Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
American Express
AXP
5
Charter Communications
CHTR
(FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 50.71%114.24M | 31.50%137.77M | 6,175.66%76.31M | -1,079.28%-69.85M | 19.63%-30M | 74.66%75.8M | -0.97%104.77M | -96.26%1.22M | 109.82%7.13M | -67.66%-37.32M |
Net income from continuing operations | 39.92%100.1M | 36.11%32.51M | 25.75%36.21M | 56.04%21.4M | 93.90%9.98M | 43.47%71.54M | 59.93%23.88M | 99.05%28.8M | -2.77%13.71M | -19.05%5.15M |
Operating gains losses | -7.75%-4.81M | 39.19%-1.86M | -280.46%-1.17M | -64.08%-868K | -59.65%-918K | -223.32%-4.47M | -1,320.47%-3.05M | -201.66%-307K | 48.14%-529K | -28.35%-575K |
Depreciation and amortization | 74.07%62.9M | 118.71%22.76M | 82.85%17.89M | 59.26%12.92M | 19.13%9.33M | -0.83%36.14M | 18.25%10.4M | 2.01%9.79M | -15.75%8.11M | -6.95%7.84M |
Unrealized gains and losses of investment securities | -568.18%-147K | -881.82%-108K | -312.50%-33K | -450.00%-7K | 120.00%1K | 8.33%-22K | -113.92%-11K | 92.52%-8K | 104.08%2K | -109.43%-5K |
Remuneration paid in stock | 107.15%24M | 41.71%8.37M | 138.64%4.5M | 91.94%3.41M | 282.57%7.72M | 93.55%11.58M | 147.88%5.91M | 126.71%1.88M | 28.83%1.77M | 44.84%2.02M |
Deferred tax | 53.58%33.31M | 56.56%11.56M | 30.78%11.29M | 73.82%7.1M | 111.74%3.35M | 25.23%21.69M | 35.28%7.39M | 81.89%8.64M | -20.39%4.09M | -20.04%1.58M |
Other non cashItems | 65.55%13.15M | -80.68%2.26M | 422.13%2.21M | 110.95%3.53M | -176.63%-12.36M | 28.80%7.94M | -4.04%11.72M | -126.42%-687K | 8,694.74%1.67M | -396.42%-4.47M |
Change In working capital | -40.25%-77.91M | 31.36%72.61M | 116.14%8.1M | -489.43%-110.2M | 26.79%-30.92M | 6.34%-55.55M | -10.87%55.28M | -2,408.69%-50.19M | 81.27%-18.7M | -24.68%-42.24M |
-Change in receivables | 45.34%-98.34M | 1,211.33%48.51M | 66.94%-30.94M | -131.22%-129.62M | 140.40%13.72M | -63.78%-179.92M | -94.25%3.7M | 6.07%-93.6M | 40.22%-56.06M | -276.06%-33.96M |
-Change in inventory | -54.91%-2.24M | 267.99%1.23M | -42.59%-4.91M | -11.76%1.9M | -180.63%-462K | -47.70%-1.45M | -161.69%-731K | 0.46%-3.44M | 46.39%2.15M | 421.91%573K |
-Change in payables and accrued expense | -46.25%35.56M | 54.06%40.97M | -92.14%5.11M | -170.87%-13.6M | 106.92%3.09M | 18.56%66.16M | 634.41%26.59M | -27.53%65M | 270.26%19.19M | -70.10%-44.63M |
-Change in other current assets | 156.45%318K | 53.45%267K | 635.29%91K | 431.25%53K | -447.06%-93K | 234.78%124K | 721.43%174K | 19.05%-17K | 68.00%-16K | -342.86%-17K |
-Change in other working capital | -122.20%-13.21M | -171.86%-18.36M | 313.60%38.75M | 93.76%31.07M | -231.80%-47.18M | 1,518.32%59.53M | 462.72%25.54M | -216.27%-18.14M | 318.94%16.04M | 233.77%35.79M |
Interest paid (cash flow from operating activities) | -65.53%-20.71M | -52.78%-6.27M | -116.45%-5.99M | -74.22%-5.18M | -22.64%-3.27M | -34.93%-12.51M | -48.02%-4.11M | -4.22%-2.77M | -34.86%-2.98M | -62.64%-2.66M |
Interest received (cash flow from operating activities) | 87.36%7.84M | 943.26%1.86M | 91.01%2.53M | 17.44%1.78M | 43.50%1.68M | -8.20%4.19M | -77.92%178K | 206.25%1.32M | -50.46%1.51M | 341.51%1.17M |
Tax refund paid | -396.76%-23.48M | -110.72%-5.92M | -83.90%765K | -141.73%-3.73M | -184.75%-14.61M | 31.90%-4.73M | -233.52%-2.81M | 4,901.05%4.75M | 46.14%-1.54M | 18.30%-5.13M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 50.71%114.24M | 31.50%137.77M | 6,175.66%76.31M | -1,079.28%-69.85M | 19.63%-30M | 74.66%75.8M | -0.97%104.77M | -96.26%1.22M | 109.82%7.13M | -67.66%-37.32M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -377.34%-131.3M | -128.30%-10.39M | -1,478.09%-96.01M | -53.23%-6.41M | -45.71%-18.49M | -85.70%-27.51M | -33.57%-4.55M | -14.30%-6.08M | -178.11%-4.18M | -177.20%-12.69M |
Net PPE purchase and sale | -51.36%-17.47M | -77.23%1.78M | 35.59%-4.93M | -59.78%-7.26M | 54.35%-3.27M | 45.85%-11.55M | 319.56%7.81M | -33.61%-7.65M | 38.30%-4.54M | -53.29%-7.17M |
Net intangibles purchas and sale | 16.59%-12.62M | ---- | ---- | ---- | ---3.8M | ---15.13M | ---- | ---- | ---- | ---- |
Net business purchase and sale | -3,605.23%-102.01M | -84.55%400K | -55,446.67%-91.32M | 667.86%645K | -109.77%-11.73M | -213.62%-2.75M | 880.68%2.59M | 283.72%165K | -95.91%84K | -8,974.60%-5.59M |
Net other investing changes | -58.23%804K | 102.33%52K | -83.06%237K | -92.22%209K | 343.48%306K | -52.90%1.93M | -1,873.45%-2.23M | 290.78%1.4M | -29.42%2.69M | 97.14%69K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -377.34%-131.3M | -49.31%-10.39M | -1,478.09%-96.01M | -261.46%-6.41M | -45.71%-18.49M | -85.70%-27.51M | -104.23%-6.96M | -14.30%-6.08M | -17.90%-1.77M | -177.20%-12.69M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 137.10%16.83M | -176.52%-67.28M | 1,895.74%35.13M | 597.69%44.43M | 132.78%4.54M | -2.43%-45.36M | 23.23%-24.33M | 121.32%1.76M | -207.49%-8.93M | -9.68%-13.86M |
Net issuance payments of debt | 305.47%46.83M | -213.82%-58.23M | 467.21%42.75M | 1,748.75%51.99M | 103.78%326K | 2.34%-22.79M | 29.87%-18.55M | 349.37%7.54M | -123.28%-3.15M | -16.48%-8.62M |
Cash dividends paid | -32.97%-30M | -56.69%-9.05M | -31.93%-7.62M | -30.75%-7.55M | -10.40%-5.78M | -7.75%-22.56M | -10.32%-5.78M | -10.33%-5.78M | -10.29%-5.78M | -0.06%-5.24M |
Net other financing activities | ---- | ---- | ---- | ---- | --10M | ---- | ---- | ---- | ---- | ---- |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 137.10%16.83M | -176.52%-67.28M | 1,895.74%35.13M | 597.69%44.43M | 132.78%4.54M | -2.43%-45.36M | 23.23%-24.33M | 121.32%1.76M | -207.49%-8.93M | -9.68%-13.86M |
Net cash flow | ||||||||||
Beginning cash position | 1.67%177.53M | 12.65%117.23M | -4.98%101.81M | 20.67%133.62M | 1.67%177.53M | -8.19%174.61M | 0.13%104.07M | 26.16%107.15M | -26.51%110.73M | -8.19%174.61M |
Current changes in cash | -107.93%-233K | -18.21%60.11M | 596.33%15.43M | -792.15%-31.82M | 31.20%-43.94M | 118.72%2.94M | 3.93%73.48M | -116.44%-3.11M | 94.58%-3.57M | -61.81%-63.87M |
Effect of exchange rate changes | 1,031.25%149K | 640.00%108K | -136.00%-9K | 194.44%17K | 1,200.00%33K | -114.95%-16K | 4.76%-20K | -73.40%25K | -122.50%-18K | 93.48%-3K |
End cash Position | -0.05%177.45M | -0.05%177.45M | 12.65%117.23M | -4.98%101.81M | 20.67%133.62M | 1.67%177.53M | 1.67%177.53M | 0.13%104.07M | 26.16%107.15M | -26.51%110.73M |
Free cash from | 79.42%80.46M | 31.97%125.81M | 1,112.16%70.69M | -5,306.30%-77.68M | 14.76%-38.36M | 186.85%44.84M | -3.89%95.33M | -128.14%-6.98M | 101.85%1.49M | -62.45%-45M |
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 | -- | -- | -- | -- | -- | -- | -- | -- | -- |
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.