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DLCG Dominion Lending Centres Inc

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  • 8.230
  • -0.060-0.72%
15min DelayMarket Closed May 14 16:00 ET
645.21MMarket Cap-3.23P/E (TTM)

Dominion Lending Centres Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
52.81%7.74M
118.98%37.2M
207.94%10.27M
22.14%11.29M
97.81%10.57M
641.93%5.07M
7.03%16.99M
356.62%3.34M
149.27%9.24M
-54.10%5.35M
Net income from continuing operations
138.20%6.27M
-198,175.00%-126.77M
-6,827.36%-138.76M
0.00%5.27M
229.39%4.09M
5,697.87%2.63M
-99.48%64K
-52.44%-2M
-82.06%5.27M
-147.06%-3.16M
Operating gains losses
-154.93%-1.09M
41.15%-948K
105.37%60K
93.15%-10K
-388.89%-572K
-84.42%-426K
-20.04%-1.61M
-6,305.56%-1.12M
55.35%-146K
92.22%-117K
Depreciation and amortization
1.41%2.31M
5.59%9.14M
8.73%2.29M
14.78%2.38M
-13.34%2.2M
17.10%2.27M
19.38%8.66M
13.33%2.11M
15.89%2.07M
39.15%2.53M
Asset impairment expenditure
--0
-94.29%198K
--0
--0
---38K
--236K
-27.46%3.47M
--3.47M
--0
--0
Remuneration paid in stock
--87K
891.43%554K
-65.40%91K
3,308.33%385K
134.67%78K
--0
32.69%-70K
22.33%263K
96.10%-12K
-1.81%-225K
Deferred tax
342.72%250K
15.91%896K
-22.37%118K
-20.63%577K
652.73%304K
-101.96%-103K
-69.80%773K
-21.65%152K
-25.97%727K
-104.65%-55K
Other non cashItems
-69.14%154K
1,090.76%149.76M
10,866.84%144.21M
419.40%2.78M
-68.14%2.27M
-86.20%499K
603.28%12.58M
155.42%1.32M
101.92%536K
626.89%7.11M
Change In working capital
-434.09%-235K
163.64%4.37M
365.68%2.25M
-111.93%-95K
403.09%2.26M
99.28%-44K
2.71%-6.87M
-948.00%-848K
117.27%796K
-127.78%-744K
-Change in receivables
23.34%5.69M
-81.23%-1.5M
-4,781.58%-1.78M
7.96%-2.05M
17.36%-2.28M
11.89%4.61M
-119.86%-826K
-96.54%38K
-341.59%-2.23M
24.93%-2.76M
-Change in prepaid assets
-250.00%-1.4M
-111.47%-134K
311.11%259K
-98.58%-560K
-78.34%567K
67.51%-400K
172.68%1.17M
126.25%63K
81.14%-282K
131,000.00%2.62M
-Change in payables and accrued expense
-4.67%-4.51M
186.54%6.36M
518.42%3.86M
-15.87%2.7M
883.75%4.1M
52.74%-4.3M
18.04%-7.35M
-52.31%-923K
186.42%3.21M
-108.22%-523K
-Change in other working capital
-132.00%-16K
-357.97%-356K
-242.31%-89K
-295.79%-186K
-63.75%-131K
-66.44%50K
121.33%138K
82.78%-26K
129.41%95K
-700.00%-80K
Cash from discontinued investing activities
Operating cash flow
52.81%7.74M
118.98%37.2M
207.94%10.27M
22.14%11.29M
97.81%10.57M
641.93%5.07M
7.03%16.99M
356.62%3.34M
149.27%9.24M
-54.10%5.35M
Investing cash flow
Cash flow from continuing investing activities
102.14%85K
63.25%-4.2M
49.27%-518K
-9.63%-1.7M
242.90%1.98M
46.87%-3.96M
-225.43%-11.41M
41.22%-1.02M
-109.66%-1.55M
-29.02%-1.39M
Net PPE purchase and sale
----
----
----
--0
--0
--0
----
----
--0
--47K
Net intangibles purchas and sale
70.71%-1.22M
42.97%-6.69M
50.40%-500K
28.47%-1.2M
46.40%-849K
44.48%-4.15M
-62.11%-11.74M
44.00%-1.01M
-163.31%-1.67M
-12.74%-1.58M
Net business purchase and sale
--1.3M
--2.38M
--149K
---500K
--2.73M
--0
--0
--0
--0
----
Dividends received (cash flow from investment activities)
--0
-63.24%118K
-463.04%-167K
--0
-33.33%100K
--185K
316.88%321K
-8.00%46K
-14.38%125K
-54.68%150K
Cash from discontinued investing activities
Investing cash flow
102.14%85K
63.25%-4.2M
49.27%-518K
-9.63%-1.7M
242.90%1.98M
46.87%-3.96M
-225.43%-11.41M
41.22%-1.02M
-109.66%-1.55M
-29.02%-1.39M
Financing cash flow
Cash flow from continuing financing activities
-82.44%-8.4M
-269.36%-33.89M
-229.48%-14.9M
-14.48%-5.1M
-465.09%-9.29M
-418.70%-4.6M
74.96%-9.18M
11.19%-4.52M
79.10%-4.45M
67.43%-1.64M
Net issuance payments of debt
-364.76%-5.29M
-277.56%-4.56M
303.65%3.85M
23.31%-1.41M
-452.40%-5.86M
-124.61%-1.14M
558.39%2.57M
-42.97%-1.89M
89.73%-1.83M
133.17%1.66M
Net common stock issuance
---493K
-236.89%-1.04M
-273.33%-168K
-1,588.24%-574K
-66.11%-299K
--0
95.80%-309K
81.17%-45K
89.47%-34K
-69.81%-180K
Net preferred stock issuance
----
---15.22M
----
----
----
----
--0
----
----
----
Cash dividends paid
31.81%-2.36M
-14.31%-13.07M
-29.84%-3.36M
-20.56%-3.12M
0.03%-3.13M
-10.64%-3.46M
24.08%-11.43M
26.73%-2.59M
17.45%-2.59M
0.29%-3.13M
Net other financing activities
---252K
----
----
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-82.44%-8.4M
-269.36%-33.89M
-229.48%-14.9M
-14.48%-5.1M
-465.09%-9.29M
-418.70%-4.6M
74.96%-9.18M
11.19%-4.52M
79.10%-4.45M
67.43%-1.64M
Net cash flow
Beginning cash position
-15.71%4.73M
-39.07%5.61M
26.28%9.88M
17.54%5.38M
-6.54%2.12M
-39.07%5.61M
-55.88%9.21M
-54.90%7.82M
-75.81%4.58M
-83.11%2.26M
Current changes in cash
83.76%-568K
75.50%-882K
-133.08%-5.14M
38.61%4.5M
41.10%3.27M
49.67%-3.5M
69.14%-3.6M
72.85%-2.21M
304.73%3.24M
-58.09%2.31M
End cash Position
96.79%4.16M
-15.71%4.73M
-15.71%4.73M
26.28%9.88M
17.54%5.38M
-6.54%2.12M
-39.07%5.61M
-39.07%5.61M
-54.90%7.82M
-75.81%4.58M
Free cash from
610.34%6.53M
486.33%30.4M
327.84%9.67M
33.31%10.09M
158.55%9.72M
110.93%919K
-39.94%5.19M
172.87%2.26M
146.37%7.57M
-63.26%3.76M
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
--
--
--
(Q1)Mar 31, 2025(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 52.81%7.74M118.98%37.2M207.94%10.27M22.14%11.29M97.81%10.57M641.93%5.07M7.03%16.99M356.62%3.34M149.27%9.24M-54.10%5.35M
Net income from continuing operations 138.20%6.27M-198,175.00%-126.77M-6,827.36%-138.76M0.00%5.27M229.39%4.09M5,697.87%2.63M-99.48%64K-52.44%-2M-82.06%5.27M-147.06%-3.16M
Operating gains losses -154.93%-1.09M41.15%-948K105.37%60K93.15%-10K-388.89%-572K-84.42%-426K-20.04%-1.61M-6,305.56%-1.12M55.35%-146K92.22%-117K
Depreciation and amortization 1.41%2.31M5.59%9.14M8.73%2.29M14.78%2.38M-13.34%2.2M17.10%2.27M19.38%8.66M13.33%2.11M15.89%2.07M39.15%2.53M
Asset impairment expenditure --0-94.29%198K--0--0---38K--236K-27.46%3.47M--3.47M--0--0
Remuneration paid in stock --87K891.43%554K-65.40%91K3,308.33%385K134.67%78K--032.69%-70K22.33%263K96.10%-12K-1.81%-225K
Deferred tax 342.72%250K15.91%896K-22.37%118K-20.63%577K652.73%304K-101.96%-103K-69.80%773K-21.65%152K-25.97%727K-104.65%-55K
Other non cashItems -69.14%154K1,090.76%149.76M10,866.84%144.21M419.40%2.78M-68.14%2.27M-86.20%499K603.28%12.58M155.42%1.32M101.92%536K626.89%7.11M
Change In working capital -434.09%-235K163.64%4.37M365.68%2.25M-111.93%-95K403.09%2.26M99.28%-44K2.71%-6.87M-948.00%-848K117.27%796K-127.78%-744K
-Change in receivables 23.34%5.69M-81.23%-1.5M-4,781.58%-1.78M7.96%-2.05M17.36%-2.28M11.89%4.61M-119.86%-826K-96.54%38K-341.59%-2.23M24.93%-2.76M
-Change in prepaid assets -250.00%-1.4M-111.47%-134K311.11%259K-98.58%-560K-78.34%567K67.51%-400K172.68%1.17M126.25%63K81.14%-282K131,000.00%2.62M
-Change in payables and accrued expense -4.67%-4.51M186.54%6.36M518.42%3.86M-15.87%2.7M883.75%4.1M52.74%-4.3M18.04%-7.35M-52.31%-923K186.42%3.21M-108.22%-523K
-Change in other working capital -132.00%-16K-357.97%-356K-242.31%-89K-295.79%-186K-63.75%-131K-66.44%50K121.33%138K82.78%-26K129.41%95K-700.00%-80K
Cash from discontinued investing activities
Operating cash flow 52.81%7.74M118.98%37.2M207.94%10.27M22.14%11.29M97.81%10.57M641.93%5.07M7.03%16.99M356.62%3.34M149.27%9.24M-54.10%5.35M
Investing cash flow
Cash flow from continuing investing activities 102.14%85K63.25%-4.2M49.27%-518K-9.63%-1.7M242.90%1.98M46.87%-3.96M-225.43%-11.41M41.22%-1.02M-109.66%-1.55M-29.02%-1.39M
Net PPE purchase and sale --------------0--0--0----------0--47K
Net intangibles purchas and sale 70.71%-1.22M42.97%-6.69M50.40%-500K28.47%-1.2M46.40%-849K44.48%-4.15M-62.11%-11.74M44.00%-1.01M-163.31%-1.67M-12.74%-1.58M
Net business purchase and sale --1.3M--2.38M--149K---500K--2.73M--0--0--0--0----
Dividends received (cash flow from investment activities) --0-63.24%118K-463.04%-167K--0-33.33%100K--185K316.88%321K-8.00%46K-14.38%125K-54.68%150K
Cash from discontinued investing activities
Investing cash flow 102.14%85K63.25%-4.2M49.27%-518K-9.63%-1.7M242.90%1.98M46.87%-3.96M-225.43%-11.41M41.22%-1.02M-109.66%-1.55M-29.02%-1.39M
Financing cash flow
Cash flow from continuing financing activities -82.44%-8.4M-269.36%-33.89M-229.48%-14.9M-14.48%-5.1M-465.09%-9.29M-418.70%-4.6M74.96%-9.18M11.19%-4.52M79.10%-4.45M67.43%-1.64M
Net issuance payments of debt -364.76%-5.29M-277.56%-4.56M303.65%3.85M23.31%-1.41M-452.40%-5.86M-124.61%-1.14M558.39%2.57M-42.97%-1.89M89.73%-1.83M133.17%1.66M
Net common stock issuance ---493K-236.89%-1.04M-273.33%-168K-1,588.24%-574K-66.11%-299K--095.80%-309K81.17%-45K89.47%-34K-69.81%-180K
Net preferred stock issuance -------15.22M------------------0------------
Cash dividends paid 31.81%-2.36M-14.31%-13.07M-29.84%-3.36M-20.56%-3.12M0.03%-3.13M-10.64%-3.46M24.08%-11.43M26.73%-2.59M17.45%-2.59M0.29%-3.13M
Net other financing activities ---252K------------------------------------
Cash from discontinued financing activities
Financing cash flow -82.44%-8.4M-269.36%-33.89M-229.48%-14.9M-14.48%-5.1M-465.09%-9.29M-418.70%-4.6M74.96%-9.18M11.19%-4.52M79.10%-4.45M67.43%-1.64M
Net cash flow
Beginning cash position -15.71%4.73M-39.07%5.61M26.28%9.88M17.54%5.38M-6.54%2.12M-39.07%5.61M-55.88%9.21M-54.90%7.82M-75.81%4.58M-83.11%2.26M
Current changes in cash 83.76%-568K75.50%-882K-133.08%-5.14M38.61%4.5M41.10%3.27M49.67%-3.5M69.14%-3.6M72.85%-2.21M304.73%3.24M-58.09%2.31M
End cash Position 96.79%4.16M-15.71%4.73M-15.71%4.73M26.28%9.88M17.54%5.38M-6.54%2.12M-39.07%5.61M-39.07%5.61M-54.90%7.82M-75.81%4.58M
Free cash from 610.34%6.53M486.33%30.4M327.84%9.67M33.31%10.09M158.55%9.72M110.93%919K-39.94%5.19M172.87%2.26M146.37%7.57M-63.26%3.76M
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.