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XX Avante Corp

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  • 0.720
  • +0.010+1.41%
15min DelayMarket Closed Jul 18 16:00 ET
19.18MMarket Cap-6923P/E (TTM)

Avante Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
(Q1)Jun 30, 2022
(FY)Mar 31, 2022
(Q4)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-50.98%392.79K
-122.79%-1.98M
104.60%153.14K
-243.20%-851.76K
866.40%2.56M
-11.80%801.38K
34.13%-889.9K
-729.27%-3.33M
-128.73%-248.18K
-508.01%-334.65K
Net income from continuing operations
100.98%2.69K
40.92%-252.08K
134.93%80.18K
100.74%32.31K
17.37%-2.77M
-117.04%-274.46K
85.42%-426.68K
-183.00%-229.58K
-54.15%-4.39M
-726.36%-3.35M
Operating gains losses
----
---110.91K
----
----
----
----
----
----
-122.75%-471.02K
--0
Depreciation and amortization
25.14%336.1K
15.55%316.47K
103.27%318.88K
-10.18%1.1M
5.57%311.23K
-9.18%268.57K
-10.36%273.89K
-52.13%156.88K
3.87%1.22M
111.99%294.8K
Remuneration paid in stock
-39.71%43.6K
224.66%99.84K
79.04%-127.6K
400.11%653.93K
3,052.91%1.27M
935.49%72.31K
-218.24%-80.09K
-2,040.39%-608.82K
40.52%130.76K
15.67%40.3K
Deferred tax
-101.61%-6.36K
-193.01%-25.58K
12.63%31.64K
877.40%593.93K
169.06%143.55K
485.07%394.79K
-85.70%27.5K
215.87%28.09K
109.21%60.77K
59.37%-207.86K
Other non cashItems
-129.03%-2.07K
----
10.82%176.31K
-24.38%556.86K
1,832.45%3.83M
-95.24%7.14K
1,975.88%383.99K
-61.06%159.1K
74.77%736.43K
127.19%198.16K
Change In working capital
-94.34%18.84K
-88.15%-2.01M
88.49%-326.27K
-253.79%-3.79M
-108.12%-218.78K
-74.56%333.02K
10.22%-1.07M
-710.78%-2.83M
337.30%2.46M
-2.42%2.69M
-Change in receivables
-921.08%-699.44K
96.40%-28.59K
18.91%-294.33K
-151.73%-1.82M
-40.48%-745.76K
-76.76%85.19K
-23.02%-793.13K
-515.27%-362.97K
-141.08%-721.69K
-113.43%-530.86K
-Change in inventory
567.20%110.04K
87.89%-14.15K
-298.33%-178.7K
-98.03%7.35K
-80.36%57.69K
-114.04%-23.55K
-271.25%-116.88K
258.41%90.1K
393.46%373.22K
-0.16%293.78K
-Change in prepaid assets
83.96%-16.32K
-388.79%-301.53K
-271.02%-24.6K
145.17%58.01K
-40.16%40.96K
-154.22%-101.75K
179.07%104.41K
105.70%14.39K
-754.07%-128.41K
141.12%68.46K
-Change in payables and accrued expense
2,709.09%232.71K
-839.63%-1.32M
120.91%490.18K
-157.03%-1.92M
-90.09%233.27K
-97.46%8.28K
52.03%179.06K
-506.77%-2.34M
321.92%3.37M
248.65%2.35M
-Change in other working capital
7.40%391.86K
22.67%-341.76K
-38.32%-318.82K
74.04%-112.53K
-61.63%195.06K
39.43%364.85K
11.54%-441.95K
67.26%-230.5K
-192.51%-433.54K
92.73%508.34K
Cash from discontinued investing activities
0
0
0
-240.19%-2.91M
383.19%4.07M
-100.99%-5K
-93.60%82.8K
-764.53%-7.06M
-34.60%2.07M
-71.27%842.82K
Operating cash flow
-50.68%392.79K
-145.65%-1.98M
101.47%153.14K
-305.92%-3.76M
1,206.08%6.64M
-43.65%796.38K
-1,322.27%-807.1K
-3,513.74%-10.38M
-54.76%1.82M
-82.35%508.17K
Investing cash flow
Cash flow from continuing investing activities
228.53%635.67K
-1,123.65%-2.36M
-100.11%-25.26K
30,098.30%23.06M
39.43%-76.72K
-824.27%-494.56K
-169.29%-192.5K
13,752.17%23.82M
-107.88%-76.87K
-143.37%-126.67K
Capital expenditure reported
----
89.68%-24.28K
-28.90%-13.93K
----
----
----
-165.37%-235.3K
49.61%-10.81K
----
----
Net PPE purchase and sale
-267.49%-134.73K
199.92%128.36K
-111.25%-11.33K
-307.42%-70.41K
84.44%-48.28K
1.06%80.44K
-88.32%42.8K
165.82%100.74K
90.69%-17.28K
-206.25%-310.29K
Net intangibles purchas and sale
--0
----
----
---575K
--0
---575K
----
----
--0
--0
Net business purchase and sale
--50.4K
---1.74M
--0
--23.73M
--0
--0
--0
--23.73M
--0
--0
Net other investing changes
--720K
---720K
----
52.27%-28.44K
----
----
----
----
---59.59K
----
Cash from discontinued investing activities
0
0
0
94.85%-37.31K
0
0
0
76.56%-37.31K
5.01%-724.34K
88.08%-91.6K
Investing cash flow
228.53%635.67K
-1,123.65%-2.36M
-100.11%-25.26K
2,973.42%23.02M
64.85%-76.72K
-264.49%-494.56K
-69.41%-192.5K
7,229.29%23.79M
-476.12%-801.21K
54.19%-218.26K
Financing cash flow
Cash flow from continuing financing activities
-59.34%-209.04K
-3.58%-181.47K
91.34%-813.93K
-1,402.57%-9.43M
1,647.47%274.66K
69.56%-131.19K
72.10%-175.19K
-558.90%-9.4M
123.66%724.13K
96.57%-17.75K
Net issuance payments of debt
-30.70%-171.46K
-40.58%-181.47K
93.14%-640.34K
-662.56%-9.22M
445.16%373.84K
26.41%-131.19K
66.54%-129.09K
-503.81%-9.33M
160.53%1.64M
87.68%-108.31K
Cash dividends paid
---39.64K
--0
--0
--0
--0
--0
--0
--0
--0
--0
Interest paid (cash flow from financing activities)
----
--0
-156.71%-173.59K
53.95%-212.9K
-133.58%-99.18K
--0
80.97%-46.1K
74.26%-67.62K
-30.99%-462.28K
-18.57%295.35K
Net other financing activities
--2.07K
----
----
----
----
----
----
----
---452.42K
---204.79K
Cash from discontinued financing activities
0
0
0
92.07%-71.47K
-1,104.96%-7.8M
0
0
5,995.24%7.73M
0.08%-901.78K
21.16%-647.49K
Financing cash flow
-59.34%-209.04K
-3.58%-181.47K
51.26%-813.93K
-5,249.89%-9.5M
-1,031.53%-7.53M
74.41%-131.19K
73.83%-175.19K
-187.10%-1.67M
95.52%-177.65K
50.28%-665.24K
Net cash flow
Beginning cash position
-55.01%4.91M
-21.99%9.43M
2,756.51%10.11M
-78.19%354.08K
289.48%11.08M
424.48%10.91M
313.87%12.09M
-78.19%354.08K
21.19%1.62M
408.61%2.85M
Current changes in cash
380.24%819.43K
-284.72%-4.52M
-105.85%-686.05K
1,053.58%9.76M
-157.63%-966.95K
-77.69%170.63K
-39.88%-1.17M
804.93%11.73M
198.03%846.09K
-135.26%-375.33K
Effect of exchange rate changes
--944
----
----
----
----
--0
----
----
----
----
Cash adjustments other than cash changes
----
----
----
--0
----
----
----
----
---2.12M
----
End cash Position
-48.30%5.73M
-55.01%4.91M
-21.99%9.43M
2,756.51%10.11M
2,756.51%10.11M
289.48%11.08M
424.48%10.91M
313.87%12.09M
-78.19%354.08K
-78.19%354.08K
Free cash from
86.06%252.27K
-82.91%-2.01M
101.23%127.88K
-367.22%-4.71M
844.37%6.62M
-89.36%135.58K
-654.55%-1.1M
-2,153.54%-10.41M
-53.54%1.76M
-77.93%700.75K
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)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022(Q1)Jun 30, 2022(FY)Mar 31, 2022(Q4)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -50.98%392.79K-122.79%-1.98M104.60%153.14K-243.20%-851.76K866.40%2.56M-11.80%801.38K34.13%-889.9K-729.27%-3.33M-128.73%-248.18K-508.01%-334.65K
Net income from continuing operations 100.98%2.69K40.92%-252.08K134.93%80.18K100.74%32.31K17.37%-2.77M-117.04%-274.46K85.42%-426.68K-183.00%-229.58K-54.15%-4.39M-726.36%-3.35M
Operating gains losses -------110.91K-------------------------122.75%-471.02K--0
Depreciation and amortization 25.14%336.1K15.55%316.47K103.27%318.88K-10.18%1.1M5.57%311.23K-9.18%268.57K-10.36%273.89K-52.13%156.88K3.87%1.22M111.99%294.8K
Remuneration paid in stock -39.71%43.6K224.66%99.84K79.04%-127.6K400.11%653.93K3,052.91%1.27M935.49%72.31K-218.24%-80.09K-2,040.39%-608.82K40.52%130.76K15.67%40.3K
Deferred tax -101.61%-6.36K-193.01%-25.58K12.63%31.64K877.40%593.93K169.06%143.55K485.07%394.79K-85.70%27.5K215.87%28.09K109.21%60.77K59.37%-207.86K
Other non cashItems -129.03%-2.07K----10.82%176.31K-24.38%556.86K1,832.45%3.83M-95.24%7.14K1,975.88%383.99K-61.06%159.1K74.77%736.43K127.19%198.16K
Change In working capital -94.34%18.84K-88.15%-2.01M88.49%-326.27K-253.79%-3.79M-108.12%-218.78K-74.56%333.02K10.22%-1.07M-710.78%-2.83M337.30%2.46M-2.42%2.69M
-Change in receivables -921.08%-699.44K96.40%-28.59K18.91%-294.33K-151.73%-1.82M-40.48%-745.76K-76.76%85.19K-23.02%-793.13K-515.27%-362.97K-141.08%-721.69K-113.43%-530.86K
-Change in inventory 567.20%110.04K87.89%-14.15K-298.33%-178.7K-98.03%7.35K-80.36%57.69K-114.04%-23.55K-271.25%-116.88K258.41%90.1K393.46%373.22K-0.16%293.78K
-Change in prepaid assets 83.96%-16.32K-388.79%-301.53K-271.02%-24.6K145.17%58.01K-40.16%40.96K-154.22%-101.75K179.07%104.41K105.70%14.39K-754.07%-128.41K141.12%68.46K
-Change in payables and accrued expense 2,709.09%232.71K-839.63%-1.32M120.91%490.18K-157.03%-1.92M-90.09%233.27K-97.46%8.28K52.03%179.06K-506.77%-2.34M321.92%3.37M248.65%2.35M
-Change in other working capital 7.40%391.86K22.67%-341.76K-38.32%-318.82K74.04%-112.53K-61.63%195.06K39.43%364.85K11.54%-441.95K67.26%-230.5K-192.51%-433.54K92.73%508.34K
Cash from discontinued investing activities 000-240.19%-2.91M383.19%4.07M-100.99%-5K-93.60%82.8K-764.53%-7.06M-34.60%2.07M-71.27%842.82K
Operating cash flow -50.68%392.79K-145.65%-1.98M101.47%153.14K-305.92%-3.76M1,206.08%6.64M-43.65%796.38K-1,322.27%-807.1K-3,513.74%-10.38M-54.76%1.82M-82.35%508.17K
Investing cash flow
Cash flow from continuing investing activities 228.53%635.67K-1,123.65%-2.36M-100.11%-25.26K30,098.30%23.06M39.43%-76.72K-824.27%-494.56K-169.29%-192.5K13,752.17%23.82M-107.88%-76.87K-143.37%-126.67K
Capital expenditure reported ----89.68%-24.28K-28.90%-13.93K-------------165.37%-235.3K49.61%-10.81K--------
Net PPE purchase and sale -267.49%-134.73K199.92%128.36K-111.25%-11.33K-307.42%-70.41K84.44%-48.28K1.06%80.44K-88.32%42.8K165.82%100.74K90.69%-17.28K-206.25%-310.29K
Net intangibles purchas and sale --0-----------575K--0---575K----------0--0
Net business purchase and sale --50.4K---1.74M--0--23.73M--0--0--0--23.73M--0--0
Net other investing changes --720K---720K----52.27%-28.44K-------------------59.59K----
Cash from discontinued investing activities 00094.85%-37.31K00076.56%-37.31K5.01%-724.34K88.08%-91.6K
Investing cash flow 228.53%635.67K-1,123.65%-2.36M-100.11%-25.26K2,973.42%23.02M64.85%-76.72K-264.49%-494.56K-69.41%-192.5K7,229.29%23.79M-476.12%-801.21K54.19%-218.26K
Financing cash flow
Cash flow from continuing financing activities -59.34%-209.04K-3.58%-181.47K91.34%-813.93K-1,402.57%-9.43M1,647.47%274.66K69.56%-131.19K72.10%-175.19K-558.90%-9.4M123.66%724.13K96.57%-17.75K
Net issuance payments of debt -30.70%-171.46K-40.58%-181.47K93.14%-640.34K-662.56%-9.22M445.16%373.84K26.41%-131.19K66.54%-129.09K-503.81%-9.33M160.53%1.64M87.68%-108.31K
Cash dividends paid ---39.64K--0--0--0--0--0--0--0--0--0
Interest paid (cash flow from financing activities) ------0-156.71%-173.59K53.95%-212.9K-133.58%-99.18K--080.97%-46.1K74.26%-67.62K-30.99%-462.28K-18.57%295.35K
Net other financing activities --2.07K-------------------------------452.42K---204.79K
Cash from discontinued financing activities 00092.07%-71.47K-1,104.96%-7.8M005,995.24%7.73M0.08%-901.78K21.16%-647.49K
Financing cash flow -59.34%-209.04K-3.58%-181.47K51.26%-813.93K-5,249.89%-9.5M-1,031.53%-7.53M74.41%-131.19K73.83%-175.19K-187.10%-1.67M95.52%-177.65K50.28%-665.24K
Net cash flow
Beginning cash position -55.01%4.91M-21.99%9.43M2,756.51%10.11M-78.19%354.08K289.48%11.08M424.48%10.91M313.87%12.09M-78.19%354.08K21.19%1.62M408.61%2.85M
Current changes in cash 380.24%819.43K-284.72%-4.52M-105.85%-686.05K1,053.58%9.76M-157.63%-966.95K-77.69%170.63K-39.88%-1.17M804.93%11.73M198.03%846.09K-135.26%-375.33K
Effect of exchange rate changes --944------------------0----------------
Cash adjustments other than cash changes --------------0-------------------2.12M----
End cash Position -48.30%5.73M-55.01%4.91M-21.99%9.43M2,756.51%10.11M2,756.51%10.11M289.48%11.08M424.48%10.91M313.87%12.09M-78.19%354.08K-78.19%354.08K
Free cash from 86.06%252.27K-82.91%-2.01M101.23%127.88K-367.22%-4.71M844.37%6.62M-89.36%135.58K-654.55%-1.1M-2,153.54%-10.41M-53.54%1.76M-77.93%700.75K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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