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SNV Sonoro Energy Ltd

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  • 0.110
  • +0.005+4.76%
15min DelayMarket Closed Nov 27 16:00 ET
24.93MMarket Cap-6875P/E (TTM)

Sonoro Energy Ltd 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
-81.19%-313.32K
-38,549.41%-2.24M
1,511.95%1.4M
3,485.60%2.23M
-7,921.15%-649.71K
-443.59%-172.92K
-190.51%-5.79K
12.81%-99.46K
-103.45%-65.95K
99.58%-8.1K
Net income from continuing operations
-108.20%-419.15K
-32.85%-361.04K
389.70%3.92M
50.75%-545.65K
-188.64%-371.06K
6,378.25%5.11M
-640.75%-271.77K
48.47%-1.35M
-755.51%-1.11M
93.80%-128.55K
Operating gains losses
100.00%45
-99.88%3
-731,701.09%-5.39M
100.41%21
-115.03%-3.15K
-71,706.48%-5.39M
110.11%2.44K
-104.24%-737
-230.16%-5.09K
38.19%20.98K
Depreciation and amortization
--96.91K
--41.74K
--0
--0
--0
--0
--0
5.92%19.82K
23.69%5.79K
0.00%4.68K
Remuneration paid in stock
-79.58%21.37K
481.10%21.37K
297.97%179.1K
778.20%35.37K
212.15%35.37K
834.06%104.69K
-80.05%3.68K
-74.50%45K
-83.08%4.03K
-74.48%11.33K
Other non cashItems
570.24%12.7K
-95.04%12.7K
-77.64%262.36K
-99.80%2.14K
-95.25%2.03K
-95.35%1.9K
637.73%256.3K
256.18%1.17M
157.17%1.06M
-97.86%42.62K
Change In working capital
-6,070.38%-25.2K
-54,947.47%-1.95M
13,714.35%2.43M
15,285.17%2.74M
-866.13%-312.89K
102.90%422
-62.07%3.56K
-77.83%17.61K
-127.54%-18.05K
461.03%40.84K
-Change in receivables
-206.18%-25.46K
-6,707.31%-274.67K
-41,369.50%-141.41K
-4,039.36%-117.68K
-1,094.02%-19.57K
-5,715.38%-8.32K
-2.96%4.16K
90.19%-341
-111.40%-2.84K
-243.77%-1.64K
-Change in prepaid assets
6,474.52%65.79K
2,342.62%58.45K
-968.09%-199.37K
-132.47%-7.73K
-5,919.99%-193K
-3,229.03%-1.03K
-0.79%2.39K
83.82%22.97K
1,738.50%23.79K
-108.32%-3.21K
-Change in payables and accrued expense
-715.13%-65.52K
-3,043.74%-1.63M
5,693.72%2.72M
2,771.95%2.76M
-180.62%-100.32K
131.82%10.65K
251.64%55.28K
-255.56%-48.68K
-331.01%-103.19K
86.18%124.43K
-Change in other current liabilities
--0
---109.14K
--109.14K
----
----
--0
--0
--0
----
----
-Change in other working capital
----
----
-235.49%-59.15K
--0
----
-104.62%-881
-248.86%-58.27K
11.64%43.66K
2,562.29%64.19K
-1.29%-78.75K
Cash from discontinued investing activities
Operating cash flow
-81.19%-313.32K
-38,549.41%-2.24M
1,511.95%1.4M
3,485.60%2.23M
-7,921.15%-649.71K
-443.59%-172.92K
-190.51%-5.79K
12.81%-99.46K
-512.81%-65.95K
70.78%-8.1K
Investing cash flow
Cash flow from continuing investing activities
-11,518.62%-121.65K
301.26K
-3.53M
-3.49M
-42.48K
-1.05K
0
0
0
0
Net PPE purchase and sale
---71.91K
---583.29K
---2.46M
---2.41M
---42.48K
--0
--0
--0
--0
--0
Net business purchase and sale
--0
----
---1.05K
----
----
---1.05K
----
--0
----
----
Net other investing changes
---49.74K
--884.54K
---1.08M
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-11,518.62%-121.65K
--301.26K
---3.53M
---3.49M
---42.48K
---1.05K
--0
--0
--0
--0
Financing cash flow
Cash flow from continuing financing activities
-34.48%327.59K
13,440.00%1.35M
2,846.59%3.05M
938.02%721.85K
5,730.66%1.81M
5,706.53%500K
269.00%10K
-12.68%103.36K
332.22%69.54K
450.70%31.13K
Net issuance payments of debt
----
----
2,666.30%660K
22,533.72%660K
--0
----
----
-7.23%-25.72K
-17.82%-2.94K
-5.27%-8.72K
Net common stock issuance
--0
----
1,622.60%1.94M
-434.99%-376.87K
--1.81M
--500K
----
-17.73%112.5K
516.87%112.5K
--0
Cash dividends paid
----
----
--0
--0
--0
----
----
--0
--0
--0
Proceeds from stock option exercised by employees
--327.59K
--1.35M
--437.67K
----
----
--0
--0
--0
----
----
Interest paid (cash flow from financing activities)
----
----
--0
--0
--0
----
----
65.58%-910
96.32%-17
74.07%-153
Net other financing activities
----
----
-42.82%10K
102.62%1.05K
----
----
--10K
--17.49K
---40K
--40K
Cash from discontinued financing activities
Financing cash flow
-34.48%327.59K
13,440.00%1.35M
2,846.59%3.05M
938.02%721.85K
5,730.66%1.81M
5,706.53%500K
269.00%10K
-12.68%103.36K
332.22%69.54K
450.70%31.13K
Net cash flow
Beginning cash position
279.86%455.28K
786.14%1.04M
5.06%117.12K
1,291.02%1.57M
396.88%447.6K
7.05%119.85K
5.06%117.12K
4.49%111.48K
-8.82%113.11K
-43.92%90.08K
Current changes in cash
-132.94%-107.38K
-13,937.17%-582.55K
23,445.59%917.34K
-15,012.36%-535.5K
4,775.56%1.12M
1,505.31%326.03K
777.08%4.21K
-9.21%3.9K
125.71%3.59K
162.91%23.03K
Effect of exchange rate changes
-102.63%-45
99.80%-3
93.13%3.37K
-105.01%-21
--3.15K
29.16%1.71K
---1.47K
247.81%1.75K
-70.05%419
--0
End cash Position
-22.28%347.85K
279.86%455.28K
786.14%1.04M
786.14%1.04M
1,291.02%1.57M
396.88%447.6K
7.05%119.85K
5.06%117.12K
5.06%117.12K
-8.82%113.11K
Free cash from
-122.77%-385.22K
-48,623.44%-2.82M
-957.53%-1.05M
-174.38%-180.96K
-8,445.63%-692.2K
-443.59%-172.92K
-190.51%-5.79K
12.81%-99.46K
-512.81%-65.95K
70.78%-8.1K
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(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 -81.19%-313.32K-38,549.41%-2.24M1,511.95%1.4M3,485.60%2.23M-7,921.15%-649.71K-443.59%-172.92K-190.51%-5.79K12.81%-99.46K-103.45%-65.95K99.58%-8.1K
Net income from continuing operations -108.20%-419.15K-32.85%-361.04K389.70%3.92M50.75%-545.65K-188.64%-371.06K6,378.25%5.11M-640.75%-271.77K48.47%-1.35M-755.51%-1.11M93.80%-128.55K
Operating gains losses 100.00%45-99.88%3-731,701.09%-5.39M100.41%21-115.03%-3.15K-71,706.48%-5.39M110.11%2.44K-104.24%-737-230.16%-5.09K38.19%20.98K
Depreciation and amortization --96.91K--41.74K--0--0--0--0--05.92%19.82K23.69%5.79K0.00%4.68K
Remuneration paid in stock -79.58%21.37K481.10%21.37K297.97%179.1K778.20%35.37K212.15%35.37K834.06%104.69K-80.05%3.68K-74.50%45K-83.08%4.03K-74.48%11.33K
Other non cashItems 570.24%12.7K-95.04%12.7K-77.64%262.36K-99.80%2.14K-95.25%2.03K-95.35%1.9K637.73%256.3K256.18%1.17M157.17%1.06M-97.86%42.62K
Change In working capital -6,070.38%-25.2K-54,947.47%-1.95M13,714.35%2.43M15,285.17%2.74M-866.13%-312.89K102.90%422-62.07%3.56K-77.83%17.61K-127.54%-18.05K461.03%40.84K
-Change in receivables -206.18%-25.46K-6,707.31%-274.67K-41,369.50%-141.41K-4,039.36%-117.68K-1,094.02%-19.57K-5,715.38%-8.32K-2.96%4.16K90.19%-341-111.40%-2.84K-243.77%-1.64K
-Change in prepaid assets 6,474.52%65.79K2,342.62%58.45K-968.09%-199.37K-132.47%-7.73K-5,919.99%-193K-3,229.03%-1.03K-0.79%2.39K83.82%22.97K1,738.50%23.79K-108.32%-3.21K
-Change in payables and accrued expense -715.13%-65.52K-3,043.74%-1.63M5,693.72%2.72M2,771.95%2.76M-180.62%-100.32K131.82%10.65K251.64%55.28K-255.56%-48.68K-331.01%-103.19K86.18%124.43K
-Change in other current liabilities --0---109.14K--109.14K----------0--0--0--------
-Change in other working capital ---------235.49%-59.15K--0-----104.62%-881-248.86%-58.27K11.64%43.66K2,562.29%64.19K-1.29%-78.75K
Cash from discontinued investing activities
Operating cash flow -81.19%-313.32K-38,549.41%-2.24M1,511.95%1.4M3,485.60%2.23M-7,921.15%-649.71K-443.59%-172.92K-190.51%-5.79K12.81%-99.46K-512.81%-65.95K70.78%-8.1K
Investing cash flow
Cash flow from continuing investing activities -11,518.62%-121.65K301.26K-3.53M-3.49M-42.48K-1.05K0000
Net PPE purchase and sale ---71.91K---583.29K---2.46M---2.41M---42.48K--0--0--0--0--0
Net business purchase and sale --0-------1.05K-----------1.05K------0--------
Net other investing changes ---49.74K--884.54K---1.08M----------------------------
Cash from discontinued investing activities
Investing cash flow -11,518.62%-121.65K--301.26K---3.53M---3.49M---42.48K---1.05K--0--0--0--0
Financing cash flow
Cash flow from continuing financing activities -34.48%327.59K13,440.00%1.35M2,846.59%3.05M938.02%721.85K5,730.66%1.81M5,706.53%500K269.00%10K-12.68%103.36K332.22%69.54K450.70%31.13K
Net issuance payments of debt --------2,666.30%660K22,533.72%660K--0---------7.23%-25.72K-17.82%-2.94K-5.27%-8.72K
Net common stock issuance --0----1,622.60%1.94M-434.99%-376.87K--1.81M--500K-----17.73%112.5K516.87%112.5K--0
Cash dividends paid ----------0--0--0----------0--0--0
Proceeds from stock option exercised by employees --327.59K--1.35M--437.67K----------0--0--0--------
Interest paid (cash flow from financing activities) ----------0--0--0--------65.58%-91096.32%-1774.07%-153
Net other financing activities ---------42.82%10K102.62%1.05K----------10K--17.49K---40K--40K
Cash from discontinued financing activities
Financing cash flow -34.48%327.59K13,440.00%1.35M2,846.59%3.05M938.02%721.85K5,730.66%1.81M5,706.53%500K269.00%10K-12.68%103.36K332.22%69.54K450.70%31.13K
Net cash flow
Beginning cash position 279.86%455.28K786.14%1.04M5.06%117.12K1,291.02%1.57M396.88%447.6K7.05%119.85K5.06%117.12K4.49%111.48K-8.82%113.11K-43.92%90.08K
Current changes in cash -132.94%-107.38K-13,937.17%-582.55K23,445.59%917.34K-15,012.36%-535.5K4,775.56%1.12M1,505.31%326.03K777.08%4.21K-9.21%3.9K125.71%3.59K162.91%23.03K
Effect of exchange rate changes -102.63%-4599.80%-393.13%3.37K-105.01%-21--3.15K29.16%1.71K---1.47K247.81%1.75K-70.05%419--0
End cash Position -22.28%347.85K279.86%455.28K786.14%1.04M786.14%1.04M1,291.02%1.57M396.88%447.6K7.05%119.85K5.06%117.12K5.06%117.12K-8.82%113.11K
Free cash from -122.77%-385.22K-48,623.44%-2.82M-957.53%-1.05M-174.38%-180.96K-8,445.63%-692.2K-443.59%-172.92K-190.51%-5.79K12.81%-99.46K-512.81%-65.95K70.78%-8.1K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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