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SFRX SEAFARER EXPLORATION CORP

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  • 0.006
  • +0.000+1.72%
15min DelayClose Oct 18 16:00 ET
50.88MMarket Cap0.00P/E (TTM)

SEAFARER EXPLORATION CORP 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
-48.56%-771.01K
-61.07%-833.83K
-16.31%-2.31M
-28.36%-645.01K
-54.88%-632K
-18.45%-519K
19.17%-517.68K
-15.95%-1.99M
-11.21%-502.51K
20.91%-408.06K
Net income from continuing operations
-59.67%-980.6K
-32.35%-1.31M
-21.56%-3.18M
-48.79%-820.62K
-13.43%-754.52K
5.73%-614.13K
-32.46%-991.37K
0.34%-2.62M
30.80%-551.54K
-9.99%-665.18K
Operating gains losses
--34.42K
--154.41K
-81.11%24.35K
----
----
----
----
5.83%128.95K
22.70%22.7K
----
Depreciation and amortization
39.91%17.1K
46.51%16.98K
203.97%66.45K
922.38%55.87K
-342.16%-13.23K
123.62%12.22K
112.04%11.59K
0.00%21.86K
0.00%5.47K
0.00%5.47K
Other non cash items
561.40%259.6K
-43.31%212K
75.33%827.78K
-2.78%301.33K
183.57%113.23K
-13.55%39.25K
386.61%373.97K
48.78%472.13K
63.42%309.95K
-22.81%39.93K
Change In working capital
-52.54%-40.2K
-0.79%33.52K
-1,256.60%-51.62K
76.66%-17.89K
-198.91%-41.17K
-126.54%-26.35K
156.49%33.79K
-99.01%4.46K
-140.65%-76.62K
411.71%41.62K
-Change in prepaid assets
---15K
--5.04K
-601.37%-15.04K
---15.04K
--0
--0
--0
-97.50%3K
--0
--0
-Change in payables and accrued expense
66.31%-8.88K
-2.78%32.85K
-1,379.97%-18.73K
119.59%15.01K
-198.91%-41.17K
-127.37%-26.35K
156.49%33.79K
-99.22%1.46K
-145.77%-76.62K
302.73%41.62K
-Change in other current liabilities
---16.32K
---4.37K
---17.85K
----
----
--0
--0
--0
----
----
Cash from discontinued investing activities
Operating cash flow
-48.56%-771.01K
-61.07%-833.83K
-16.31%-2.31M
-33.73%-672.03K
-48.25%-604.97K
-18.45%-519K
19.17%-517.68K
-15.95%-1.99M
-11.21%-502.51K
20.91%-408.06K
Investing cash flow
Cash flow from continuing investing activities
0
0
0
2K
0
0
-1,279.31%-2K
-100.73%-145
0
-94.64%991
Net PPE purchase and sale
--0
--0
--0
--2K
--0
--0
-1,279.31%-2K
---145
--0
--991
Cash from discontinued investing activities
Investing cash flow
--0
--0
--0
--2K
--0
--0
-1,279.31%-2K
-100.73%-145
--0
-94.64%991
Financing cash flow
Cash flow from continuing financing activities
88.79%759.58K
38.22%712.67K
31.54%2.74M
23.56%795.14K
139.73%1.03M
1.09%402.34K
-16.02%515.61K
31.09%2.08M
34.47%643.53K
2.60%429.42K
Net issuance payments of debt
5,117.04%155.83K
5,035.11%394.17K
2,227.48%698.24K
--479.24K
157.47%224K
142.67%2.99K
84.03%-7.99K
-44.44%30K
--0
1,187.50%87K
Net common stock issuance
51.18%603.75K
-39.45%318.5K
-0.43%2.05M
-51.44%315.9K
139.78%805.45K
-1.40%399.35K
-20.78%526K
34.33%2.06M
54.10%650.53K
-20.12%335.92K
Net other financing activities
----
----
-380.00%-2.4K
--0
--0
--0
---2.4K
-107.81%-500
-1,850.00%-7K
----
Cash from discontinued financing activities
Financing cash flow
88.79%759.58K
38.22%712.67K
31.54%2.74M
23.56%795.14K
139.73%1.03M
1.09%402.34K
-16.02%515.61K
31.09%2.08M
34.47%643.53K
2.60%429.42K
Net cash flow
Beginning cash position
179.85%485.1K
241.73%606.27K
116.88%177.41K
1,222.08%481.16K
303.46%56.67K
214.00%173.34K
116.88%177.41K
-56.23%81.8K
-32.12%36.39K
-89.40%14.05K
Current changes in cash
90.21%-11.43K
-2,878.49%-121.17K
348.56%428.86K
-11.28%125.11K
1,799.51%424.48K
-183.47%-116.67K
84.71%-4.07K
190.99%95.61K
400.37%141.02K
128.32%22.35K
End cash Position
735.79%473.68K
179.85%485.1K
241.73%606.27K
241.73%606.27K
1,222.08%481.16K
303.46%56.67K
214.00%173.34K
116.88%177.41K
116.88%177.41K
-32.12%36.39K
Free cash flow
-48.56%-771.01K
-60.45%-833.83K
-16.30%-2.31M
-33.34%-670.03K
-48.61%-604.97K
-18.18%-519K
18.88%-519.68K
-15.96%-1.99M
-11.21%-502.51K
21.10%-407.07K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
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(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 -48.56%-771.01K-61.07%-833.83K-16.31%-2.31M-28.36%-645.01K-54.88%-632K-18.45%-519K19.17%-517.68K-15.95%-1.99M-11.21%-502.51K20.91%-408.06K
Net income from continuing operations -59.67%-980.6K-32.35%-1.31M-21.56%-3.18M-48.79%-820.62K-13.43%-754.52K5.73%-614.13K-32.46%-991.37K0.34%-2.62M30.80%-551.54K-9.99%-665.18K
Operating gains losses --34.42K--154.41K-81.11%24.35K----------------5.83%128.95K22.70%22.7K----
Depreciation and amortization 39.91%17.1K46.51%16.98K203.97%66.45K922.38%55.87K-342.16%-13.23K123.62%12.22K112.04%11.59K0.00%21.86K0.00%5.47K0.00%5.47K
Other non cash items 561.40%259.6K-43.31%212K75.33%827.78K-2.78%301.33K183.57%113.23K-13.55%39.25K386.61%373.97K48.78%472.13K63.42%309.95K-22.81%39.93K
Change In working capital -52.54%-40.2K-0.79%33.52K-1,256.60%-51.62K76.66%-17.89K-198.91%-41.17K-126.54%-26.35K156.49%33.79K-99.01%4.46K-140.65%-76.62K411.71%41.62K
-Change in prepaid assets ---15K--5.04K-601.37%-15.04K---15.04K--0--0--0-97.50%3K--0--0
-Change in payables and accrued expense 66.31%-8.88K-2.78%32.85K-1,379.97%-18.73K119.59%15.01K-198.91%-41.17K-127.37%-26.35K156.49%33.79K-99.22%1.46K-145.77%-76.62K302.73%41.62K
-Change in other current liabilities ---16.32K---4.37K---17.85K----------0--0--0--------
Cash from discontinued investing activities
Operating cash flow -48.56%-771.01K-61.07%-833.83K-16.31%-2.31M-33.73%-672.03K-48.25%-604.97K-18.45%-519K19.17%-517.68K-15.95%-1.99M-11.21%-502.51K20.91%-408.06K
Investing cash flow
Cash flow from continuing investing activities 0002K00-1,279.31%-2K-100.73%-1450-94.64%991
Net PPE purchase and sale --0--0--0--2K--0--0-1,279.31%-2K---145--0--991
Cash from discontinued investing activities
Investing cash flow --0--0--0--2K--0--0-1,279.31%-2K-100.73%-145--0-94.64%991
Financing cash flow
Cash flow from continuing financing activities 88.79%759.58K38.22%712.67K31.54%2.74M23.56%795.14K139.73%1.03M1.09%402.34K-16.02%515.61K31.09%2.08M34.47%643.53K2.60%429.42K
Net issuance payments of debt 5,117.04%155.83K5,035.11%394.17K2,227.48%698.24K--479.24K157.47%224K142.67%2.99K84.03%-7.99K-44.44%30K--01,187.50%87K
Net common stock issuance 51.18%603.75K-39.45%318.5K-0.43%2.05M-51.44%315.9K139.78%805.45K-1.40%399.35K-20.78%526K34.33%2.06M54.10%650.53K-20.12%335.92K
Net other financing activities ---------380.00%-2.4K--0--0--0---2.4K-107.81%-500-1,850.00%-7K----
Cash from discontinued financing activities
Financing cash flow 88.79%759.58K38.22%712.67K31.54%2.74M23.56%795.14K139.73%1.03M1.09%402.34K-16.02%515.61K31.09%2.08M34.47%643.53K2.60%429.42K
Net cash flow
Beginning cash position 179.85%485.1K241.73%606.27K116.88%177.41K1,222.08%481.16K303.46%56.67K214.00%173.34K116.88%177.41K-56.23%81.8K-32.12%36.39K-89.40%14.05K
Current changes in cash 90.21%-11.43K-2,878.49%-121.17K348.56%428.86K-11.28%125.11K1,799.51%424.48K-183.47%-116.67K84.71%-4.07K190.99%95.61K400.37%141.02K128.32%22.35K
End cash Position 735.79%473.68K179.85%485.1K241.73%606.27K241.73%606.27K1,222.08%481.16K303.46%56.67K214.00%173.34K116.88%177.41K116.88%177.41K-32.12%36.39K
Free cash flow -48.56%-771.01K-60.45%-833.83K-16.30%-2.31M-33.34%-670.03K-48.61%-604.97K-18.18%-519K18.88%-519.68K-15.96%-1.99M-11.21%-502.51K21.10%-407.07K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --------------Unqualified Opinion with Explanatory Notes----

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Price Target

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