US Stock MarketDetailed Quotes

Aeries Technology (AERT)

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  • 0.5817
  • -0.0244-4.03%
Close Apr 14 16:00 ET
  • 0.5600
  • -0.0217-3.73%
Post 17:56 ET
29.21MMarket Cap-7.27P/E (TTM)

Aeries Technology (AERT) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2025
(Q2)Sep 30, 2025
(Q1)Jun 30, 2025
(FY)Mar 31, 2025
(Q4)Mar 31, 2025
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
213.96%2.37M
-46.75%1.03M
179.59%1.37M
76.53%-1.01M
119.98%864K
-52.57%-2.08M
49.69%1.93M
-1,802.97%-1.72M
-303.65%-4.3M
-1,988.89%-4.32M
Net income from continuing operations
-39.60%1.24M
127.93%644K
110.94%1.68M
-225.14%-21.6M
-118.73%-6.02M
112.56%2.05M
-348.76%-2.31M
-3,200.61%-15.32M
911.49%17.26M
3,531.19%32.14M
Operating gains losses
106.56%381K
143.54%580K
-956.06%-1.39M
63.45%-5.99M
103.95%1.29M
-135.53%-5.81M
-1,168.57%-1.33M
-230.00%-132K
-23,295.71%-16.38M
-55,330.51%-32.59M
Depreciation and amortization
-39.66%210K
-44.74%205K
-45.19%205K
2.37%1.38M
-16.38%291K
1.46%348K
11.08%371K
14.37%374K
15.36%1.35M
16.39%348K
Deferred tax
92.46%-127K
90.54%-63K
104.51%56K
-193.73%-2.11M
403.89%1.48M
-1,030.87%-1.69M
-267.96%-666K
-1,341.00%-1.24M
-345.96%-718K
-3,153.33%-488K
Other non cash items
---1.2M
--0
-101.28%-1K
-2,869.23%-386K
-1,525.58%-699K
--0
1,907.69%235K
1,660.00%78K
78.69%-13K
28.33%-43K
Change In working capital
1,153.71%1.84M
-122.46%-689K
7.62%805K
119.64%1.67M
47.05%-1.97M
93.56%-175K
5,189.66%3.07M
134.79%748K
-98.03%-8.52M
-36.48%-3.72M
-Change in receivables
21.07%1.02M
-285.60%-2.15M
1,496.15%1.66M
102.22%261K
67.50%-1.84M
117.35%840K
251.44%1.16M
122.46%104K
-91.75%-11.74M
-62.35%-5.67M
-Change in prepaid assets
-474.77%-1.23M
723.77%1.39M
236.80%316K
-277.65%-1.28M
-317.67%-616K
-108.28%-214K
86.08%-223K
85.63%-231K
71.64%-340K
140.78%283K
-Change in payables and accrued expense
8.01%701K
-86.04%171K
-34.73%-1.13M
1,372.65%3.12M
408.46%2.08M
-64.99%649K
2,452.08%1.23M
43.31%-835K
-112.77%-245K
-119.30%-674K
-Change in other current assets
67.25%-787K
66.77%-1.6M
-192.66%-101K
-133.07%-3.56M
417.26%3.55M
-512.89%-2.4M
-1,309.05%-4.81M
107.85%109K
77.91%-1.53M
-209.29%-1.12M
-Change in other current liabilities
124.87%2.14M
-73.75%1.5M
-96.56%55K
-41.13%3.14M
-248.17%-5.13M
132.90%953K
188.79%5.72M
-42.45%1.6M
-33.49%5.33M
213.61%3.47M
Cash from discontinued investing activities
Operating cash flow
213.96%2.37M
-46.75%1.03M
179.59%1.37M
76.53%-1.01M
119.98%864K
-52.57%-2.08M
49.69%1.93M
-1,802.97%-1.72M
-303.65%-4.3M
-1,988.89%-4.32M
Investing cash flow
Cash flow from continuing investing activities
14.69%-244K
82.63%-66K
-42.76%-868K
50.69%-858K
162.09%416K
-9.58%-286K
-56.38%-380K
-7.42%-608K
-11.75%-1.74M
-382.01%-670K
Net PPE purchase and sale
23.03%-234K
52.55%-288K
29.62%-259K
16.04%-1.27M
102.68%12K
7.32%-304K
-27.52%-607K
-42.64%-368K
4.97%-1.51M
-123.50%-447K
Net investment purchase and sale
---10K
--250K
---609K
----
----
--0
--0
--0
----
----
Net other investing changes
--0
----
----
277.06%409K
281.17%404K
-73.13%18K
-2.58%227K
22.08%-240K
-845.16%-231K
-465.57%-223K
Cash from discontinued investing activities
Investing cash flow
14.69%-244K
82.63%-66K
-42.76%-868K
50.69%-858K
162.09%416K
-9.58%-286K
-56.38%-380K
-7.42%-608K
-11.75%-1.74M
-382.01%-670K
Financing cash flow
Cash flow from continuing financing activities
-225.69%-1.38M
44.76%-1.18M
-126.18%-1.15M
-65.53%2.43M
-256.53%-911K
-82.58%1.09M
-163.38%-2.14M
335.88%4.39M
2,700.00%7.06M
403.13%582K
Net issuance payments of debt
-216.59%-1.34M
46.97%-1.02M
-2,066.04%-1.15M
-188.30%-1.01M
-118.10%-187K
192.34%1.15M
-1,641.82%-1.92M
-103.63%-53K
22.72%1.15M
1,315.07%1.03M
Net common stock issuance
--0
--0
--0
-54.37%3.95M
-7,340.00%-724K
--0
--0
46,880.00%4.68M
--8.67M
155.56%10K
Net other financing activities
21.57%-40K
----
----
81.45%-511K
--0
95.51%-51K
69.06%-220K
46.19%-240K
-304.55%-2.76M
-86.64%-461K
Cash from discontinued financing activities
Financing cash flow
-225.69%-1.38M
44.76%-1.18M
-126.18%-1.15M
-65.53%2.43M
-256.53%-911K
-82.58%1.09M
-163.38%-2.14M
335.88%4.39M
2,700.00%7.06M
403.13%582K
Net cash flow
Beginning cash position
-48.55%1.87M
-49.08%2.14M
32.63%2.76M
84.26%2.08M
-63.53%2.39M
92.72%3.63M
155.29%4.2M
84.26%2.08M
222.22%1.13M
297.99%6.54M
Current changes in cash
158.98%749K
62.61%-221K
-131.45%-647K
-44.44%565K
108.36%369K
-127.28%-1.27M
-334.52%-591K
294.82%2.06M
26.18%1.02M
-720.07%-4.41M
Effect of exchange rate changes
-255.17%-45K
-338.10%-50K
-64.29%20K
279.69%115K
119.15%9K
480.00%29K
250.00%21K
800.00%56K
-146.15%-64K
-288.00%-47K
End cash Position
7.71%2.57M
-48.55%1.87M
-49.08%2.14M
32.63%2.76M
32.63%2.76M
-63.53%2.39M
92.72%3.63M
155.29%4.2M
84.26%2.08M
84.26%2.08M
Free cash flow
186.47%2.13M
-50.27%653K
153.11%1.11M
57.16%-2.49M
115.73%752K
-46.04%-2.47M
62.10%1.31M
-1,231.21%-2.09M
-1,238.75%-5.82M
-1,041.29%-4.78M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
(Q3)Dec 31, 2025(Q2)Sep 30, 2025(Q1)Jun 30, 2025(FY)Mar 31, 2025(Q4)Mar 31, 2025(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 213.96%2.37M-46.75%1.03M179.59%1.37M76.53%-1.01M119.98%864K-52.57%-2.08M49.69%1.93M-1,802.97%-1.72M-303.65%-4.3M-1,988.89%-4.32M
Net income from continuing operations -39.60%1.24M127.93%644K110.94%1.68M-225.14%-21.6M-118.73%-6.02M112.56%2.05M-348.76%-2.31M-3,200.61%-15.32M911.49%17.26M3,531.19%32.14M
Operating gains losses 106.56%381K143.54%580K-956.06%-1.39M63.45%-5.99M103.95%1.29M-135.53%-5.81M-1,168.57%-1.33M-230.00%-132K-23,295.71%-16.38M-55,330.51%-32.59M
Depreciation and amortization -39.66%210K-44.74%205K-45.19%205K2.37%1.38M-16.38%291K1.46%348K11.08%371K14.37%374K15.36%1.35M16.39%348K
Deferred tax 92.46%-127K90.54%-63K104.51%56K-193.73%-2.11M403.89%1.48M-1,030.87%-1.69M-267.96%-666K-1,341.00%-1.24M-345.96%-718K-3,153.33%-488K
Other non cash items ---1.2M--0-101.28%-1K-2,869.23%-386K-1,525.58%-699K--01,907.69%235K1,660.00%78K78.69%-13K28.33%-43K
Change In working capital 1,153.71%1.84M-122.46%-689K7.62%805K119.64%1.67M47.05%-1.97M93.56%-175K5,189.66%3.07M134.79%748K-98.03%-8.52M-36.48%-3.72M
-Change in receivables 21.07%1.02M-285.60%-2.15M1,496.15%1.66M102.22%261K67.50%-1.84M117.35%840K251.44%1.16M122.46%104K-91.75%-11.74M-62.35%-5.67M
-Change in prepaid assets -474.77%-1.23M723.77%1.39M236.80%316K-277.65%-1.28M-317.67%-616K-108.28%-214K86.08%-223K85.63%-231K71.64%-340K140.78%283K
-Change in payables and accrued expense 8.01%701K-86.04%171K-34.73%-1.13M1,372.65%3.12M408.46%2.08M-64.99%649K2,452.08%1.23M43.31%-835K-112.77%-245K-119.30%-674K
-Change in other current assets 67.25%-787K66.77%-1.6M-192.66%-101K-133.07%-3.56M417.26%3.55M-512.89%-2.4M-1,309.05%-4.81M107.85%109K77.91%-1.53M-209.29%-1.12M
-Change in other current liabilities 124.87%2.14M-73.75%1.5M-96.56%55K-41.13%3.14M-248.17%-5.13M132.90%953K188.79%5.72M-42.45%1.6M-33.49%5.33M213.61%3.47M
Cash from discontinued investing activities
Operating cash flow 213.96%2.37M-46.75%1.03M179.59%1.37M76.53%-1.01M119.98%864K-52.57%-2.08M49.69%1.93M-1,802.97%-1.72M-303.65%-4.3M-1,988.89%-4.32M
Investing cash flow
Cash flow from continuing investing activities 14.69%-244K82.63%-66K-42.76%-868K50.69%-858K162.09%416K-9.58%-286K-56.38%-380K-7.42%-608K-11.75%-1.74M-382.01%-670K
Net PPE purchase and sale 23.03%-234K52.55%-288K29.62%-259K16.04%-1.27M102.68%12K7.32%-304K-27.52%-607K-42.64%-368K4.97%-1.51M-123.50%-447K
Net investment purchase and sale ---10K--250K---609K----------0--0--0--------
Net other investing changes --0--------277.06%409K281.17%404K-73.13%18K-2.58%227K22.08%-240K-845.16%-231K-465.57%-223K
Cash from discontinued investing activities
Investing cash flow 14.69%-244K82.63%-66K-42.76%-868K50.69%-858K162.09%416K-9.58%-286K-56.38%-380K-7.42%-608K-11.75%-1.74M-382.01%-670K
Financing cash flow
Cash flow from continuing financing activities -225.69%-1.38M44.76%-1.18M-126.18%-1.15M-65.53%2.43M-256.53%-911K-82.58%1.09M-163.38%-2.14M335.88%4.39M2,700.00%7.06M403.13%582K
Net issuance payments of debt -216.59%-1.34M46.97%-1.02M-2,066.04%-1.15M-188.30%-1.01M-118.10%-187K192.34%1.15M-1,641.82%-1.92M-103.63%-53K22.72%1.15M1,315.07%1.03M
Net common stock issuance --0--0--0-54.37%3.95M-7,340.00%-724K--0--046,880.00%4.68M--8.67M155.56%10K
Net other financing activities 21.57%-40K--------81.45%-511K--095.51%-51K69.06%-220K46.19%-240K-304.55%-2.76M-86.64%-461K
Cash from discontinued financing activities
Financing cash flow -225.69%-1.38M44.76%-1.18M-126.18%-1.15M-65.53%2.43M-256.53%-911K-82.58%1.09M-163.38%-2.14M335.88%4.39M2,700.00%7.06M403.13%582K
Net cash flow
Beginning cash position -48.55%1.87M-49.08%2.14M32.63%2.76M84.26%2.08M-63.53%2.39M92.72%3.63M155.29%4.2M84.26%2.08M222.22%1.13M297.99%6.54M
Current changes in cash 158.98%749K62.61%-221K-131.45%-647K-44.44%565K108.36%369K-127.28%-1.27M-334.52%-591K294.82%2.06M26.18%1.02M-720.07%-4.41M
Effect of exchange rate changes -255.17%-45K-338.10%-50K-64.29%20K279.69%115K119.15%9K480.00%29K250.00%21K800.00%56K-146.15%-64K-288.00%-47K
End cash Position 7.71%2.57M-48.55%1.87M-49.08%2.14M32.63%2.76M32.63%2.76M-63.53%2.39M92.72%3.63M155.29%4.2M84.26%2.08M84.26%2.08M
Free cash flow 186.47%2.13M-50.27%653K153.11%1.11M57.16%-2.49M115.73%752K-46.04%-2.47M62.10%1.31M-1,231.21%-2.09M-1,238.75%-5.82M-1,041.29%-4.78M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--
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