US Stock MarketDetailed Quotes

VOXR Vox Royalty

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  • 2.480
  • -0.050-1.98%
Close Dec 13 16:00 ET
125.47MMarket Cap-112.73P/E (TTM)

Vox Royalty Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
55.36%2.11M
87.83%2.01M
142.42%1.21M
157.48%5.27M
38.10%2.34M
40.72%1.36M
609.84%1.07M
223.51%500.02K
166.44%2.05M
302.09%1.7M
Net income from continuing operations
-110.28%-107.61K
-588.62%-333.59K
64.57%-241.39K
-130.81%-101.11K
-902.82%-417.96K
1,146.76%1.05M
-111.20%-48.44K
-183.39%-681.24K
107.94%328.18K
101.20%52.06K
Operating gains losses
100.51%885
100.38%3.73K
-98.90%9.26K
74.96%-424.15K
-137.27%-113.49K
48.27%-174.98K
-386.66%-974.48K
459.26%838.79K
-24.02%-1.69M
-110.53%-47.83K
Depreciation and amortization
30.20%587.19K
80.19%778.01K
-22.30%514.26K
24.06%2.52M
73.75%970.81K
-41.00%451K
22.75%431.78K
87.71%661.88K
75.37%2.03M
32.89%558.73K
Deferred tax
-110.02%-56.32K
-95.64%23.56K
-75.01%150.95K
51.19%1.89M
77.73%181.53K
-31.04%561.95K
27.25%540K
750.52%604.09K
-28.37%1.25M
-94.14%102.14K
Other non cash items
--80.18K
--80.21K
--73.71K
----
----
----
----
----
----
----
Change In working capital
284.89%1.24M
95.76%721.11K
103.12%50.1K
-87.56%-1.72M
-75.86%186.23K
11.94%-671.05K
222.92%368.36K
-155.79%-1.6M
-150.78%-917.48K
-48.27%771.43K
-Change in receivables
133.06%485.39K
-103.49%-36.25K
114.71%232.96K
-3.64%-1.51M
-51.05%507.37K
-18.78%-1.47M
256.25%1.04M
-168.12%-1.58M
-365.54%-1.45M
27.20%1.04M
-Change in prepaid assets
58.58%131.65K
-78.91%41.14K
449.28%92.97K
92.78%-15.76K
33.31%-267.25K
-20.91%83.02K
1,372.80%195.09K
-141.50%-26.62K
-251.36%-218.37K
-293.45%-400.74K
-Change in payables and accrued expense
-12.69%623.67K
182.87%716.23K
-4,452.08%-275.84K
-126.15%-197.52K
-139.74%-53.89K
93.43%714.35K
-346.15%-864.32K
106.30%6.34K
-42.82%755.46K
-82.58%135.59K
Cash from discontinued investing activities
Operating cash flow
55.36%2.11M
87.83%2.01M
142.42%1.21M
157.48%5.27M
38.10%2.34M
40.72%1.36M
609.84%1.07M
223.51%500.02K
166.44%2.05M
302.09%1.7M
Investing cash flow
Cash flow from continuing investing activities
99.58%-18.44K
-44,963.46%-3.14M
105.90%3.11K
-101.98%-5.33M
-27.87%-921.69K
-416.14%-4.35M
99.83%-6.97K
-106.35%-52.75K
71.77%-2.64M
-13,055.92%-720.81K
Net PPE purchase and sale
----
----
---31.14K
----
----
----
----
--0
----
----
Net intangibles purchase and sale
99.88%-5.5K
-44,877.48%-3.13M
----
-57.63%-5.5M
-39.89%-1.01M
-425.80%-4.49M
99.83%-6.97K
----
62.73%-3.49M
-7,488.64%-719.58K
Net business purchase and sale
-285.73%-12.94K
---6.02K
--0
----
----
637.58%6.97K
--0
---52.75K
----
----
Net investment purchase and sale
----
----
----
--0
----
----
----
----
--1.55M
--0
Net other investing changes
----
--25
--34.26K
123.21%162.49K
--32.19K
--130.31K
----
----
---700K
--0
Cash from discontinued investing activities
Investing cash flow
99.58%-18.44K
-44,963.46%-3.14M
105.90%3.11K
-101.98%-5.33M
-27.87%-921.69K
-416.14%-4.35M
99.83%-6.97K
-106.35%-52.75K
71.77%-2.64M
-13,055.92%-720.81K
Financing cash flow
Cash flow from continuing financing activities
-415.95%-594.27K
-110.36%-628.19K
-119.77%-983.66K
1,428.41%5.25M
-23.75%-551.86K
170.09%188.09K
4,237.42%6.06M
-349.71%-447.58K
-103.71%-395.28K
-3,169.35%-445.94K
Net issuance payments of debt
----
---24.94K
----
----
----
----
--0
----
----
----
Net common stock issuance
--0
--0
----
1,938.12%8.35M
--0
505.81%1.09M
6,112.22%7.26M
----
-103.92%-454.21K
100.00%1
Cash dividends paid
-8.19%-573.03K
-11.43%-553.13K
-22.85%-549.84K
-350.83%-2.01M
-20.37%-536.76K
---529.67K
---496.4K
---447.58K
---445.94K
---445.94K
Proceeds from stock option exercised by employees
----
----
----
--0
----
----
----
----
990.94%532.42K
--0
Net other financing activities
----
92.85%-50.13K
---433.82K
-3,848.21%-1.09M
---15.1K
---371.24K
-2,445.80%-701.32K
----
97.20%-27.55K
--0
Cash from discontinued financing activities
Financing cash flow
-415.95%-594.27K
-110.36%-628.19K
-119.77%-983.66K
1,428.41%5.25M
-23.75%-551.86K
170.09%188.09K
4,237.42%6.06M
-349.71%-447.58K
-103.71%-395.28K
-3,169.35%-445.94K
Net cash flow
Beginning cash position
-30.82%7.8M
129.58%9.57M
123.80%9.34M
-17.58%4.17M
131.43%8.46M
635.93%11.28M
-25.88%4.17M
-17.58%4.17M
60.59%5.06M
-21.75%3.66M
Current changes in cash
153.48%1.5M
-124.68%-1.76M
74,572.03%231.61K
625.06%5.19M
64.14%868.24K
-235.18%-2.8M
269.76%7.13M
-100.05%-311
-148.03%-988.33K
31.39%528.97K
Effect of exchange rate changes
94.17%-885
71.59%-3.73K
-17.66%-9.26K
-121.46%-21.07K
257.20%15.12K
-131.21%-15.17K
-112.16%-13.15K
83.91%-7.87K
166.82%98.19K
-2.21%-9.62K
End cash Position
9.95%9.3M
-30.82%7.8M
129.58%9.57M
123.80%9.34M
123.80%9.34M
131.43%8.46M
635.93%11.28M
-25.88%4.17M
-17.58%4.17M
-17.58%4.17M
Free cash flow
167.32%2.11M
-205.81%-1.12M
136.19%1.18M
91.54%-224.13K
13.01%1.34M
-436.63%-3.13M
124.41%1.06M
223.51%500.02K
69.20%-2.65M
182.13%1.18M
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
--
--
--
--
Unqualified Opinion
--
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 55.36%2.11M87.83%2.01M142.42%1.21M157.48%5.27M38.10%2.34M40.72%1.36M609.84%1.07M223.51%500.02K166.44%2.05M302.09%1.7M
Net income from continuing operations -110.28%-107.61K-588.62%-333.59K64.57%-241.39K-130.81%-101.11K-902.82%-417.96K1,146.76%1.05M-111.20%-48.44K-183.39%-681.24K107.94%328.18K101.20%52.06K
Operating gains losses 100.51%885100.38%3.73K-98.90%9.26K74.96%-424.15K-137.27%-113.49K48.27%-174.98K-386.66%-974.48K459.26%838.79K-24.02%-1.69M-110.53%-47.83K
Depreciation and amortization 30.20%587.19K80.19%778.01K-22.30%514.26K24.06%2.52M73.75%970.81K-41.00%451K22.75%431.78K87.71%661.88K75.37%2.03M32.89%558.73K
Deferred tax -110.02%-56.32K-95.64%23.56K-75.01%150.95K51.19%1.89M77.73%181.53K-31.04%561.95K27.25%540K750.52%604.09K-28.37%1.25M-94.14%102.14K
Other non cash items --80.18K--80.21K--73.71K----------------------------
Change In working capital 284.89%1.24M95.76%721.11K103.12%50.1K-87.56%-1.72M-75.86%186.23K11.94%-671.05K222.92%368.36K-155.79%-1.6M-150.78%-917.48K-48.27%771.43K
-Change in receivables 133.06%485.39K-103.49%-36.25K114.71%232.96K-3.64%-1.51M-51.05%507.37K-18.78%-1.47M256.25%1.04M-168.12%-1.58M-365.54%-1.45M27.20%1.04M
-Change in prepaid assets 58.58%131.65K-78.91%41.14K449.28%92.97K92.78%-15.76K33.31%-267.25K-20.91%83.02K1,372.80%195.09K-141.50%-26.62K-251.36%-218.37K-293.45%-400.74K
-Change in payables and accrued expense -12.69%623.67K182.87%716.23K-4,452.08%-275.84K-126.15%-197.52K-139.74%-53.89K93.43%714.35K-346.15%-864.32K106.30%6.34K-42.82%755.46K-82.58%135.59K
Cash from discontinued investing activities
Operating cash flow 55.36%2.11M87.83%2.01M142.42%1.21M157.48%5.27M38.10%2.34M40.72%1.36M609.84%1.07M223.51%500.02K166.44%2.05M302.09%1.7M
Investing cash flow
Cash flow from continuing investing activities 99.58%-18.44K-44,963.46%-3.14M105.90%3.11K-101.98%-5.33M-27.87%-921.69K-416.14%-4.35M99.83%-6.97K-106.35%-52.75K71.77%-2.64M-13,055.92%-720.81K
Net PPE purchase and sale -----------31.14K------------------0--------
Net intangibles purchase and sale 99.88%-5.5K-44,877.48%-3.13M-----57.63%-5.5M-39.89%-1.01M-425.80%-4.49M99.83%-6.97K----62.73%-3.49M-7,488.64%-719.58K
Net business purchase and sale -285.73%-12.94K---6.02K--0--------637.58%6.97K--0---52.75K--------
Net investment purchase and sale --------------0------------------1.55M--0
Net other investing changes ------25--34.26K123.21%162.49K--32.19K--130.31K-----------700K--0
Cash from discontinued investing activities
Investing cash flow 99.58%-18.44K-44,963.46%-3.14M105.90%3.11K-101.98%-5.33M-27.87%-921.69K-416.14%-4.35M99.83%-6.97K-106.35%-52.75K71.77%-2.64M-13,055.92%-720.81K
Financing cash flow
Cash flow from continuing financing activities -415.95%-594.27K-110.36%-628.19K-119.77%-983.66K1,428.41%5.25M-23.75%-551.86K170.09%188.09K4,237.42%6.06M-349.71%-447.58K-103.71%-395.28K-3,169.35%-445.94K
Net issuance payments of debt -------24.94K------------------0------------
Net common stock issuance --0--0----1,938.12%8.35M--0505.81%1.09M6,112.22%7.26M-----103.92%-454.21K100.00%1
Cash dividends paid -8.19%-573.03K-11.43%-553.13K-22.85%-549.84K-350.83%-2.01M-20.37%-536.76K---529.67K---496.4K---447.58K---445.94K---445.94K
Proceeds from stock option exercised by employees --------------0----------------990.94%532.42K--0
Net other financing activities ----92.85%-50.13K---433.82K-3,848.21%-1.09M---15.1K---371.24K-2,445.80%-701.32K----97.20%-27.55K--0
Cash from discontinued financing activities
Financing cash flow -415.95%-594.27K-110.36%-628.19K-119.77%-983.66K1,428.41%5.25M-23.75%-551.86K170.09%188.09K4,237.42%6.06M-349.71%-447.58K-103.71%-395.28K-3,169.35%-445.94K
Net cash flow
Beginning cash position -30.82%7.8M129.58%9.57M123.80%9.34M-17.58%4.17M131.43%8.46M635.93%11.28M-25.88%4.17M-17.58%4.17M60.59%5.06M-21.75%3.66M
Current changes in cash 153.48%1.5M-124.68%-1.76M74,572.03%231.61K625.06%5.19M64.14%868.24K-235.18%-2.8M269.76%7.13M-100.05%-311-148.03%-988.33K31.39%528.97K
Effect of exchange rate changes 94.17%-88571.59%-3.73K-17.66%-9.26K-121.46%-21.07K257.20%15.12K-131.21%-15.17K-112.16%-13.15K83.91%-7.87K166.82%98.19K-2.21%-9.62K
End cash Position 9.95%9.3M-30.82%7.8M129.58%9.57M123.80%9.34M123.80%9.34M131.43%8.46M635.93%11.28M-25.88%4.17M-17.58%4.17M-17.58%4.17M
Free cash flow 167.32%2.11M-205.81%-1.12M136.19%1.18M91.54%-224.13K13.01%1.34M-436.63%-3.13M124.41%1.06M223.51%500.02K69.20%-2.65M182.13%1.18M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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