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TMHC
(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 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 172.84%6.74M | -9.24%168.15M | -57.49%6.19M | -23.25%353.13M | -7.12%162.55M | -118.33%-9.26M | 8.10%185.27M | -76.97%14.56M | -7.82%460.12M | 20.03%175.01M |
Net income from continuing operations | 110.29%12.23M | -28.70%18.28M | 315.23%41.35M | -906.51%-81.75M | -25.06%30.72M | 23.66%-118.9M | -52.32%25.64M | -136.34%-19.21M | -106.51%-8.12M | 14.11%41M |
Operating gains losses | 99.91%-2K | 116.14%66K | -162.35%-18.77M | 300.96%23.14M | 59.24%-4.39M | -198.23%-2.16M | 93.07%-409K | 920.82%30.1M | -138.78%-11.52M | -231.21%-10.77M |
Depreciation and amortization | 2.57%79.33M | 1.02%78.05M | 0.92%77.49M | 6.06%310.53M | 4.82%79.15M | 5.20%77.34M | 6.87%77.27M | 7.44%76.78M | 0.63%292.79M | -5.35%75.51M |
Deferred tax | 88.58%-6.3M | 45.65%-2.88M | -109.73%-5.78M | -136.94%-68.5M | 26.23%-5.3M | -279.35%-55.15M | -50.30%-5.29M | 24.84%-2.75M | -347.02%-28.91M | -71.22%-7.19M |
Other non cash items | 118.37%470K | 181.06%2.06M | -163.58%-3.81M | 61.77%-8.24M | 43.70%-1.69M | 50.96%-2.56M | 59.23%-2.54M | 79.60%-1.45M | 10.16%-21.55M | 84.24%-3.01M |
Change In working capital | 28.98%-82.36M | -17.48%71.37M | -20.02%-87.63M | -114.72%-42.51M | 17.92%59.98M | -66.00%-115.96M | 52.34%86.49M | -26.81%-73.02M | -129.79%-19.8M | 23.14%50.87M |
-Change in receivables | 232.76%5.05M | -176.33%-8.07M | 79.70%-2.23M | 10.75%-3.73M | 135.57%467K | -187.20%-3.8M | 339.73%10.57M | -289.59%-10.96M | -117.05%-4.18M | -334.88%-1.31M |
-Change in payables and accrued expense | 24.21%-92.25M | -10.04%73.32M | -26.15%-86.54M | -77.38%-54.58M | 21.13%54.25M | -49.51%-121.72M | 34.09%81.5M | -24.92%-68.61M | -210.68%-30.77M | 69.42%44.79M |
-Change in other current assets | -49.40%4.84M | 209.65%6.13M | -82.62%1.14M | 4.27%15.8M | -28.77%5.27M | 32.87%9.56M | -1,489.55%-5.59M | 4,073.89%6.55M | 6.97%15.15M | -48.35%7.39M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 172.84%6.74M | -9.24%168.15M | -57.49%6.19M | -23.25%353.13M | -7.12%162.55M | -118.33%-9.26M | 8.10%185.27M | -76.97%14.56M | -7.82%460.12M | 20.03%175.01M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 45.48%-64.91M | 28.11%-94.7M | 23.42%-87.59M | -4.92%-411.31M | 65.38%-46.16M | -10.31%-119.05M | -133.53%-131.73M | -21.22%-114.37M | -22.04%-392.02M | -21.77%-133.33M |
Capital expenditure reported | 46.28%-65M | 28.32%-94.82M | -46.06%-167.94M | 2.47%-417M | 63.87%-48.74M | -11.39%-121M | -48.12%-132.29M | -21.38%-114.98M | -10.81%-427.57M | -22.81%-134.9M |
Net PPE purchase and sale | -77.43%93K | -83.27%94K | -43.82%341K | 73.33%3.15M | 5.96%1.57M | 543.01%412K | 980.77%562K | 60.16%607K | 22.06%1.82M | 329.36%1.48M |
Net business purchase and sale | --0 | --0 | --40M | --0 | --0 | --0 | --0 | --0 | -46.76%33.07M | --32.53M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 45.48%-64.91M | 28.11%-94.7M | 23.42%-87.59M | -4.92%-411.31M | 65.38%-46.16M | -10.31%-119.05M | -133.53%-131.73M | -21.22%-114.37M | -22.04%-392.02M | -21.77%-133.33M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -116.04%-19.93M | 108.51%7.3M | -44.70%69.88M | 192.12%76.64M | -113.86%-88.25M | 215.29%124.28M | 18.11%-85.74M | 441.04%126.36M | 57.68%-83.2M | 12.48%-41.27M |
Net issuance payments of debt | -97.70%4.25M | 955.94%112.49M | -37.50%139.3M | 256.70%354.08M | -353.12%-63.66M | 146.54%184.2M | 142.07%10.65M | 801.64%222.89M | -52.27%99.26M | -78.99%25.15M |
Cash dividends paid | --0 | -1.48%-72.65M | -397,677.78%-35.8M | 24.87%-107.41M | 99.97%-10K | -0.59%-35.8M | 0.11%-71.59M | 91.43%-9K | -1.12%-142.95M | -0.45%-35.59M |
Proceeds from stock option exercised by employees | -30.53%330K | --0 | 2.84%326K | -41.69%733K | --0 | 46.15%475K | ---59K | 20.08%317K | 87.05%1.26M | --668K |
Net other financing activities | 0.33%-24.51M | -31.48%-32.55M | 64.94%-33.96M | -318.87%-170.76M | 21.96%-24.58M | -84,689.66%-24.59M | -220.76%-24.75M | -6,250.10%-96.84M | 84.55%-40.77M | 76.04%-31.5M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -116.04%-19.93M | 108.51%7.3M | -44.70%69.88M | 192.12%76.64M | -113.86%-88.25M | 215.29%124.28M | 18.11%-85.74M | 441.04%126.36M | 57.68%-83.2M | 12.48%-41.27M |
Net cash flow | ||||||||||
Beginning cash position | 244.71%131.49M | -27.87%50.74M | 42.15%62.26M | -25.64%43.8M | -21.37%34.12M | -37.88%38.15M | 37.59%70.35M | -25.64%43.8M | -24.03%58.9M | -37.79%43.39M |
Current changes in cash | -1,839.97%-78.1M | 350.77%80.75M | -143.41%-11.52M | 222.26%18.46M | 6,781.42%28.15M | 77.65%-4.03M | -413.36%-32.2M | 441.43%26.54M | 18.95%-15.1M | 103.77%409K |
End cash Position | 56.48%53.39M | 244.71%131.49M | -27.87%50.74M | 42.15%62.26M | 42.15%62.26M | -21.37%34.12M | -37.88%38.15M | 37.59%70.35M | -25.64%43.8M | -25.64%43.8M |
Free cash flow | 55.27%-58.26M | 38.41%73.33M | -61.07%-161.75M | -296.24%-63.87M | 183.78%113.82M | -124.08%-130.25M | -35.45%52.98M | -218.72%-100.42M | -71.27%32.55M | 11.54%40.11M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
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 | -- |