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TILT TILT Holdings Inc

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  • 0.015
  • 0.0000.00%
15min DelayMarket Closed Oct 4 15:54 ET
5.86MMarket Cap-54P/E (TTM)

TILT Holdings Inc 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
122.26%742K
-164.63%-2.44M
-37.68%5.37M
1,142.50%3.98M
-79.00%951K
-657.73%-3.33M
-10.21%3.77M
200.15%8.61M
106.86%320K
168.62%4.53M
Net income from continuing operations
-26.86%-35.95M
-98.34%-9.65M
40.62%-63.82M
69.97%-21.95M
44.79%-8.66M
-301.72%-28.34M
58.17%-4.87M
-205.94%-107.46M
-263.08%-73.09M
-1,629.34%-15.69M
Operating gains losses
--0
91.47%-717K
-93.63%3.81M
-80.78%11.94M
140.39%246K
100.56%22K
-488.58%-8.4M
142.84%59.76M
157.91%62.11M
-709.00%-609K
Depreciation and amortization
-15.12%5.68M
-4.95%5.68M
-1.51%24.14M
-6.96%5.73M
-5.31%5.74M
9.25%6.7M
-3.05%5.98M
3.55%24.51M
-0.84%6.15M
-1.93%6.06M
Asset impairment expenditure
55.00%15.73M
-97.92%12K
234.05%5.6M
26.83%-5.14M
-95.45%14K
41.46%10.15M
-52.55%576K
-63.24%1.68M
-253.84%-7.02M
--308K
Remuneration paid in stock
-114.16%-31K
-87.33%19K
505.39%677K
658.70%349K
56.38%-41K
5,575.00%219K
230.43%150K
11.17%-167K
-4.17%46K
68.56%-94K
Unrealized gains and losses of investment securities
--0
--1K
2,062.50%6.4M
--0
-99.49%1K
12,961.22%6.4M
--0
-66.78%296K
100.15%4K
103.86%198K
Remuneration paid in stock
100.98%23K
-63.48%107K
-150.05%-1.67M
-73.15%210K
-64.35%190K
-400.00%-2.36M
-76.10%293K
-12.54%3.33M
-44.06%782K
-37.22%533K
Deferred tax
289.45%6M
-338.14%-1.87M
-490.53%-5.03M
-122.86%-1.08M
-125.94%-1.57M
58.66%-3.17M
142.82%784K
109.29%1.29M
137.22%4.74M
424.05%6.04M
Other non cashItems
-57.58%3.95M
61.26%4.01M
96.45%15.28M
127.77%3.72M
-113.08%-244K
305.13%9.31M
25.68%2.49M
25.08%7.78M
-29.07%1.64M
3.15%1.87M
Change In working capital
335.60%5.34M
-100.53%-36K
13.43%19.98M
105.63%10.2M
-10.91%5.28M
-230.06%-2.27M
35.71%6.77M
176.02%17.61M
164.56%4.96M
163.89%5.92M
-Change in receivables
3,835.23%6.57M
-70.64%123K
38.21%8.1M
196.58%2.71M
-16.39%5.15M
84.68%-176K
-88.53%419K
133.26%5.86M
77.57%-2.8M
180.37%6.16M
-Change in inventory
62.34%6.82M
-158.16%-3.94M
653.45%12.45M
191.59%3.8M
-341.57%-2.34M
471.11%4.2M
13.57%6.78M
107.32%1.65M
-88.98%-4.15M
131.11%967K
-Change in prepaid assets
77.75%711K
405.00%366K
-47.07%-628K
2,128.00%557K
-707.88%-1.47M
154.13%400K
-360.87%-120K
-131.87%-427K
-96.61%25K
8.56%241K
-Change in payables and accrued expense
-15.66%-8.5M
641.89%5.26M
-102.66%-265K
-89.50%1.09M
375.61%5.29M
-259.91%-7.35M
122.92%709K
-42.64%9.94M
87.63%10.36M
-141.05%-1.92M
-Change in other working capital
-139.76%-262K
-81.48%-1.84M
-44.60%323K
33.36%2.04M
-389.60%-1.36M
296.99%659K
36.00%-1.02M
151.41%583K
20.54%1.53M
113.89%471K
Cash from discontinued investing activities
Operating cash flow
122.26%742K
-164.63%-2.44M
-37.68%5.37M
1,142.50%3.98M
-79.00%951K
-657.73%-3.33M
-10.21%3.77M
200.15%8.61M
106.86%320K
168.62%4.53M
Investing cash flow
Cash flow from continuing investing activities
75.37%-230K
-101.44%-185K
178.22%13.17M
91.66%-73K
217.33%1.36M
93.34%-934K
1,753.68%12.82M
-9,152.15%-16.84M
8.38%-875K
-778.79%-1.16M
Net PPE purchase and sale
-28.36%-258K
-101.49%-221K
194.41%14.29M
-26.57%-362K
97.13%-25K
98.51%-201K
3,148.16%14.88M
-726.49%-15.13M
61.30%-286K
-240.26%-871K
Net business purchase and sale
----
----
--1.4M
--0
----
----
----
--0
--0
----
Net other investing changes
103.82%28K
101.75%36K
-47.71%-2.52M
149.07%289K
95.16%-14K
-35.99%-733K
-617.42%-2.06M
-170.50%-1.7M
-172.69%-589K
18.13%-289K
Cash from discontinued investing activities
Investing cash flow
75.37%-230K
-101.44%-185K
178.22%13.17M
91.66%-73K
217.33%1.36M
93.34%-934K
1,753.68%12.82M
-9,152.15%-16.84M
8.38%-875K
-778.79%-1.16M
Financing cash flow
Cash flow from continuing financing activities
-142.38%-1.35M
118.92%2.82M
-490.78%-18.69M
73.20%-3.35M
83.08%-3.63M
-92.00%3.2M
-1,196.69%-14.9M
-26.57%4.78M
-382.80%-12.51M
-649.74%-21.47M
Net issuance payments of debt
-140.07%-1.35M
120.32%2.82M
-534.41%-20.78M
67.89%-4.02M
70.81%-6.27M
-91.54%3.38M
-1,107.14%-13.87M
-29.63%4.78M
-379.58%-12.51M
-598.10%-21.47M
Net other financing activities
----
----
--2.09M
--664K
--2.64M
---184K
---1.03M
----
----
----
Cash from discontinued financing activities
Financing cash flow
-142.38%-1.35M
118.92%2.82M
-490.78%-18.69M
73.20%-3.35M
83.08%-3.63M
-92.00%3.2M
-1,196.69%-14.9M
-26.57%4.78M
-382.80%-12.51M
-649.74%-21.47M
Net cash flow
Beginning cash position
-32.18%3.52M
-4.80%3.33M
-49.65%3.5M
-83.21%2.78M
-88.14%4.11M
-43.79%5.19M
-49.65%3.5M
-21.53%6.95M
103.35%16.57M
215.17%34.68M
Current changes in cash
21.53%-842K
-88.47%195K
95.53%-154K
104.20%549K
92.70%-1.32M
-104.22%-1.07M
-25.80%1.69M
-81.25%-3.44M
-993.64%-13.07M
-540.62%-18.1M
Effect of exchange rate changes
--0
-300.00%-8K
-40.00%-14K
--0
-125.00%-9K
0.00%-3K
-300.00%-2K
-25.00%-10K
-33.33%-4K
85.71%-4K
End cash Position
-34.91%2.68M
-32.18%3.52M
-4.80%3.33M
-4.80%3.33M
-83.21%2.78M
-88.14%4.11M
-43.79%5.19M
-49.65%3.5M
-49.65%3.5M
103.35%16.57M
Free cash from
113.69%484K
-172.90%-2.66M
171.27%4.65M
10,529.41%3.61M
-74.64%926K
74.62%-3.54M
-1.70%3.65M
44.01%-6.53M
100.63%34K
150.66%3.65M
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
--
--
(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 122.26%742K-164.63%-2.44M-37.68%5.37M1,142.50%3.98M-79.00%951K-657.73%-3.33M-10.21%3.77M200.15%8.61M106.86%320K168.62%4.53M
Net income from continuing operations -26.86%-35.95M-98.34%-9.65M40.62%-63.82M69.97%-21.95M44.79%-8.66M-301.72%-28.34M58.17%-4.87M-205.94%-107.46M-263.08%-73.09M-1,629.34%-15.69M
Operating gains losses --091.47%-717K-93.63%3.81M-80.78%11.94M140.39%246K100.56%22K-488.58%-8.4M142.84%59.76M157.91%62.11M-709.00%-609K
Depreciation and amortization -15.12%5.68M-4.95%5.68M-1.51%24.14M-6.96%5.73M-5.31%5.74M9.25%6.7M-3.05%5.98M3.55%24.51M-0.84%6.15M-1.93%6.06M
Asset impairment expenditure 55.00%15.73M-97.92%12K234.05%5.6M26.83%-5.14M-95.45%14K41.46%10.15M-52.55%576K-63.24%1.68M-253.84%-7.02M--308K
Remuneration paid in stock -114.16%-31K-87.33%19K505.39%677K658.70%349K56.38%-41K5,575.00%219K230.43%150K11.17%-167K-4.17%46K68.56%-94K
Unrealized gains and losses of investment securities --0--1K2,062.50%6.4M--0-99.49%1K12,961.22%6.4M--0-66.78%296K100.15%4K103.86%198K
Remuneration paid in stock 100.98%23K-63.48%107K-150.05%-1.67M-73.15%210K-64.35%190K-400.00%-2.36M-76.10%293K-12.54%3.33M-44.06%782K-37.22%533K
Deferred tax 289.45%6M-338.14%-1.87M-490.53%-5.03M-122.86%-1.08M-125.94%-1.57M58.66%-3.17M142.82%784K109.29%1.29M137.22%4.74M424.05%6.04M
Other non cashItems -57.58%3.95M61.26%4.01M96.45%15.28M127.77%3.72M-113.08%-244K305.13%9.31M25.68%2.49M25.08%7.78M-29.07%1.64M3.15%1.87M
Change In working capital 335.60%5.34M-100.53%-36K13.43%19.98M105.63%10.2M-10.91%5.28M-230.06%-2.27M35.71%6.77M176.02%17.61M164.56%4.96M163.89%5.92M
-Change in receivables 3,835.23%6.57M-70.64%123K38.21%8.1M196.58%2.71M-16.39%5.15M84.68%-176K-88.53%419K133.26%5.86M77.57%-2.8M180.37%6.16M
-Change in inventory 62.34%6.82M-158.16%-3.94M653.45%12.45M191.59%3.8M-341.57%-2.34M471.11%4.2M13.57%6.78M107.32%1.65M-88.98%-4.15M131.11%967K
-Change in prepaid assets 77.75%711K405.00%366K-47.07%-628K2,128.00%557K-707.88%-1.47M154.13%400K-360.87%-120K-131.87%-427K-96.61%25K8.56%241K
-Change in payables and accrued expense -15.66%-8.5M641.89%5.26M-102.66%-265K-89.50%1.09M375.61%5.29M-259.91%-7.35M122.92%709K-42.64%9.94M87.63%10.36M-141.05%-1.92M
-Change in other working capital -139.76%-262K-81.48%-1.84M-44.60%323K33.36%2.04M-389.60%-1.36M296.99%659K36.00%-1.02M151.41%583K20.54%1.53M113.89%471K
Cash from discontinued investing activities
Operating cash flow 122.26%742K-164.63%-2.44M-37.68%5.37M1,142.50%3.98M-79.00%951K-657.73%-3.33M-10.21%3.77M200.15%8.61M106.86%320K168.62%4.53M
Investing cash flow
Cash flow from continuing investing activities 75.37%-230K-101.44%-185K178.22%13.17M91.66%-73K217.33%1.36M93.34%-934K1,753.68%12.82M-9,152.15%-16.84M8.38%-875K-778.79%-1.16M
Net PPE purchase and sale -28.36%-258K-101.49%-221K194.41%14.29M-26.57%-362K97.13%-25K98.51%-201K3,148.16%14.88M-726.49%-15.13M61.30%-286K-240.26%-871K
Net business purchase and sale ----------1.4M--0--------------0--0----
Net other investing changes 103.82%28K101.75%36K-47.71%-2.52M149.07%289K95.16%-14K-35.99%-733K-617.42%-2.06M-170.50%-1.7M-172.69%-589K18.13%-289K
Cash from discontinued investing activities
Investing cash flow 75.37%-230K-101.44%-185K178.22%13.17M91.66%-73K217.33%1.36M93.34%-934K1,753.68%12.82M-9,152.15%-16.84M8.38%-875K-778.79%-1.16M
Financing cash flow
Cash flow from continuing financing activities -142.38%-1.35M118.92%2.82M-490.78%-18.69M73.20%-3.35M83.08%-3.63M-92.00%3.2M-1,196.69%-14.9M-26.57%4.78M-382.80%-12.51M-649.74%-21.47M
Net issuance payments of debt -140.07%-1.35M120.32%2.82M-534.41%-20.78M67.89%-4.02M70.81%-6.27M-91.54%3.38M-1,107.14%-13.87M-29.63%4.78M-379.58%-12.51M-598.10%-21.47M
Net other financing activities ----------2.09M--664K--2.64M---184K---1.03M------------
Cash from discontinued financing activities
Financing cash flow -142.38%-1.35M118.92%2.82M-490.78%-18.69M73.20%-3.35M83.08%-3.63M-92.00%3.2M-1,196.69%-14.9M-26.57%4.78M-382.80%-12.51M-649.74%-21.47M
Net cash flow
Beginning cash position -32.18%3.52M-4.80%3.33M-49.65%3.5M-83.21%2.78M-88.14%4.11M-43.79%5.19M-49.65%3.5M-21.53%6.95M103.35%16.57M215.17%34.68M
Current changes in cash 21.53%-842K-88.47%195K95.53%-154K104.20%549K92.70%-1.32M-104.22%-1.07M-25.80%1.69M-81.25%-3.44M-993.64%-13.07M-540.62%-18.1M
Effect of exchange rate changes --0-300.00%-8K-40.00%-14K--0-125.00%-9K0.00%-3K-300.00%-2K-25.00%-10K-33.33%-4K85.71%-4K
End cash Position -34.91%2.68M-32.18%3.52M-4.80%3.33M-4.80%3.33M-83.21%2.78M-88.14%4.11M-43.79%5.19M-49.65%3.5M-49.65%3.5M103.35%16.57M
Free cash from 113.69%484K-172.90%-2.66M171.27%4.65M10,529.41%3.61M-74.64%926K74.62%-3.54M-1.70%3.65M44.01%-6.53M100.63%34K150.66%3.65M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion----

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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