US Stock MarketDetailed Quotes

VIVK Vivakor

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  • 1.450
  • +0.050+3.57%
Close Oct 25 16:00 ET
42.45MMarket Cap-2843P/E (TTM)

Vivakor 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
4,962.58%1M
-43.38%-1.83M
81.54%-764.9K
110.69%73.79K
170.84%458.09K
98.94%-20.66K
-47.22%-1.28M
-42.79%-4.14M
-97.99%-690.32K
-29.48%-646.64K
Net income from continuing operations
-73.42%-3.33M
32.18%-1.91M
46.49%-10.84M
72.51%-3.44M
-50.42%-2.65M
63.23%-1.92M
-288.02%-2.82M
-179.06%-20.25M
-362.24%-12.53M
48.07%-1.76M
Operating gains losses
--0
---177.55K
-129.79%-438.1K
----
----
----
----
-1.84%1.47M
-29.73%300.39K
----
Depreciation and amortization
48.00%988.42K
28.62%1.01M
33.15%3.93M
84.79%1.66M
-27.03%817.06K
19.56%667.87K
109.08%784.52K
101.96%2.95M
143.22%900.08K
207.19%1.12M
Deferred tax
----
----
101.99%88.32K
----
----
----
----
-322.21%-4.44M
----
----
Other non cash items
----
----
36.65%-82.63K
---42.04K
---16.47K
---14.12K
---10K
-137.56%-130.43K
----
----
Change In working capital
77.46%2.51M
-528.99%-1.16M
400.57%3.82M
39.91%1.74M
535.62%387.81K
343.73%1.41M
46.67%270.7K
36.81%762.18K
807.76%1.25M
-121.23%-89.03K
-Change in receivables
156.97%703.31K
-230.41%-1.55M
-64.14%928.59K
-29.88%1.37M
-161.72%-399.37K
-20,196.71%-1.23M
18,778.66%1.19M
72,294.55%2.59M
195,494,600.00%1.95M
22,131.63%647.07K
-Change in inventory
-184.90%-17.39K
42.38%-13.15K
-98.43%2.55K
32.01%19.05K
-107.97%-14.16K
--20.48K
23.94%-22.82K
--162.15K
--14.43K
--177.72K
-Change in prepaid assets
59.76%-14.12K
-54.62%-91.39K
-172.38%-43.35K
-120.95%-7.53K
143.61%58.37K
---35.08K
---59.11K
--59.9K
--35.94K
--23.96K
-Change in payables and accrued expense
-0.81%2.03M
207.74%614.11K
264.65%3.11M
228.31%980.82K
169.67%652.03K
597.05%2.05M
-355.21%-570.01K
-449.97%-1.89M
-656.76%-764.43K
-321.68%-935.94K
-Change in other current assets
-143.49%-101.89K
-109.37%-25.87K
115.76%149.36K
31.72%-544.8K
518.63%183.83K
727.48%234.31K
305.63%276.02K
-507.94%-947.73K
-1,532.55%-797.9K
-126.97%-43.91K
-Change in other current liabilities
-124.49%-93.19K
83.27%-91.16K
-142.16%-331.91K
-109.29%-74.62K
-320.71%-92.88K
300.18%380.49K
-513.38%-544.9K
460.25%787.19K
1,542.36%803.36K
--42.08K
Cash from discontinued investing activities
Operating cash flow
4,962.58%1M
-43.38%-1.83M
81.54%-764.9K
110.69%73.79K
170.84%458.09K
98.94%-20.66K
-47.22%-1.28M
-42.79%-4.14M
-97.99%-690.32K
-29.48%-646.64K
Investing cash flow
Cash flow from continuing investing activities
-0.56%-1.15M
-16.41%-1.03M
-59.16%-3.71M
118.82%128.75K
-213.85%-1.82M
-30.65%-1.14M
-350.24%-883.82K
48.33%-2.33M
68.95%-684.03K
37.60%-578.7K
Net PPE purchase and sale
-0.56%-1.15M
-16.41%-1.03M
-33.63%-3.32M
176.12%520.67K
-168.04%-1.82M
-24.45%-1.14M
-328.42%-883.82K
41.34%-2.49M
65.38%-684.04K
26.85%-677.63K
Net business purchase and sale
----
----
---181.06K
----
----
----
----
--0
----
----
Net other investing changes
----
----
-238.34%-210.86K
----
----
----
----
--152.42K
--2
--96.47K
Cash from discontinued investing activities
Investing cash flow
-0.56%-1.15M
-16.41%-1.03M
-59.16%-3.71M
118.82%128.75K
-213.85%-1.82M
-30.65%-1.14M
-350.24%-883.82K
48.33%-2.33M
68.95%-684.03K
37.60%-578.7K
Financing cash flow
Cash flow from continuing financing activities
-148.06%-528.76K
71.82%2.88M
-75.02%2.04M
-1,959.44%-657.33K
-114.87%-80.67K
-6.02%1.1M
-73.86%1.68M
-4.07%8.17M
-95.89%35.35K
-45.47%542.55K
Net issuance payments of debt
-137.30%-528.76K
46.56%2.88M
-26.82%2.04M
-652.02%-1.68M
-57.86%333.66K
2.82%1.42M
529.04%1.97M
-67.47%2.79M
-66.77%303.96K
-20.43%791.75K
Net common stock issuance
----
----
--0
--0
----
----
----
--6.24M
--0
--0
Net other financing activities
----
----
----
----
-66.26%-414.33K
-52.56%-317.23K
-112.58%-289K
-1,465.29%-861.69K
---268.6K
---249.2K
Cash from discontinued financing activities
Financing cash flow
-148.06%-528.76K
71.82%2.88M
-75.02%2.04M
-1,959.44%-657.33K
-114.87%-80.67K
-6.02%1.1M
-73.86%1.68M
-4.07%8.17M
-95.89%35.35K
-45.47%542.55K
Net cash flow
Beginning cash position
-71.58%767.27K
-76.61%744.31K
113.08%3.18M
-73.48%1.2M
-49.31%2.64M
-60.57%2.7M
113.08%3.18M
274.46%1.49M
41.95%4.52M
43.88%5.2M
Current changes in cash
-985.27%-672.3K
104.76%22.97K
-244.37%-2.44M
66.04%-454.79K
-110.73%-1.44M
96.23%-61.95K
-109.02%-482.87K
54.28%1.69M
20.86%-1.34M
-58.10%-682.8K
End cash Position
-96.40%94.97K
-71.58%767.27K
-76.61%744.31K
-76.61%744.31K
-73.48%1.2M
-49.31%2.64M
-60.57%2.7M
113.08%3.18M
113.08%3.18M
41.95%4.52M
Free cash flow
87.65%-143.55K
-32.34%-2.86M
38.42%-4.09M
143.25%594.46K
-2.75%-1.36M
59.44%-1.16M
-101.28%-2.16M
10.54%-6.63M
46.13%-1.37M
7.36%-1.32M
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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Unqualified Opinion
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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 4,962.58%1M-43.38%-1.83M81.54%-764.9K110.69%73.79K170.84%458.09K98.94%-20.66K-47.22%-1.28M-42.79%-4.14M-97.99%-690.32K-29.48%-646.64K
Net income from continuing operations -73.42%-3.33M32.18%-1.91M46.49%-10.84M72.51%-3.44M-50.42%-2.65M63.23%-1.92M-288.02%-2.82M-179.06%-20.25M-362.24%-12.53M48.07%-1.76M
Operating gains losses --0---177.55K-129.79%-438.1K-----------------1.84%1.47M-29.73%300.39K----
Depreciation and amortization 48.00%988.42K28.62%1.01M33.15%3.93M84.79%1.66M-27.03%817.06K19.56%667.87K109.08%784.52K101.96%2.95M143.22%900.08K207.19%1.12M
Deferred tax --------101.99%88.32K-----------------322.21%-4.44M--------
Other non cash items --------36.65%-82.63K---42.04K---16.47K---14.12K---10K-137.56%-130.43K--------
Change In working capital 77.46%2.51M-528.99%-1.16M400.57%3.82M39.91%1.74M535.62%387.81K343.73%1.41M46.67%270.7K36.81%762.18K807.76%1.25M-121.23%-89.03K
-Change in receivables 156.97%703.31K-230.41%-1.55M-64.14%928.59K-29.88%1.37M-161.72%-399.37K-20,196.71%-1.23M18,778.66%1.19M72,294.55%2.59M195,494,600.00%1.95M22,131.63%647.07K
-Change in inventory -184.90%-17.39K42.38%-13.15K-98.43%2.55K32.01%19.05K-107.97%-14.16K--20.48K23.94%-22.82K--162.15K--14.43K--177.72K
-Change in prepaid assets 59.76%-14.12K-54.62%-91.39K-172.38%-43.35K-120.95%-7.53K143.61%58.37K---35.08K---59.11K--59.9K--35.94K--23.96K
-Change in payables and accrued expense -0.81%2.03M207.74%614.11K264.65%3.11M228.31%980.82K169.67%652.03K597.05%2.05M-355.21%-570.01K-449.97%-1.89M-656.76%-764.43K-321.68%-935.94K
-Change in other current assets -143.49%-101.89K-109.37%-25.87K115.76%149.36K31.72%-544.8K518.63%183.83K727.48%234.31K305.63%276.02K-507.94%-947.73K-1,532.55%-797.9K-126.97%-43.91K
-Change in other current liabilities -124.49%-93.19K83.27%-91.16K-142.16%-331.91K-109.29%-74.62K-320.71%-92.88K300.18%380.49K-513.38%-544.9K460.25%787.19K1,542.36%803.36K--42.08K
Cash from discontinued investing activities
Operating cash flow 4,962.58%1M-43.38%-1.83M81.54%-764.9K110.69%73.79K170.84%458.09K98.94%-20.66K-47.22%-1.28M-42.79%-4.14M-97.99%-690.32K-29.48%-646.64K
Investing cash flow
Cash flow from continuing investing activities -0.56%-1.15M-16.41%-1.03M-59.16%-3.71M118.82%128.75K-213.85%-1.82M-30.65%-1.14M-350.24%-883.82K48.33%-2.33M68.95%-684.03K37.60%-578.7K
Net PPE purchase and sale -0.56%-1.15M-16.41%-1.03M-33.63%-3.32M176.12%520.67K-168.04%-1.82M-24.45%-1.14M-328.42%-883.82K41.34%-2.49M65.38%-684.04K26.85%-677.63K
Net business purchase and sale -----------181.06K------------------0--------
Net other investing changes ---------238.34%-210.86K------------------152.42K--2--96.47K
Cash from discontinued investing activities
Investing cash flow -0.56%-1.15M-16.41%-1.03M-59.16%-3.71M118.82%128.75K-213.85%-1.82M-30.65%-1.14M-350.24%-883.82K48.33%-2.33M68.95%-684.03K37.60%-578.7K
Financing cash flow
Cash flow from continuing financing activities -148.06%-528.76K71.82%2.88M-75.02%2.04M-1,959.44%-657.33K-114.87%-80.67K-6.02%1.1M-73.86%1.68M-4.07%8.17M-95.89%35.35K-45.47%542.55K
Net issuance payments of debt -137.30%-528.76K46.56%2.88M-26.82%2.04M-652.02%-1.68M-57.86%333.66K2.82%1.42M529.04%1.97M-67.47%2.79M-66.77%303.96K-20.43%791.75K
Net common stock issuance ----------0--0--------------6.24M--0--0
Net other financing activities -----------------66.26%-414.33K-52.56%-317.23K-112.58%-289K-1,465.29%-861.69K---268.6K---249.2K
Cash from discontinued financing activities
Financing cash flow -148.06%-528.76K71.82%2.88M-75.02%2.04M-1,959.44%-657.33K-114.87%-80.67K-6.02%1.1M-73.86%1.68M-4.07%8.17M-95.89%35.35K-45.47%542.55K
Net cash flow
Beginning cash position -71.58%767.27K-76.61%744.31K113.08%3.18M-73.48%1.2M-49.31%2.64M-60.57%2.7M113.08%3.18M274.46%1.49M41.95%4.52M43.88%5.2M
Current changes in cash -985.27%-672.3K104.76%22.97K-244.37%-2.44M66.04%-454.79K-110.73%-1.44M96.23%-61.95K-109.02%-482.87K54.28%1.69M20.86%-1.34M-58.10%-682.8K
End cash Position -96.40%94.97K-71.58%767.27K-76.61%744.31K-76.61%744.31K-73.48%1.2M-49.31%2.64M-60.57%2.7M113.08%3.18M113.08%3.18M41.95%4.52M
Free cash flow 87.65%-143.55K-32.34%-2.86M38.42%-4.09M143.25%594.46K-2.75%-1.36M59.44%-1.16M-101.28%-2.16M10.54%-6.63M46.13%-1.37M7.36%-1.32M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion----

Analysis

Analyst Rating

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Price Target

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