CA Stock MarketDetailed Quotes

SDE Spartan Delta Corp

Watchlist
  • 2.680
  • +0.050+1.90%
15min DelayMarket Closed May 6 16:00 ET
536.12MMarket Cap13.40P/E (TTM)

Spartan Delta Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
-63.40%174.08M
-9.87%46.23M
-44.56%35.03M
-69.50%44.67M
-77.57%48.15M
-40.20%475.67M
-74.40%51.29M
-71.43%63.18M
-37.93%146.48M
55.77%214.72M
Net income from continuing operations
-94.83%34.28M
-95.31%5.19M
-60.82%3.53M
-96.86%14.37M
-87.05%11.2M
-2.64%663.11M
-27.68%110.58M
-96.84%9.01M
151.50%457.07M
41.31%86.45M
Operating gains losses
102.91%14.95M
138.34%12.76M
-94.24%2.03M
98.82%-6.17M
119.54%6.33M
-853.01%-513.06M
122.07%5.35M
191.66%35.27M
-1,249.84%-521.29M
-168.17%-32.39M
Depreciation and amortization
-26.88%108.71M
22.27%30.54M
38.07%26.63M
-7.95%26.3M
-66.71%25.24M
-27.18%148.67M
-57.08%24.98M
-64.06%19.29M
-39.82%28.57M
69.17%75.84M
Remuneration paid in stock
-74.97%7.43M
-18.15%1.87M
-53.51%2.04M
-81.17%2.18M
-88.28%1.34M
140.64%29.67M
-35.19%2.29M
39.37%4.38M
269.70%11.59M
352.32%11.41M
Deferred tax
-89.06%9.65M
102.63%2.09M
-58.28%1.19M
-98.08%2.62M
-86.89%3.75M
204.75%88.19M
-268.49%-79.61M
103.06%2.85M
153.53%136.38M
37.07%28.57M
Other non cashItems
-834.69%-916K
108.71%441K
61.82%-1.72M
107.22%224K
-98.87%142K
99.78%-98K
-101.55%-5.06M
42.41%-4.51M
75.92%-3.1M
156.28%12.58M
Change In working capital
-100.04%-24K
7.96%-6.66M
143.11%1.34M
-86.19%5.15M
-99.51%157K
250.85%59.2M
79.18%-7.24M
-116.86%-3.1M
2,636.20%37.27M
233.31%32.26M
Cash from discontinued investing activities
Operating cash flow
-63.40%174.08M
-9.87%46.23M
-44.56%35.03M
-69.50%44.67M
-77.57%48.15M
-40.20%475.67M
-74.40%51.29M
-71.43%63.18M
-37.93%146.48M
55.77%214.72M
Investing cash flow
Cash flow from continuing investing activities
-118.15%-240.53M
12.31%-60.03M
34.16%-27.98M
-106.49%-101.38M
59.85%-51.14M
399.55%1.32B
48.93%-68.46M
57.80%-42.5M
1,614.99%1.56B
-22.03%-127.35M
Net PPE purchase and sale
45.13%-161.9M
-24.59%-39.78M
-98.36%-54.54M
76.46%-22.55M
67.79%-45.04M
32.04%-295.05M
79.94%-31.92M
64.01%-27.5M
-5.69%-95.79M
-29.49%-139.83M
Net business purchase and sale
-104.58%-76.42M
101.26%411K
-420.67%-4.36M
-103.19%-54.4M
-2,249.41%-18.07M
32,324.52%1.67B
-14,038.96%-32.66M
85.80%-837K
455,639.04%1.7B
-235.63%-769K
Net other investing changes
95.60%-2.21M
-433.70%-20.67M
318.17%30.91M
46.24%-24.42M
-9.69%11.97M
-1,594.97%-50.22M
-115.28%-3.87M
23.11%-14.17M
-251.55%-45.43M
333.72%13.25M
Cash from discontinued investing activities
Investing cash flow
-118.15%-240.53M
12.31%-60.03M
34.16%-27.98M
-106.49%-101.38M
59.85%-51.14M
399.55%1.32B
48.93%-68.46M
57.80%-42.5M
1,614.99%1.56B
-22.03%-127.35M
Financing cash flow
Cash flow from continuing financing activities
103.48%66.95M
111.62%14.36M
99.57%-7.3M
281.62%57.12M
103.54%2.77M
-736.26%-1.92B
-912.72%-123.6M
-1,910.55%-1.69B
75.46%-31.45M
-137.03%-78.46M
Net issuance payments of debt
160.70%66.95M
113.55%14.36M
-515.51%-7.3M
4,706.29%57.12M
249.38%2.77M
56.13%-110.31M
-6,233.69%-106.03M
98.59%-1.19M
99.06%-1.24M
94.43%-1.86M
Net common stock issuance
--0
--0
--0
--0
--0
-99.79%46K
--0
--0
--0
-80.83%46K
Cash dividends paid
100.00%-53K
--0
--0
-253.33%-53K
--0
---1.6B
---529K
---1.52B
---15K
---76.64M
Proceeds from stock option exercised by employees
--0
--0
--0
--0
----
---65.87M
---17.57M
---18.11M
---30.2M
----
Net other financing activities
100.04%53K
--0
----
--53K
----
-165,684.62%-150.86M
--530K
---151.39M
----
----
Cash from discontinued financing activities
Financing cash flow
103.48%66.95M
111.62%14.36M
99.57%-7.3M
281.62%57.12M
103.54%2.77M
-736.26%-1.92B
-912.72%-123.6M
-1,910.55%-1.69B
75.46%-31.45M
-137.03%-78.46M
Net cash flow
Beginning cash position
-99.67%406K
-99.75%351K
-99.97%610K
-99.85%198K
-99.67%406K
9,891.89%124.4M
231.41%141.19M
29,924.03%1.81B
8,489.18%133.3M
9,891.89%124.4M
Current changes in cash
100.41%505K
100.40%560K
99.98%-259K
-99.98%415K
-102.37%-211K
-200.85%-123.98M
-272.67%-140.77M
-4,696.18%-1.67B
35,745.19%1.68B
2,251.19%8.91M
Effect of exchange rate changes
172.22%13K
200.00%13K
--0
98.67%-3K
150.00%3K
-107.93%-18K
-104.74%-13K
0.44%227K
-12.44%-226K
91.67%-6K
End cash Position
127.59%924K
127.59%924K
-99.75%351K
-99.97%610K
-99.85%198K
-99.67%406K
-99.67%406K
231.41%141.19M
29,924.03%1.81B
8,489.18%133.3M
Free cash from
-93.26%12.18M
-66.68%6.45M
-154.68%-19.51M
-56.36%22.12M
-95.84%3.12M
-50.00%180.62M
-53.01%19.37M
-75.35%35.69M
-65.13%50.69M
150.82%74.89M
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
--
--
--
--
(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 -63.40%174.08M-9.87%46.23M-44.56%35.03M-69.50%44.67M-77.57%48.15M-40.20%475.67M-74.40%51.29M-71.43%63.18M-37.93%146.48M55.77%214.72M
Net income from continuing operations -94.83%34.28M-95.31%5.19M-60.82%3.53M-96.86%14.37M-87.05%11.2M-2.64%663.11M-27.68%110.58M-96.84%9.01M151.50%457.07M41.31%86.45M
Operating gains losses 102.91%14.95M138.34%12.76M-94.24%2.03M98.82%-6.17M119.54%6.33M-853.01%-513.06M122.07%5.35M191.66%35.27M-1,249.84%-521.29M-168.17%-32.39M
Depreciation and amortization -26.88%108.71M22.27%30.54M38.07%26.63M-7.95%26.3M-66.71%25.24M-27.18%148.67M-57.08%24.98M-64.06%19.29M-39.82%28.57M69.17%75.84M
Remuneration paid in stock -74.97%7.43M-18.15%1.87M-53.51%2.04M-81.17%2.18M-88.28%1.34M140.64%29.67M-35.19%2.29M39.37%4.38M269.70%11.59M352.32%11.41M
Deferred tax -89.06%9.65M102.63%2.09M-58.28%1.19M-98.08%2.62M-86.89%3.75M204.75%88.19M-268.49%-79.61M103.06%2.85M153.53%136.38M37.07%28.57M
Other non cashItems -834.69%-916K108.71%441K61.82%-1.72M107.22%224K-98.87%142K99.78%-98K-101.55%-5.06M42.41%-4.51M75.92%-3.1M156.28%12.58M
Change In working capital -100.04%-24K7.96%-6.66M143.11%1.34M-86.19%5.15M-99.51%157K250.85%59.2M79.18%-7.24M-116.86%-3.1M2,636.20%37.27M233.31%32.26M
Cash from discontinued investing activities
Operating cash flow -63.40%174.08M-9.87%46.23M-44.56%35.03M-69.50%44.67M-77.57%48.15M-40.20%475.67M-74.40%51.29M-71.43%63.18M-37.93%146.48M55.77%214.72M
Investing cash flow
Cash flow from continuing investing activities -118.15%-240.53M12.31%-60.03M34.16%-27.98M-106.49%-101.38M59.85%-51.14M399.55%1.32B48.93%-68.46M57.80%-42.5M1,614.99%1.56B-22.03%-127.35M
Net PPE purchase and sale 45.13%-161.9M-24.59%-39.78M-98.36%-54.54M76.46%-22.55M67.79%-45.04M32.04%-295.05M79.94%-31.92M64.01%-27.5M-5.69%-95.79M-29.49%-139.83M
Net business purchase and sale -104.58%-76.42M101.26%411K-420.67%-4.36M-103.19%-54.4M-2,249.41%-18.07M32,324.52%1.67B-14,038.96%-32.66M85.80%-837K455,639.04%1.7B-235.63%-769K
Net other investing changes 95.60%-2.21M-433.70%-20.67M318.17%30.91M46.24%-24.42M-9.69%11.97M-1,594.97%-50.22M-115.28%-3.87M23.11%-14.17M-251.55%-45.43M333.72%13.25M
Cash from discontinued investing activities
Investing cash flow -118.15%-240.53M12.31%-60.03M34.16%-27.98M-106.49%-101.38M59.85%-51.14M399.55%1.32B48.93%-68.46M57.80%-42.5M1,614.99%1.56B-22.03%-127.35M
Financing cash flow
Cash flow from continuing financing activities 103.48%66.95M111.62%14.36M99.57%-7.3M281.62%57.12M103.54%2.77M-736.26%-1.92B-912.72%-123.6M-1,910.55%-1.69B75.46%-31.45M-137.03%-78.46M
Net issuance payments of debt 160.70%66.95M113.55%14.36M-515.51%-7.3M4,706.29%57.12M249.38%2.77M56.13%-110.31M-6,233.69%-106.03M98.59%-1.19M99.06%-1.24M94.43%-1.86M
Net common stock issuance --0--0--0--0--0-99.79%46K--0--0--0-80.83%46K
Cash dividends paid 100.00%-53K--0--0-253.33%-53K--0---1.6B---529K---1.52B---15K---76.64M
Proceeds from stock option exercised by employees --0--0--0--0-------65.87M---17.57M---18.11M---30.2M----
Net other financing activities 100.04%53K--0------53K-----165,684.62%-150.86M--530K---151.39M--------
Cash from discontinued financing activities
Financing cash flow 103.48%66.95M111.62%14.36M99.57%-7.3M281.62%57.12M103.54%2.77M-736.26%-1.92B-912.72%-123.6M-1,910.55%-1.69B75.46%-31.45M-137.03%-78.46M
Net cash flow
Beginning cash position -99.67%406K-99.75%351K-99.97%610K-99.85%198K-99.67%406K9,891.89%124.4M231.41%141.19M29,924.03%1.81B8,489.18%133.3M9,891.89%124.4M
Current changes in cash 100.41%505K100.40%560K99.98%-259K-99.98%415K-102.37%-211K-200.85%-123.98M-272.67%-140.77M-4,696.18%-1.67B35,745.19%1.68B2,251.19%8.91M
Effect of exchange rate changes 172.22%13K200.00%13K--098.67%-3K150.00%3K-107.93%-18K-104.74%-13K0.44%227K-12.44%-226K91.67%-6K
End cash Position 127.59%924K127.59%924K-99.75%351K-99.97%610K-99.85%198K-99.67%406K-99.67%406K231.41%141.19M29,924.03%1.81B8,489.18%133.3M
Free cash from -93.26%12.18M-66.68%6.45M-154.68%-19.51M-56.36%22.12M-95.84%3.12M-50.00%180.62M-53.01%19.37M-75.35%35.69M-65.13%50.69M150.82%74.89M
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.

Market Insights

Warren Buffett Portfolio Warren Buffett Portfolio

Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry. Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry.

Unlock Now

Discussing

Berkshire 2025 highlights: Stepping aside as CEO, trade and market volatility
$Berkshire Hathaway-A (BRK.A.US)$ held its highly anticipated annual shareholders meeting Saturday. Here are some key takeaways from the eve Show More