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USEG US Energy

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  • 0.928
  • -0.002-0.24%
Close Aug 23 16:00 ET
  • 0.922
  • -0.006-0.60%
Post 20:01 ET
26.02MMarket Cap-587P/E (TTM)

US Energy 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
-20.80%929K
-355.51%-603K
-49.79%5.47M
3.92%2.5M
-67.57%1.57M
-63.06%1.17M
-51.54%236K
7,222.88%10.9M
1,891.79%2.4M
745.28%4.84M
Net income from continuing operations
21.51%-1.97M
-664.80%-9.54M
-3,259.92%-32.36M
-993.65%-19.81M
-313.82%-8.79M
-2,161.48%-2.52M
63.15%-1.25M
45.59%-963K
-22.20%-1.81M
4,974.07%4.11M
Operating gains losses
170.08%253K
233.58%1.77M
-150.98%-2.94M
-396.33%-2.18M
123.32%928K
-109.26%-361K
-125.92%-1.33M
8,769.23%5.77M
3,988.89%736K
-5,278.38%-3.98M
Depreciation and amortization
-24.86%2.21M
-9.59%2.24M
16.29%11.41M
15.15%3.09M
12.15%2.91M
11.98%2.94M
29.42%2.47M
1,345.07%9.81M
1,257.07%2.69M
1,381.71%2.59M
Deferred tax
--0
--0
54.09%-882K
-179.78%-430K
---164K
-198.69%-226K
97.69%-62K
---1.92M
--539K
--0
Other non cash items
53.42%-34K
-56.14%-89K
86.71%-1.01M
89.00%-130K
60.64%-751K
98.38%-73K
-235.29%-57K
-6,083.74%-7.61M
-964.86%-1.18M
-3,793.88%-1.91M
Change In working capital
-99.63%3K
-125.00%-612K
-17.18%2.25M
38.35%1.4M
-90.66%323K
312.82%805K
86.02%-272K
508.28%2.72M
-11.88%1.01M
1,790.71%3.46M
-Change in receivables
127.93%186K
-78.34%248K
137.64%851K
-13.80%1.14M
-147.86%-771K
64.21%-666K
134.31%1.15M
-439.62%-2.26M
778.15%1.33M
545.03%1.61M
-Change in payables and accrued expense
-116.21%-208K
68.48%-463K
-85.22%714K
73.47%-39K
-29.77%939K
-36.98%1.28M
-191.58%-1.47M
566.21%4.83M
-114.95%-147K
255.59%1.34M
-Change in other current assets
-86.70%25K
-863.46%-397K
358.00%687K
271.76%292K
-69.73%155K
840.00%188K
124.53%52K
6.38%150K
-1,645.45%-170K
202.96%512K
Cash from discontinued investing activities
Operating cash flow
-20.80%929K
-355.51%-603K
-49.79%5.47M
3.92%2.5M
-67.57%1.57M
-63.06%1.17M
-51.54%236K
7,222.88%10.9M
1,891.79%2.4M
745.28%4.84M
Investing cash flow
Cash flow from continuing investing activities
-78.76%-2.52M
86.91%-179K
116.67%2.83M
3,793.71%6.19M
95.06%-590K
26.55%-1.41M
57.98%-1.37M
-409.74%-16.95M
106.84%159K
-9,450.40%-11.94M
Capital expenditure reported
48.51%-725K
89.47%-144K
41.79%-3.87M
43.91%-502K
84.18%-590K
-40.24%-1.41M
-34.81%-1.37M
-314.15%-6.64M
-699.11%-895K
-560.18%-3.73M
Net PPE purchase and sale
---1.93M
---35K
164.94%6.69M
535.01%6.69M
--0
--0
--0
-25,865.00%-10.31M
10,440.00%1.05M
---8.21M
Cash from discontinued investing activities
Investing cash flow
-78.76%-2.52M
86.91%-179K
116.67%2.83M
3,793.71%6.19M
95.06%-590K
26.55%-1.41M
57.98%-1.37M
-409.74%-16.95M
106.84%159K
-9,450.40%-11.94M
Financing cash flow
Cash flow from continuing financing activities
278.54%1.81M
34.46%-563K
-254.93%-9.36M
-488.49%-7.31M
-102.32%-179K
-324.79%-1.01M
-311.00%-859K
19.70%6.04M
-1,534.21%-1.24M
10,544.59%7.73M
Net issuance payments of debt
1,249.43%2M
44.64%-62K
-196.96%-7.65M
-725.52%-7.18M
-102.15%-179K
-150.88%-174K
-249.33%-112K
4,063.32%7.89M
-1,029.87%-870K
11,370.27%8.34M
Net common stock issuance
30.29%-168K
---396K
---368K
---127K
--0
---241K
--0
--0
--0
--0
Cash dividends paid
--0
--0
31.30%-1.19M
--0
--0
-3.11%-596K
---596K
---1.74M
---579K
---578K
Proceeds from stock option exercised by employees
----
----
--0
--0
----
----
----
--195K
--0
--0
Net other financing activities
---27K
30.46%-105K
50.81%-151K
--0
--0
--0
68.48%-151K
-707.89%-307K
20,600.00%207K
---33K
Cash from discontinued financing activities
Financing cash flow
278.54%1.81M
34.46%-563K
-254.93%-9.36M
-488.49%-7.31M
-102.32%-179K
-324.79%-1.01M
-311.00%-859K
19.70%6.04M
-1,534.21%-1.24M
10,544.59%7.73M
Net cash flow
Beginning cash position
-17.14%2.01M
-24.03%3.35M
-0.25%4.41M
-36.18%1.97M
-52.37%1.18M
67.31%2.42M
-0.25%4.41M
54.94%4.42M
-55.53%3.09M
-62.52%2.47M
Current changes in cash
117.42%217K
32.41%-1.35M
-9,536.36%-1.06M
4.48%1.38M
27.64%799K
-222.16%-1.25M
33.11%-1.99M
-100.70%-11K
152.03%1.32M
67.83%626K
End cash Position
89.19%2.22M
-17.14%2.01M
-24.03%3.35M
-24.03%3.35M
-36.18%1.97M
-52.37%1.18M
67.31%2.42M
-0.25%4.41M
-0.25%4.41M
-55.53%3.09M
Free cash flow
-740.00%-1.97M
30.86%-782K
119.14%1.61M
35.12%1.99M
113.73%978K
89.38%-235K
-114.61%-1.13M
-377.29%-8.39M
699.59%1.48M
-101,842.86%-7.12M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
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 -20.80%929K-355.51%-603K-49.79%5.47M3.92%2.5M-67.57%1.57M-63.06%1.17M-51.54%236K7,222.88%10.9M1,891.79%2.4M745.28%4.84M
Net income from continuing operations 21.51%-1.97M-664.80%-9.54M-3,259.92%-32.36M-993.65%-19.81M-313.82%-8.79M-2,161.48%-2.52M63.15%-1.25M45.59%-963K-22.20%-1.81M4,974.07%4.11M
Operating gains losses 170.08%253K233.58%1.77M-150.98%-2.94M-396.33%-2.18M123.32%928K-109.26%-361K-125.92%-1.33M8,769.23%5.77M3,988.89%736K-5,278.38%-3.98M
Depreciation and amortization -24.86%2.21M-9.59%2.24M16.29%11.41M15.15%3.09M12.15%2.91M11.98%2.94M29.42%2.47M1,345.07%9.81M1,257.07%2.69M1,381.71%2.59M
Deferred tax --0--054.09%-882K-179.78%-430K---164K-198.69%-226K97.69%-62K---1.92M--539K--0
Other non cash items 53.42%-34K-56.14%-89K86.71%-1.01M89.00%-130K60.64%-751K98.38%-73K-235.29%-57K-6,083.74%-7.61M-964.86%-1.18M-3,793.88%-1.91M
Change In working capital -99.63%3K-125.00%-612K-17.18%2.25M38.35%1.4M-90.66%323K312.82%805K86.02%-272K508.28%2.72M-11.88%1.01M1,790.71%3.46M
-Change in receivables 127.93%186K-78.34%248K137.64%851K-13.80%1.14M-147.86%-771K64.21%-666K134.31%1.15M-439.62%-2.26M778.15%1.33M545.03%1.61M
-Change in payables and accrued expense -116.21%-208K68.48%-463K-85.22%714K73.47%-39K-29.77%939K-36.98%1.28M-191.58%-1.47M566.21%4.83M-114.95%-147K255.59%1.34M
-Change in other current assets -86.70%25K-863.46%-397K358.00%687K271.76%292K-69.73%155K840.00%188K124.53%52K6.38%150K-1,645.45%-170K202.96%512K
Cash from discontinued investing activities
Operating cash flow -20.80%929K-355.51%-603K-49.79%5.47M3.92%2.5M-67.57%1.57M-63.06%1.17M-51.54%236K7,222.88%10.9M1,891.79%2.4M745.28%4.84M
Investing cash flow
Cash flow from continuing investing activities -78.76%-2.52M86.91%-179K116.67%2.83M3,793.71%6.19M95.06%-590K26.55%-1.41M57.98%-1.37M-409.74%-16.95M106.84%159K-9,450.40%-11.94M
Capital expenditure reported 48.51%-725K89.47%-144K41.79%-3.87M43.91%-502K84.18%-590K-40.24%-1.41M-34.81%-1.37M-314.15%-6.64M-699.11%-895K-560.18%-3.73M
Net PPE purchase and sale ---1.93M---35K164.94%6.69M535.01%6.69M--0--0--0-25,865.00%-10.31M10,440.00%1.05M---8.21M
Cash from discontinued investing activities
Investing cash flow -78.76%-2.52M86.91%-179K116.67%2.83M3,793.71%6.19M95.06%-590K26.55%-1.41M57.98%-1.37M-409.74%-16.95M106.84%159K-9,450.40%-11.94M
Financing cash flow
Cash flow from continuing financing activities 278.54%1.81M34.46%-563K-254.93%-9.36M-488.49%-7.31M-102.32%-179K-324.79%-1.01M-311.00%-859K19.70%6.04M-1,534.21%-1.24M10,544.59%7.73M
Net issuance payments of debt 1,249.43%2M44.64%-62K-196.96%-7.65M-725.52%-7.18M-102.15%-179K-150.88%-174K-249.33%-112K4,063.32%7.89M-1,029.87%-870K11,370.27%8.34M
Net common stock issuance 30.29%-168K---396K---368K---127K--0---241K--0--0--0--0
Cash dividends paid --0--031.30%-1.19M--0--0-3.11%-596K---596K---1.74M---579K---578K
Proceeds from stock option exercised by employees ----------0--0--------------195K--0--0
Net other financing activities ---27K30.46%-105K50.81%-151K--0--0--068.48%-151K-707.89%-307K20,600.00%207K---33K
Cash from discontinued financing activities
Financing cash flow 278.54%1.81M34.46%-563K-254.93%-9.36M-488.49%-7.31M-102.32%-179K-324.79%-1.01M-311.00%-859K19.70%6.04M-1,534.21%-1.24M10,544.59%7.73M
Net cash flow
Beginning cash position -17.14%2.01M-24.03%3.35M-0.25%4.41M-36.18%1.97M-52.37%1.18M67.31%2.42M-0.25%4.41M54.94%4.42M-55.53%3.09M-62.52%2.47M
Current changes in cash 117.42%217K32.41%-1.35M-9,536.36%-1.06M4.48%1.38M27.64%799K-222.16%-1.25M33.11%-1.99M-100.70%-11K152.03%1.32M67.83%626K
End cash Position 89.19%2.22M-17.14%2.01M-24.03%3.35M-24.03%3.35M-36.18%1.97M-52.37%1.18M67.31%2.42M-0.25%4.41M-0.25%4.41M-55.53%3.09M
Free cash flow -740.00%-1.97M30.86%-782K119.14%1.61M35.12%1.99M113.73%978K89.38%-235K-114.61%-1.13M-377.29%-8.39M699.59%1.48M-101,842.86%-7.12M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion with Explanatory Notes----

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