US Stock MarketDetailed Quotes

TPHS Trinity Place Holdings

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  • 0.051
  • -0.009-15.00%
15min DelayTrading Aug 28 14:21 ET
3.27MMarket Cap-113P/E (TTM)

Trinity Place Holdings 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
38.56%-1.39M
-209.06%-4.45M
-505.18%-5.47M
18.77%-4.45M
-144.05%-2.85M
-45,180.00%-2.26M
989.07%4.08M
106.36%1.35M
-157.30%-5.48M
181.70%6.46M
Net income from continuing operations
91.45%-934K
229.27%8.06M
-88.59%-39.02M
-11.04%-9.98M
-87.12%-11.89M
-4,796.86%-10.92M
-21.54%-6.24M
0.55%-20.69M
-168.63%-8.98M
-76.08%-6.35M
Operating gains losses
-655.37%-672K
329.06%6.87M
50.75%-3.13M
109.47%41K
-527.54%-295K
102.11%121K
-1,063.18%-3M
-590.29%-6.36M
-479.82%-433K
104.31%69K
Depreciation and amortization
-99.79%4K
-42.07%1.1M
4.62%6.77M
-37.37%1.18M
-0.28%1.76M
40.09%1.94M
31.48%1.89M
17.14%6.47M
43.59%1.88M
39.29%1.77M
Other non cash items
--0
-11,170.52%-19.5M
17.08%5.39M
-26.68%3.38M
114,400.00%2.29M
-3,433.33%-106K
-4,225.00%-173K
152.03%4.6M
120.73%4.61M
50.00%-2K
Change In working capital
-97.90%138K
-109.10%-1.05M
56.75%24.06M
128.98%814K
-51.66%5.17M
92.25%6.57M
184.87%11.5M
246.26%15.35M
-131.01%-2.81M
345.62%10.7M
-Change in receivables
-105.56%-5K
-17,400.00%-173K
47.19%-94K
-12.50%-207K
178.57%22K
800.00%90K
-95.83%1K
-120.18%-178K
-3,580.00%-184K
-141.79%-28K
-Change in inventory
--0
-73.23%2.2M
18.74%18.52M
31.28%-1.14M
-19.91%9.28M
1.74%2.17M
131.71%8.22M
236.24%15.6M
-111.92%-1.66M
296.59%11.58M
-Change in prepaid assets
-86.89%116K
-92.06%60K
132.19%574K
251.88%1.5M
-119.69%-2.57M
2,781.82%885K
175.00%756K
-593.77%-1.78M
-27.67%426K
-55.94%-1.17M
-Change in payables and accrued expense
-99.21%27K
-224.16%-3.14M
195.50%5.06M
147.56%662K
-591.80%-1.56M
161.31%3.43M
71.30%2.53M
5.88%1.71M
66.52%-1.39M
-85.69%317K
Cash from discontinued investing activities
Operating cash flow
38.56%-1.39M
-209.06%-4.45M
-505.18%-5.47M
18.77%-4.45M
-144.05%-2.85M
-45,180.00%-2.26M
989.07%4.08M
106.36%1.35M
-157.30%-5.48M
181.70%6.46M
Investing cash flow
Cash flow from continuing investing activities
0
-195.74%-6.9M
-59.20%7.07M
-8K
-380.00%-120K
-100.08%-14K
11,367.19%7.21M
12,475.00%17.33M
0
10.71%-25K
Net business purchase and sale
--0
--0
-58.43%7.24M
--0
--0
--0
--7.24M
--17.42M
--0
--0
Net other investing changes
--0
---6.9M
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Cash from discontinued investing activities
Investing cash flow
--0
-195.74%-6.9M
-59.20%7.07M
---8K
-380.00%-120K
-100.08%-14K
11,367.19%7.21M
12,475.00%17.33M
--0
10.71%-25K
Financing cash flow
Cash flow from continuing financing activities
91.49%-90K
147.89%6.99M
28.70%-15.31M
-76.28%3.76M
69.42%-3.41M
93.64%-1.06M
-52.98%-14.6M
-171.19%-21.47M
488.72%15.86M
-203.38%-11.15M
Net issuance payments of debt
--0
117.48%2.53M
28.69%-15.1M
-76.04%3.8M
69.41%-3.41M
93.78%-1.04M
-56.23%-14.45M
-171.94%-21.18M
2,474.10%15.86M
-202.95%-11.15M
Net common stock issuance
---93K
--4.49M
--0
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--0
--0
--0
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Proceeds from stock option exercised by employees
111.54%3K
85.52%-21K
29.31%-205K
-3,900.00%-38K
--4K
---26K
50.17%-145K
21.62%-290K
--1K
--0
Cash from discontinued financing activities
Financing cash flow
91.49%-90K
147.89%6.99M
28.70%-15.31M
-76.28%3.76M
69.42%-3.41M
93.64%-1.06M
-52.98%-14.6M
-171.19%-21.47M
488.72%15.86M
-203.38%-11.15M
Net cash flow
Beginning cash position
-78.79%3.98M
-62.16%8.35M
-11.23%22.06M
-22.55%9.04M
-5.95%15.42M
20.10%18.75M
-11.23%22.06M
54.61%24.85M
-7.72%11.67M
67.34%16.39M
Current changes in cash
55.61%-1.48M
-32.17%-4.37M
-391.40%-13.71M
-106.69%-695K
-35.09%-6.38M
-528.79%-3.34M
64.21%-3.3M
-131.79%-2.79M
-14.87%10.38M
-265.35%-4.72M
End cash Position
-83.80%2.5M
-78.79%3.98M
-62.16%8.35M
-62.16%8.35M
-22.55%9.04M
-5.95%15.42M
20.10%18.75M
-11.23%22.06M
-11.23%22.06M
-7.72%11.67M
Free cash flow
38.56%-1.39M
-209.06%-4.45M
-505.18%-5.47M
18.77%-4.45M
-144.05%-2.85M
-45,180.00%-2.26M
989.07%4.08M
106.36%1.35M
-157.30%-5.48M
181.70%6.46M
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 38.56%-1.39M-209.06%-4.45M-505.18%-5.47M18.77%-4.45M-144.05%-2.85M-45,180.00%-2.26M989.07%4.08M106.36%1.35M-157.30%-5.48M181.70%6.46M
Net income from continuing operations 91.45%-934K229.27%8.06M-88.59%-39.02M-11.04%-9.98M-87.12%-11.89M-4,796.86%-10.92M-21.54%-6.24M0.55%-20.69M-168.63%-8.98M-76.08%-6.35M
Operating gains losses -655.37%-672K329.06%6.87M50.75%-3.13M109.47%41K-527.54%-295K102.11%121K-1,063.18%-3M-590.29%-6.36M-479.82%-433K104.31%69K
Depreciation and amortization -99.79%4K-42.07%1.1M4.62%6.77M-37.37%1.18M-0.28%1.76M40.09%1.94M31.48%1.89M17.14%6.47M43.59%1.88M39.29%1.77M
Other non cash items --0-11,170.52%-19.5M17.08%5.39M-26.68%3.38M114,400.00%2.29M-3,433.33%-106K-4,225.00%-173K152.03%4.6M120.73%4.61M50.00%-2K
Change In working capital -97.90%138K-109.10%-1.05M56.75%24.06M128.98%814K-51.66%5.17M92.25%6.57M184.87%11.5M246.26%15.35M-131.01%-2.81M345.62%10.7M
-Change in receivables -105.56%-5K-17,400.00%-173K47.19%-94K-12.50%-207K178.57%22K800.00%90K-95.83%1K-120.18%-178K-3,580.00%-184K-141.79%-28K
-Change in inventory --0-73.23%2.2M18.74%18.52M31.28%-1.14M-19.91%9.28M1.74%2.17M131.71%8.22M236.24%15.6M-111.92%-1.66M296.59%11.58M
-Change in prepaid assets -86.89%116K-92.06%60K132.19%574K251.88%1.5M-119.69%-2.57M2,781.82%885K175.00%756K-593.77%-1.78M-27.67%426K-55.94%-1.17M
-Change in payables and accrued expense -99.21%27K-224.16%-3.14M195.50%5.06M147.56%662K-591.80%-1.56M161.31%3.43M71.30%2.53M5.88%1.71M66.52%-1.39M-85.69%317K
Cash from discontinued investing activities
Operating cash flow 38.56%-1.39M-209.06%-4.45M-505.18%-5.47M18.77%-4.45M-144.05%-2.85M-45,180.00%-2.26M989.07%4.08M106.36%1.35M-157.30%-5.48M181.70%6.46M
Investing cash flow
Cash flow from continuing investing activities 0-195.74%-6.9M-59.20%7.07M-8K-380.00%-120K-100.08%-14K11,367.19%7.21M12,475.00%17.33M010.71%-25K
Net business purchase and sale --0--0-58.43%7.24M--0--0--0--7.24M--17.42M--0--0
Net other investing changes --0---6.9M--------------------------------
Cash from discontinued investing activities
Investing cash flow --0-195.74%-6.9M-59.20%7.07M---8K-380.00%-120K-100.08%-14K11,367.19%7.21M12,475.00%17.33M--010.71%-25K
Financing cash flow
Cash flow from continuing financing activities 91.49%-90K147.89%6.99M28.70%-15.31M-76.28%3.76M69.42%-3.41M93.64%-1.06M-52.98%-14.6M-171.19%-21.47M488.72%15.86M-203.38%-11.15M
Net issuance payments of debt --0117.48%2.53M28.69%-15.1M-76.04%3.8M69.41%-3.41M93.78%-1.04M-56.23%-14.45M-171.94%-21.18M2,474.10%15.86M-202.95%-11.15M
Net common stock issuance ---93K--4.49M--0----------0--0--0--------
Proceeds from stock option exercised by employees 111.54%3K85.52%-21K29.31%-205K-3,900.00%-38K--4K---26K50.17%-145K21.62%-290K--1K--0
Cash from discontinued financing activities
Financing cash flow 91.49%-90K147.89%6.99M28.70%-15.31M-76.28%3.76M69.42%-3.41M93.64%-1.06M-52.98%-14.6M-171.19%-21.47M488.72%15.86M-203.38%-11.15M
Net cash flow
Beginning cash position -78.79%3.98M-62.16%8.35M-11.23%22.06M-22.55%9.04M-5.95%15.42M20.10%18.75M-11.23%22.06M54.61%24.85M-7.72%11.67M67.34%16.39M
Current changes in cash 55.61%-1.48M-32.17%-4.37M-391.40%-13.71M-106.69%-695K-35.09%-6.38M-528.79%-3.34M64.21%-3.3M-131.79%-2.79M-14.87%10.38M-265.35%-4.72M
End cash Position -83.80%2.5M-78.79%3.98M-62.16%8.35M-62.16%8.35M-22.55%9.04M-5.95%15.42M20.10%18.75M-11.23%22.06M-11.23%22.06M-7.72%11.67M
Free cash flow 38.56%-1.39M-209.06%-4.45M-505.18%-5.47M18.77%-4.45M-144.05%-2.85M-45,180.00%-2.26M989.07%4.08M106.36%1.35M-157.30%-5.48M181.70%6.46M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------------

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