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SPGC Sacks Parente Golf

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  • 1.660
  • -0.030-1.78%
Close Nov 26 16:00 ET
  • 1.660
  • 0.0000.00%
Post 16:35 ET
3.03MMarket Cap-461P/E (TTM)

Sacks Parente Golf Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
68.79%-1.09M
-837.01%-1.19M
-518.82%-1.15M
-542.93%-5.05M
-491.43%-1.24M
-1,064.00%-3.49M
15.33%-127K
-48.80%-186K
-359.06%-785K
-233.33%-210K
Net income from continuing operations
11.45%-1.06M
-71.88%-1.16M
-30.10%-1.19M
-31.95%-4.63M
-251.63%-1.84M
-118.43%-1.2M
70.66%-672K
-536.81%-917K
-1,060.60%-3.51M
-468.48%-523K
Operating gains losses
----
----
----
----
----
----
----
----
--574K
--0
Depreciation and amortization
1,220.00%66K
840.00%47K
900.00%50K
427.27%58K
760.00%43K
66.67%5K
66.67%5K
--5K
--11K
--5K
Other non cash items
123.53%8K
-73.33%8K
-74.07%7K
-60.00%30K
-84.78%7K
-278.95%-34K
--30K
--27K
--75K
--46K
Change In working capital
92.79%-175K
-151.01%-176K
-117.31%-67K
-282.27%-1.2M
110.26%492K
-1,384.13%-2.43M
49.35%345K
6,350.00%387K
658.62%660K
680.00%234K
-Change in receivables
-40.00%-14K
-1,076.92%-127K
221.05%23K
-666.67%-51K
-683.33%-35K
-433.33%-10K
-61.76%13K
44.12%-19K
190.00%9K
175.00%6K
-Change in inventory
-62.64%-148K
-14,000.00%-141K
-278.26%-41K
-111.29%-131K
-21.57%-62K
-2,933.33%-91K
-150.00%-1K
330.00%23K
-313.79%-62K
-1,375.00%-51K
-Change in prepaid assets
79.82%-154K
425.00%63K
-3,900.00%-38K
-6,100.00%-180K
1,865.52%570K
---763K
160.00%12K
116.67%1K
118.75%3K
45.00%29K
-Change in payables and accrued expense
109.63%148K
-89.32%33K
-99.27%3K
-212.52%-791K
-88.74%26K
-860.89%-1.54M
43.72%309K
647.27%411K
757.32%703K
2,210.00%231K
-Change in other current liabilities
0.00%-7K
55.56%-4K
-50.00%-12K
-181.82%-31K
-250.00%-7K
-133.33%-7K
-50.00%-9K
---8K
---11K
-200.00%-2K
-Change in other working capital
--0
--0
90.48%-2K
-205.56%-19K
--0
----
----
-2,200.00%-21K
800.00%18K
--21K
Cash from discontinued investing activities
Operating cash flow
68.79%-1.09M
-837.01%-1.19M
-518.82%-1.15M
-542.93%-5.05M
-491.43%-1.24M
-1,064.00%-3.49M
15.33%-127K
-48.80%-186K
-359.06%-785K
-233.33%-210K
Investing cash flow
Cash flow from continuing investing activities
-180.61%-275K
-2,700.00%-84K
-104K
-285.33%-289K
-188K
-145.00%-98K
-3K
0
-75K
0
Net PPE purchase and sale
-180.61%-275K
-3,400.00%-105K
---83K
-285.33%-289K
---188K
-145.00%-98K
---3K
--0
---75K
--0
Net intangibles purchase and sale
----
----
---21K
----
----
----
----
--0
----
----
Cash from discontinued investing activities
Investing cash flow
-180.61%-275K
-2,700.00%-84K
---104K
-285.33%-289K
---188K
-145.00%-98K
---3K
--0
---75K
--0
Financing cash flow
Cash flow from continuing financing activities
-101.04%-108K
-121.10%-23K
0
1,140.02%10.5M
0
12,075.29%10.35M
-65.40%109K
-78.67%45K
232.16%847K
202.56%236K
Net issuance payments of debt
----
----
----
-231.57%-921K
--0
----
----
----
174.51%700K
220.51%250K
Net common stock issuance
--0
--0
--0
2,568.81%11.21M
--0
--11.03M
-45.45%120K
-70.00%60K
--420K
--0
Net other financing activities
-144.81%-108K
----
----
178.75%215K
--0
1,706.67%241K
89.42%-11K
89.29%-15K
---273K
---14K
Cash from discontinued financing activities
Financing cash flow
-101.04%-108K
-121.10%-23K
--0
1,140.02%10.5M
--0
12,075.29%10.35M
-65.40%109K
-78.67%45K
232.16%847K
202.56%236K
Net cash flow
Beginning cash position
30,855.56%2.79M
13,510.00%4.08M
3,021.64%5.34M
-7.07%171K
4,567.59%6.77M
-97.75%9K
-88.89%30K
-7.07%171K
84.00%184K
-14.20%145K
Current changes in cash
-121.79%-1.47M
-6,076.19%-1.3M
-790.07%-1.26M
39,846.15%5.17M
-5,600.00%-1.43M
2,750.59%6.76M
-116.15%-21K
-263.95%-141K
-115.48%-13K
73.33%26K
End cash Position
-80.60%1.31M
30,855.56%2.79M
13,510.00%4.08M
3,021.64%5.34M
3,021.64%5.34M
4,567.59%6.77M
-97.75%9K
-88.89%30K
-7.07%171K
-7.07%171K
Free cash flow
61.98%-1.37M
-880.00%-1.27M
-574.73%-1.26M
-520.47%-5.34M
-580.95%-1.43M
-955.88%-3.59M
29.73%-130K
-48.80%-186K
-402.92%-860K
-233.33%-210K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 68.79%-1.09M-837.01%-1.19M-518.82%-1.15M-542.93%-5.05M-491.43%-1.24M-1,064.00%-3.49M15.33%-127K-48.80%-186K-359.06%-785K-233.33%-210K
Net income from continuing operations 11.45%-1.06M-71.88%-1.16M-30.10%-1.19M-31.95%-4.63M-251.63%-1.84M-118.43%-1.2M70.66%-672K-536.81%-917K-1,060.60%-3.51M-468.48%-523K
Operating gains losses ----------------------------------574K--0
Depreciation and amortization 1,220.00%66K840.00%47K900.00%50K427.27%58K760.00%43K66.67%5K66.67%5K--5K--11K--5K
Other non cash items 123.53%8K-73.33%8K-74.07%7K-60.00%30K-84.78%7K-278.95%-34K--30K--27K--75K--46K
Change In working capital 92.79%-175K-151.01%-176K-117.31%-67K-282.27%-1.2M110.26%492K-1,384.13%-2.43M49.35%345K6,350.00%387K658.62%660K680.00%234K
-Change in receivables -40.00%-14K-1,076.92%-127K221.05%23K-666.67%-51K-683.33%-35K-433.33%-10K-61.76%13K44.12%-19K190.00%9K175.00%6K
-Change in inventory -62.64%-148K-14,000.00%-141K-278.26%-41K-111.29%-131K-21.57%-62K-2,933.33%-91K-150.00%-1K330.00%23K-313.79%-62K-1,375.00%-51K
-Change in prepaid assets 79.82%-154K425.00%63K-3,900.00%-38K-6,100.00%-180K1,865.52%570K---763K160.00%12K116.67%1K118.75%3K45.00%29K
-Change in payables and accrued expense 109.63%148K-89.32%33K-99.27%3K-212.52%-791K-88.74%26K-860.89%-1.54M43.72%309K647.27%411K757.32%703K2,210.00%231K
-Change in other current liabilities 0.00%-7K55.56%-4K-50.00%-12K-181.82%-31K-250.00%-7K-133.33%-7K-50.00%-9K---8K---11K-200.00%-2K
-Change in other working capital --0--090.48%-2K-205.56%-19K--0---------2,200.00%-21K800.00%18K--21K
Cash from discontinued investing activities
Operating cash flow 68.79%-1.09M-837.01%-1.19M-518.82%-1.15M-542.93%-5.05M-491.43%-1.24M-1,064.00%-3.49M15.33%-127K-48.80%-186K-359.06%-785K-233.33%-210K
Investing cash flow
Cash flow from continuing investing activities -180.61%-275K-2,700.00%-84K-104K-285.33%-289K-188K-145.00%-98K-3K0-75K0
Net PPE purchase and sale -180.61%-275K-3,400.00%-105K---83K-285.33%-289K---188K-145.00%-98K---3K--0---75K--0
Net intangibles purchase and sale -----------21K------------------0--------
Cash from discontinued investing activities
Investing cash flow -180.61%-275K-2,700.00%-84K---104K-285.33%-289K---188K-145.00%-98K---3K--0---75K--0
Financing cash flow
Cash flow from continuing financing activities -101.04%-108K-121.10%-23K01,140.02%10.5M012,075.29%10.35M-65.40%109K-78.67%45K232.16%847K202.56%236K
Net issuance payments of debt -------------231.57%-921K--0------------174.51%700K220.51%250K
Net common stock issuance --0--0--02,568.81%11.21M--0--11.03M-45.45%120K-70.00%60K--420K--0
Net other financing activities -144.81%-108K--------178.75%215K--01,706.67%241K89.42%-11K89.29%-15K---273K---14K
Cash from discontinued financing activities
Financing cash flow -101.04%-108K-121.10%-23K--01,140.02%10.5M--012,075.29%10.35M-65.40%109K-78.67%45K232.16%847K202.56%236K
Net cash flow
Beginning cash position 30,855.56%2.79M13,510.00%4.08M3,021.64%5.34M-7.07%171K4,567.59%6.77M-97.75%9K-88.89%30K-7.07%171K84.00%184K-14.20%145K
Current changes in cash -121.79%-1.47M-6,076.19%-1.3M-790.07%-1.26M39,846.15%5.17M-5,600.00%-1.43M2,750.59%6.76M-116.15%-21K-263.95%-141K-115.48%-13K73.33%26K
End cash Position -80.60%1.31M30,855.56%2.79M13,510.00%4.08M3,021.64%5.34M3,021.64%5.34M4,567.59%6.77M-97.75%9K-88.89%30K-7.07%171K-7.07%171K
Free cash flow 61.98%-1.37M-880.00%-1.27M-574.73%-1.26M-520.47%-5.34M-580.95%-1.43M-955.88%-3.59M29.73%-130K-48.80%-186K-402.92%-860K-233.33%-210K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

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