US Stock MarketDetailed Quotes

VSQTF VICTORY SQUARE TECHNOLOGIES INC

Watchlist
  • 0.217306
  • -0.012594-5.48%
15min DelayTrading Dec 26 10:34 ET
21.64MMarket Cap-31.04P/E (TTM)

VICTORY SQUARE TECHNOLOGIES INC 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
70.60%-370.13K
150.67%388.02K
-0.36%-370.57K
11.94%-3.18M
-46.73%-782.54K
-356.57%-1.26M
-9.36%-765.82K
82.40%-369.24K
52.03%-3.61M
-85,096.65%-533.33K
Net income from continuing operations
513.76%10.66M
-39.14%-1.74M
23.47%-838.97K
39.17%-17.39M
15.77%-12.46M
25.82%-2.58M
78.32%-1.25M
75.83%-1.1M
-47.13%-28.59M
4.16%-14.79M
Operating gains losses
-2,073.98%-7.45M
132.32%469.31K
-247.56%-80.57K
-87.38%68.4K
-231.23%-487.99K
917.62%377.57K
32.10%202K
-136.64%-23.18K
106.50%541.88K
-93.71%371.86K
Depreciation and amortization
-90.88%60.04K
-24.31%496.68K
-91.81%59.5K
-3.05%2.83M
-17.37%791.08K
-0.83%658.56K
0.06%656.17K
12.75%726.26K
12.56%2.92M
-53.11%957.36K
Deferred tax
--0
--0
--0
-10.02%-356.56K
-13.49%-273.12K
0.00%-28.12K
0.00%-27.81K
0.00%-27.51K
-227.27%-324.1K
-143.01%-240.65K
Other non cash items
28.84%323.85K
46.00%399.65K
-40.79%148.94K
-68.30%1.55M
-78.71%777.21K
-13.61%251.35K
-58.77%273.73K
-14.74%251.56K
300.36%4.9M
264.98%3.65M
Change In working capital
-848.49%-486.25K
-79.57%124.24K
155.78%120.21K
-0.90%1.78M
94.92%1.32M
-84.22%64.96K
-49.60%608.18K
57.17%-215.49K
14,661.86%1.79M
-17.91%675.88K
-Change in receivables
-262.46%-97.32K
34.85%-67.89K
182.96%35.86K
-138.18%-75.17K
-43.47%99.11K
8.34%-26.85K
-119.87%-104.21K
90.87%-43.22K
186.48%196.91K
1,416.63%175.31K
-Change in inventory
-73.27%11.36K
-107.89%-1.05K
--304
100.12%518
-175.25%-55.22K
308.93%42.48K
103.89%13.26K
--0
-190.17%-417.9K
364.47%73.38K
-Change in prepaid assets
-102.07%-200.4K
-98.59%4.33K
137.81%44.73K
24,583.24%297.96K
-49.91%208.82K
70.89%-99.17K
-19.18%306.61K
74.10%-118.3K
-102.81%-1.22K
239.82%416.92K
-Change in payables and accrued expense
-287.88%-229.9K
4,751.22%296.33K
3.54%241.08K
120.66%1.5M
567.80%1.15M
-59.32%122.36K
-104.74%-6.37K
-52.39%232.83K
211.43%678.7K
-130.24%-245.57K
-Change in other working capital
14.83%30.02K
-126.95%-107.48K
29.65%-201.77K
-95.94%54.18K
-132.85%-84.04K
-94.79%26.14K
-21.58%398.89K
-516.05%-286.8K
988.91%1.33M
462.90%255.84K
Cash from discontinued investing activities
Operating cash flow
70.60%-370.13K
150.67%388.02K
-0.36%-370.57K
11.94%-3.18M
-46.73%-782.54K
-356.57%-1.26M
-9.36%-765.82K
82.40%-369.24K
57.91%-3.61M
-381.54%-533.33K
Investing cash flow
Cash flow from continuing investing activities
-83.03%369.79K
-1,494.57%-473.79K
-338.27%-138.65K
282.55%1.48M
-196.77%-641.95K
710.50%2.18M
90.54%-29.71K
-140.05%-31.64K
-129.66%-808.3K
58.46%-216.32K
Net PPE purchase and sale
----
----
----
-101.63%-3.23K
-105.10%-375
----
----
----
169.20%198.25K
104.81%7.35K
Net intangibles purchase and sale
---384.43K
---270.19K
---182.89K
63.03%-208.64K
6.35%-208.64K
--0
--0
--0
---564.37K
-114.37%-222.8K
Net business purchase and sale
----
----
----
93.29%-13.43K
---313.43K
----
----
----
-790.56%-200K
--0
Net investment purchase and sale
--641.78K
----
----
237.94%362.5K
60,100.00%300K
--0
----
----
-96.40%107.27K
99.79%-500
Net other investing changes
-93.66%119.36K
-120.79%-203.6K
239.85%44.24K
483.00%1.34M
-112,369.17%-419.51K
5,697.21%1.88M
---92.21K
---31.64K
---349.44K
---373
Cash from discontinued investing activities
Investing cash flow
-83.03%369.79K
-1,494.57%-473.79K
-338.27%-138.65K
282.55%1.48M
-196.77%-641.95K
710.50%2.18M
90.54%-29.71K
-140.05%-31.64K
76.94%-808.3K
92.65%-216.32K
Financing cash flow
Cash flow from continuing financing activities
-226.43%-381.9K
562.32%204.23K
73.18%-31.15K
-97.53%95.35K
-81.40%372.69K
-105.64%-116.99K
-64.42%-44.17K
36.33%-116.18K
-18.66%3.87M
-27.76%2M
Net issuance payments of debt
---328.82K
2,780.40%248.66K
46.24%-40K
-91.80%166.32K
236.76%250K
--0
86.67%-9.28K
-6.92%-74.41K
-26.50%2.03M
-106.43%-182.8K
Net common stock issuance
----
----
----
--0
----
----
----
----
14.03%2.19M
----
Cash dividends paid
----
----
----
--0
----
----
----
----
--0
--0
Net other financing activities
54.63%-53.08K
-27.33%-44.44K
121.18%8.85K
63.15%-70.97K
1,555.72%122.69K
-2.61%-116.99K
-181.68%-34.9K
63.00%-41.77K
-132.08%-192.61K
-109.14%-8.43K
Cash from discontinued financing activities
Financing cash flow
-226.43%-381.9K
562.32%204.23K
73.18%-31.15K
-97.53%95.35K
-81.40%372.69K
-105.64%-116.99K
-64.42%-44.17K
36.33%-116.18K
-67.50%3.87M
-52.48%2M
Net cash flow
Beginning cash position
-35.03%1.71M
-50.51%1.58M
-42.60%2.2M
-12.33%3.84M
33.26%3.3M
135.26%2.64M
46.08%3.2M
-12.33%3.84M
-3.85%4.38M
-15.00%2.48M
Current changes in cash
-147.60%-382.24K
114.11%118.45K
-4.51%-540.37K
-192.90%-1.61M
-183.91%-1.05M
-44.27%803.07K
19.35%-839.71K
76.51%-517.05K
-211.98%-548.14K
-14.35%1.25M
Effect of exchange rate changes
88.41%-16.37K
-95.40%12.91K
35.16%-79.88K
-437.18%-28.94K
-141.80%-44.94K
-63.74%-141.28K
1,181.29%280.48K
-1,027.40%-123.19K
2,565.22%8.58K
33,291.61%107.52K
End cash Position
-60.14%1.31M
-35.03%1.71M
-50.51%1.58M
-42.60%2.2M
-42.60%2.2M
33.26%3.3M
135.26%2.64M
46.08%3.2M
-12.33%3.84M
-12.33%3.84M
Free cash flow
40.19%-754.57K
115.39%117.82K
-49.89%-553.46K
18.78%-3.39M
-31.14%-991.56K
-110.84%-1.26M
-6.48%-765.82K
82.40%-369.24K
52.90%-4.17M
-147.64%-756.13K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(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 70.60%-370.13K150.67%388.02K-0.36%-370.57K11.94%-3.18M-46.73%-782.54K-356.57%-1.26M-9.36%-765.82K82.40%-369.24K52.03%-3.61M-85,096.65%-533.33K
Net income from continuing operations 513.76%10.66M-39.14%-1.74M23.47%-838.97K39.17%-17.39M15.77%-12.46M25.82%-2.58M78.32%-1.25M75.83%-1.1M-47.13%-28.59M4.16%-14.79M
Operating gains losses -2,073.98%-7.45M132.32%469.31K-247.56%-80.57K-87.38%68.4K-231.23%-487.99K917.62%377.57K32.10%202K-136.64%-23.18K106.50%541.88K-93.71%371.86K
Depreciation and amortization -90.88%60.04K-24.31%496.68K-91.81%59.5K-3.05%2.83M-17.37%791.08K-0.83%658.56K0.06%656.17K12.75%726.26K12.56%2.92M-53.11%957.36K
Deferred tax --0--0--0-10.02%-356.56K-13.49%-273.12K0.00%-28.12K0.00%-27.81K0.00%-27.51K-227.27%-324.1K-143.01%-240.65K
Other non cash items 28.84%323.85K46.00%399.65K-40.79%148.94K-68.30%1.55M-78.71%777.21K-13.61%251.35K-58.77%273.73K-14.74%251.56K300.36%4.9M264.98%3.65M
Change In working capital -848.49%-486.25K-79.57%124.24K155.78%120.21K-0.90%1.78M94.92%1.32M-84.22%64.96K-49.60%608.18K57.17%-215.49K14,661.86%1.79M-17.91%675.88K
-Change in receivables -262.46%-97.32K34.85%-67.89K182.96%35.86K-138.18%-75.17K-43.47%99.11K8.34%-26.85K-119.87%-104.21K90.87%-43.22K186.48%196.91K1,416.63%175.31K
-Change in inventory -73.27%11.36K-107.89%-1.05K--304100.12%518-175.25%-55.22K308.93%42.48K103.89%13.26K--0-190.17%-417.9K364.47%73.38K
-Change in prepaid assets -102.07%-200.4K-98.59%4.33K137.81%44.73K24,583.24%297.96K-49.91%208.82K70.89%-99.17K-19.18%306.61K74.10%-118.3K-102.81%-1.22K239.82%416.92K
-Change in payables and accrued expense -287.88%-229.9K4,751.22%296.33K3.54%241.08K120.66%1.5M567.80%1.15M-59.32%122.36K-104.74%-6.37K-52.39%232.83K211.43%678.7K-130.24%-245.57K
-Change in other working capital 14.83%30.02K-126.95%-107.48K29.65%-201.77K-95.94%54.18K-132.85%-84.04K-94.79%26.14K-21.58%398.89K-516.05%-286.8K988.91%1.33M462.90%255.84K
Cash from discontinued investing activities
Operating cash flow 70.60%-370.13K150.67%388.02K-0.36%-370.57K11.94%-3.18M-46.73%-782.54K-356.57%-1.26M-9.36%-765.82K82.40%-369.24K57.91%-3.61M-381.54%-533.33K
Investing cash flow
Cash flow from continuing investing activities -83.03%369.79K-1,494.57%-473.79K-338.27%-138.65K282.55%1.48M-196.77%-641.95K710.50%2.18M90.54%-29.71K-140.05%-31.64K-129.66%-808.3K58.46%-216.32K
Net PPE purchase and sale -------------101.63%-3.23K-105.10%-375------------169.20%198.25K104.81%7.35K
Net intangibles purchase and sale ---384.43K---270.19K---182.89K63.03%-208.64K6.35%-208.64K--0--0--0---564.37K-114.37%-222.8K
Net business purchase and sale ------------93.29%-13.43K---313.43K-------------790.56%-200K--0
Net investment purchase and sale --641.78K--------237.94%362.5K60,100.00%300K--0---------96.40%107.27K99.79%-500
Net other investing changes -93.66%119.36K-120.79%-203.6K239.85%44.24K483.00%1.34M-112,369.17%-419.51K5,697.21%1.88M---92.21K---31.64K---349.44K---373
Cash from discontinued investing activities
Investing cash flow -83.03%369.79K-1,494.57%-473.79K-338.27%-138.65K282.55%1.48M-196.77%-641.95K710.50%2.18M90.54%-29.71K-140.05%-31.64K76.94%-808.3K92.65%-216.32K
Financing cash flow
Cash flow from continuing financing activities -226.43%-381.9K562.32%204.23K73.18%-31.15K-97.53%95.35K-81.40%372.69K-105.64%-116.99K-64.42%-44.17K36.33%-116.18K-18.66%3.87M-27.76%2M
Net issuance payments of debt ---328.82K2,780.40%248.66K46.24%-40K-91.80%166.32K236.76%250K--086.67%-9.28K-6.92%-74.41K-26.50%2.03M-106.43%-182.8K
Net common stock issuance --------------0----------------14.03%2.19M----
Cash dividends paid --------------0------------------0--0
Net other financing activities 54.63%-53.08K-27.33%-44.44K121.18%8.85K63.15%-70.97K1,555.72%122.69K-2.61%-116.99K-181.68%-34.9K63.00%-41.77K-132.08%-192.61K-109.14%-8.43K
Cash from discontinued financing activities
Financing cash flow -226.43%-381.9K562.32%204.23K73.18%-31.15K-97.53%95.35K-81.40%372.69K-105.64%-116.99K-64.42%-44.17K36.33%-116.18K-67.50%3.87M-52.48%2M
Net cash flow
Beginning cash position -35.03%1.71M-50.51%1.58M-42.60%2.2M-12.33%3.84M33.26%3.3M135.26%2.64M46.08%3.2M-12.33%3.84M-3.85%4.38M-15.00%2.48M
Current changes in cash -147.60%-382.24K114.11%118.45K-4.51%-540.37K-192.90%-1.61M-183.91%-1.05M-44.27%803.07K19.35%-839.71K76.51%-517.05K-211.98%-548.14K-14.35%1.25M
Effect of exchange rate changes 88.41%-16.37K-95.40%12.91K35.16%-79.88K-437.18%-28.94K-141.80%-44.94K-63.74%-141.28K1,181.29%280.48K-1,027.40%-123.19K2,565.22%8.58K33,291.61%107.52K
End cash Position -60.14%1.31M-35.03%1.71M-50.51%1.58M-42.60%2.2M-42.60%2.2M33.26%3.3M135.26%2.64M46.08%3.2M-12.33%3.84M-12.33%3.84M
Free cash flow 40.19%-754.57K115.39%117.82K-49.89%-553.46K18.78%-3.39M-31.14%-991.56K-110.84%-1.26M-6.48%-765.82K82.40%-369.24K52.90%-4.17M-147.64%-756.13K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--
Heat List
US
Overall
Symbol
Price
% Chg

No Data