-1.31M27.43%-10.19M47.59%-1.69M46.68%-1.98M0.56%-2.42M12.23%-4.1M4.47%-14.04M-4.35%-3.22M5.72%-3.72M40.00%-2.43M
Net income from continuing operations -25.25%-4.67M3.17%-21M-25.05%-5.99M-10.23%-5.67M2.58%-5.61M37.79%-3.73M25.34%-21.69M18.45%-4.79M58.56%-5.14M8.85%-5.76M
Depreciation and amortization 3.53%135.23K-41.67%545.98K-77.42%142.03K171.78%136.26K169.42%137.07K-36.56%130.62K738.98%936.02K7,698.07%629.12K25.97%50.14K1,336.39%50.88K
Other non cash items 257.48%886.86K4,236.15%3.84M3,917.07%1.33M1,751.36%996.38K17.37%1.26M125.92%248.09K1,322.10%88.47K135.31%33.17K---60.34K--1.07M
Change In working capital 284.13%1.78M859.67%5.26M351.00%3.18M431.92%1.99M307.63%1.06M-238.97%-968.99K68.77%-692.75K342.38%704.72K44.99%-599.65K-1,748.27%-511.95K
-Change in receivables 135.59%134.73K232.08%921.48K286.53%622.06K230.90%441.82K208.42%236.17K-35.28%-378.57K-10.81%-697.66K-484.32%-333.5K702.97%133.52K47.48%-217.84K
-Change in inventory 35.43%780.76K181.70%1.47M578.18%654.99K157.33%539.83K48.36%-302.5K531.83%576.51K-59.78%-1.8M65.12%-136.98K-219.51%-941.59K-59.42%-585.75K
-Change in prepaid assets 80.68%-139.92K-0.09%238.08K-58.27%148.13K95.45%-12.35K469.92%826.37K-7,524.79%-724.07K137.35%238.3K175.63%355K25.37%-271.44K-16.01%145K
-Change in payables and accrued expense 327.75%1.01M68.38%2.63M113.74%1.75M112.77%1.02M106.57%302.92K-476.18%-442.87K794.73%1.56M69.28%820.2K207.05%479.87K-74.80%146.64K
Cash from discontinued investing activities 093.65%-32.77K
Operating cash flow 68.13%-1.31M27.60%-10.19M48.12%-1.69M46.68%-1.98M8.97%-2.42M7.81%-4.1M7.49%-14.07M3.87%-3.25M5.19%-3.72M37.54%-2.66M
Investing cash flow
Cash flow from continuing investing activities 086.26%-14.11K97.38%-1.5K0-2.04K-10.57K-102.7K-57.28K-45.42K0
Capital expenditure reported --086.26%-14.11K97.38%-1.5K--0---2.04K---10.57K---102.7K---57.28K---45.42K--0
Cash from discontinued investing activities
Investing cash flow --086.26%-14.11K97.38%-1.5K--0---2.04K---10.57K---102.7K---57.28K---45.42K--0
Financing cash flow
Cash flow from continuing financing activities -48.05%950.64K-57.45%6.15M-61.63%1.98M-46.92%1.15M173.09%1.19M-79.12%1.83M-24.02%14.45M984.03%5.16M1,690.07%2.16M-110.91%-1.63M
Net issuance payments of debt -41.37%955.64K63.33%5.57M-65.61%1.6M484.22%1.15M336.38%1.19M472.61%1.63M557.38%3.41M2,420.16%4.65M-5.29%-298.04K-806.18%-504.92K
Net common stock issuance ------0--0--0---------41.78%11.43M--617.69K--2.74M-107.47%-1.13M
Net other financing activities -102.50%-5K248.53%580K445.45%380K--0--0--200K-402.12%-390.5K71.28%-110K--------
Cash from discontinued financing activities 00
Financing cash flow -48.05%950.64K-57.45%6.15M-61.63%1.98M-46.92%1.15M173.09%1.19M-79.12%1.83M-24.02%14.45M984.03%5.16M1,690.07%2.16M-110.91%-1.63M
Net cash flow
Beginning cash position -91.43%379.98K5.99%4.43M-96.30%96.12K-78.53%903.24K-74.74%2.15M5.99%4.43M1,000.36%4.18M-68.06%2.6M-64.78%4.21M593.30%8.5M
Current changes in cash 84.34%-357.78K-1,597.47%-4.06M-84.22%291.99K47.88%-836.52K71.40%-1.23M-152.95%-2.28M-92.88%270.83K146.71%1.85M57.76%-1.6M-140.02%-4.29M
Effect of exchange rate changes -362.21%-7.44K119.00%3.89K60.26%-8.14K--29.41K---15.77K---1.61K---20.47K---20.47K--0--0
End cash Position -99.31%14.76K-91.43%379.98K-91.43%379.98K-96.30%96.12K-78.53%903.24K-74.74%2.15M5.99%4.43M5.99%4.43M-68.06%2.6M-64.78%4.21M
Free cash flow 68.21%-1.31M28.02%-10.2M48.97%-1.69M47.33%-1.98M8.89%-2.42M7.57%-4.11M6.82%-14.18M2.17%-3.31M4.03%-3.76M37.54%-2.66M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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