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Petroleo Brasileiro SA Petrobras
PBR
Vale SA
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Microsoft
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(Q3)Sep 30, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (FY)Dec 31, 2022 | |
---|---|---|---|---|---|
Operating Cash Flow (Indirect Method) | |||||
Cash flow from continuing operating activities | -33.70%988K | -25.29%7M | -46.17K | 1.49M | 9.36M |
Net income from continuing operations | -227.61%-804.99K | -64.94%2.18M | ---735.27K | --630.81K | --6.22M |
Depreciation and amortization | 45.89%35.63K | 50.10%102.8K | --32.67K | --24.42K | --68.49K |
Change In working capital | 129.98%1.92M | 49.20%4.43M | --379.43K | --835.01K | --2.97M |
-Change in receivables | 132.72%1.74M | -32.09%4.67M | --528.69K | --747.84K | --6.88M |
-Change in inventory | 144.70%11.5K | -154.30%-35.29K | --86.09K | ---25.72K | --65K |
-Change in payables and accrued expense | 491.16%207.46K | 71.46%-294.54K | ---91.77K | --35.09K | ---1.03M |
-Change in other current assets | -165.89%-35.96K | 23.84%114.81K | ---96.57K | --54.58K | --92.71K |
-Change in other working capital | ---3.03K | 99.22%-23.81K | ---47.03K | ---- | ---3.04M |
Cash from discontinued investing activities | |||||
Operating cash flow | -33.70%988K | -25.29%7M | ---46.17K | --1.49M | --9.36M |
Investing cash flow | |||||
Cash flow from continuing investing activities | 98.07%-293 | -15.98%-490.02K | -126.28K | -15.2K | -422.49K |
Net PPE purchase and sale | 98.07%-293 | -15.98%-490.02K | ---126.28K | ---15.2K | ---422.49K |
Cash from discontinued investing activities | |||||
Investing cash flow | 98.07%-293 | -15.98%-490.02K | ---126.28K | ---15.2K | ---422.49K |
Financing cash flow | |||||
Cash flow from continuing financing activities | 91.88%-26.13K | -65.18%-7.54M | -1.09M | -321.83K | -4.57M |
Net issuance payments of debt | 26.43%-8.45K | 32.71%-116.49K | ---40.3K | ---11.49K | ---173.13K |
Cash dividends paid | 100.00%1 | -66.40%-7.4M | ---1.02M | ---313.75K | ---4.45M |
Net other financing activities | -618.33%-17.68K | -158.99%-30.34K | ---26.18K | --3.41K | --51.43K |
Cash from discontinued financing activities | |||||
Financing cash flow | 91.88%-26.13K | -65.18%-7.54M | ---1.09M | ---321.83K | ---4.57M |
Net cash flow | |||||
Beginning cash position | -64.89%1.85M | 240.42%6.19M | --6.42M | --5.26M | --1.82M |
Current changes in cash | -16.62%961.58K | -123.73%-1.04M | ---1.26M | --1.15M | --4.37M |
End cash Position | -56.22%2.81M | -16.76%5.16M | --5.16M | --6.42M | --6.19M |
Free cash flow | -33.04%987.71K | -27.24%6.51M | ---172.44K | --1.48M | --8.94M |
Currency Unit | USD | USD | USD | USD | USD |