US Stock MarketDetailed Quotes

CLNV CLEAN VISION CORP

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  • 0.016
  • +0.004+30.04%
15min DelayClose Sep 6 16:00 ET
11.56MMarket Cap-777P/E (TTM)

CLEAN VISION CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
62.86%-407.18K
14.52%-977.03K
-131.61%-4.7M
-606.30%-1.29M
-812.73%-1.17M
-15.83%-1.1M
-48.10%-1.14M
-12.66%-2.03M
54.99%-182.29K
84.30%-128.49K
Net income from continuing operations
30.12%-1.91M
18.51%-2.2M
-143.46%-14.4M
-178.28%-7.94M
-17.81%-1.03M
-143.04%-2.73M
-153.63%-2.7M
2.00%-5.91M
-45.61%-2.85M
19.66%-873.36K
Operating gains losses
-125.27%-133.18K
52.71%-794.74K
---1.85M
--344.91K
---1.04M
--527.11K
---1.68M
----
----
----
Depreciation and amortization
--37.87K
--57.58K
--100.16K
----
----
--0
--0
--0
----
----
Other non cash items
-7.15%1.07M
-49.98%1.68M
1,220.43%11.42M
1,710.43%5.6M
3,010.02%1.31M
366.39%1.15M
851.29%3.36M
-73.83%864.82K
-80.84%309.34K
-111.80%-44.87K
Change In working capital
1,170.99%523.85K
328.56%279.82K
-96.89%25.5K
-6.28%608.03K
-235.45%-411.19K
31.77%-48.91K
-103.45%-122.43K
307.13%820.49K
129.76%648.78K
267.06%303.57K
-Change in receivables
--54.81K
--8.01K
--151.08K
--311.81K
---160.74K
--0
--0
--0
--0
----
-Change in prepaid assets
539.74%195.05K
-196.97%-279.04K
82.40%-12.49K
937.70%218.26K
---167.28K
144.78%30.49K
-292.49%-93.96K
-108.82%-71K
55.80%21.03K
--0
-Change in payables and accrued expense
445.08%274K
2,035.11%550.85K
-112.68%-113.08K
-87.58%77.96K
-127.40%-83.17K
-2,108.06%-79.4K
21.44%-28.47K
278.51%891.49K
428.05%627.75K
874.14%303.57K
Cash from discontinued investing activities
Operating cash flow
62.86%-407.18K
14.52%-977.03K
-131.61%-4.7M
-606.30%-1.29M
-812.73%-1.17M
-15.83%-1.1M
-48.10%-1.14M
-12.66%-2.03M
54.99%-182.29K
84.30%-128.49K
Investing cash flow
Cash flow from continuing investing activities
99.46%-5.44K
85.78%-142.2K
-2,183.53%-2.08M
-107.61%-75.07K
0
-1,427.02%-1M
-6,629.93%-1M
69.76%-90.87K
87.97%-36.16K
25.63K
Net PPE purchase and sale
---5.44K
---142.2K
--0
--0
--0
--0
--0
39.62%-90.87K
75.98%-36.16K
--25.63K
Net business purchase and sale
--0
--0
---2M
--0
--0
---1M
---1M
--0
--0
--0
Net investment purchase and sale
----
----
---5.07K
----
----
----
----
--0
----
----
Net other investing changes
----
----
---70K
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
99.46%-5.44K
85.78%-142.2K
-2,183.53%-2.08M
-107.61%-75.07K
--0
-1,427.02%-1M
-6,629.93%-1M
69.76%-90.87K
87.97%-36.16K
--25.63K
Financing cash flow
Cash flow from continuing financing activities
-91.50%183.24K
-57.92%1.05M
455.50%7.1M
61.05%348.41K
4,110.21%2.11M
211.54%2.16M
676.24%2.48M
-56.46%1.28M
440.70%216.34K
-96.18%50.2K
Net issuance payments of debt
-91.50%183.24K
-56.02%945.53K
868.23%6.57M
61.05%348.41K
3,715.75%1.92M
2,248.07%2.16M
571.59%2.15M
320.62%678.42K
170.36%216.34K
105.36%50.2K
Net common stock issuance
--0
-70.15%100K
-11.17%533K
--0
--198K
--0
--335K
-81.50%600K
--0
--0
Cash from discontinued financing activities
Financing cash flow
-90.11%213.24K
-57.92%1.05M
455.50%7.1M
61.05%348.41K
4,110.21%2.11M
211.54%2.16M
676.24%2.48M
-56.46%1.28M
440.70%216.34K
-96.18%50.2K
Net cash flow
Beginning cash position
-24.14%266.23K
3,054.13%339.92K
-98.71%10.78K
46,503.89%1.32M
933.43%394.3K
-2.26%350.96K
-98.71%10.78K
112,826.62%835.66K
-99.82%2.83K
-96.56%38.16K
Current changes in cash
-438.75%-199.38K
-121.56%-73.69K
138.85%326.97K
-48,192.19%-1.01M
1,885.90%940.52K
118.38%58.86K
173.25%341.73K
-200.79%-841.55K
99.73%-2.1K
-110.64%-52.66K
Effect of exchange rate changes
84.59%-2.39K
99.81%-3
-86.98%2.17K
254.63%35.63K
-194.61%-16.4K
-2,195.41%-15.52K
84.65%-1.54K
--16.67K
--10.05K
--17.34K
End cash Position
-83.65%64.45K
-24.14%266.23K
3,054.13%339.92K
3,054.13%339.92K
46,503.89%1.32M
933.43%394.3K
-2.26%350.96K
-98.71%10.78K
-98.71%10.78K
-99.82%2.83K
Free cash flow
62.36%-412.62K
2.08%-1.12M
-121.68%-4.7M
-489.39%-1.29M
-1,040.19%-1.17M
-8.33%-1.1M
-45.30%-1.14M
-8.63%-2.12M
60.67%-218.44K
87.43%-102.86K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unaudited
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(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(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 62.86%-407.18K14.52%-977.03K-131.61%-4.7M-606.30%-1.29M-812.73%-1.17M-15.83%-1.1M-48.10%-1.14M-12.66%-2.03M54.99%-182.29K84.30%-128.49K
Net income from continuing operations 30.12%-1.91M18.51%-2.2M-143.46%-14.4M-178.28%-7.94M-17.81%-1.03M-143.04%-2.73M-153.63%-2.7M2.00%-5.91M-45.61%-2.85M19.66%-873.36K
Operating gains losses -125.27%-133.18K52.71%-794.74K---1.85M--344.91K---1.04M--527.11K---1.68M------------
Depreciation and amortization --37.87K--57.58K--100.16K----------0--0--0--------
Other non cash items -7.15%1.07M-49.98%1.68M1,220.43%11.42M1,710.43%5.6M3,010.02%1.31M366.39%1.15M851.29%3.36M-73.83%864.82K-80.84%309.34K-111.80%-44.87K
Change In working capital 1,170.99%523.85K328.56%279.82K-96.89%25.5K-6.28%608.03K-235.45%-411.19K31.77%-48.91K-103.45%-122.43K307.13%820.49K129.76%648.78K267.06%303.57K
-Change in receivables --54.81K--8.01K--151.08K--311.81K---160.74K--0--0--0--0----
-Change in prepaid assets 539.74%195.05K-196.97%-279.04K82.40%-12.49K937.70%218.26K---167.28K144.78%30.49K-292.49%-93.96K-108.82%-71K55.80%21.03K--0
-Change in payables and accrued expense 445.08%274K2,035.11%550.85K-112.68%-113.08K-87.58%77.96K-127.40%-83.17K-2,108.06%-79.4K21.44%-28.47K278.51%891.49K428.05%627.75K874.14%303.57K
Cash from discontinued investing activities
Operating cash flow 62.86%-407.18K14.52%-977.03K-131.61%-4.7M-606.30%-1.29M-812.73%-1.17M-15.83%-1.1M-48.10%-1.14M-12.66%-2.03M54.99%-182.29K84.30%-128.49K
Investing cash flow
Cash flow from continuing investing activities 99.46%-5.44K85.78%-142.2K-2,183.53%-2.08M-107.61%-75.07K0-1,427.02%-1M-6,629.93%-1M69.76%-90.87K87.97%-36.16K25.63K
Net PPE purchase and sale ---5.44K---142.2K--0--0--0--0--039.62%-90.87K75.98%-36.16K--25.63K
Net business purchase and sale --0--0---2M--0--0---1M---1M--0--0--0
Net investment purchase and sale -----------5.07K------------------0--------
Net other investing changes -----------70K----------------------------
Cash from discontinued investing activities
Investing cash flow 99.46%-5.44K85.78%-142.2K-2,183.53%-2.08M-107.61%-75.07K--0-1,427.02%-1M-6,629.93%-1M69.76%-90.87K87.97%-36.16K--25.63K
Financing cash flow
Cash flow from continuing financing activities -91.50%183.24K-57.92%1.05M455.50%7.1M61.05%348.41K4,110.21%2.11M211.54%2.16M676.24%2.48M-56.46%1.28M440.70%216.34K-96.18%50.2K
Net issuance payments of debt -91.50%183.24K-56.02%945.53K868.23%6.57M61.05%348.41K3,715.75%1.92M2,248.07%2.16M571.59%2.15M320.62%678.42K170.36%216.34K105.36%50.2K
Net common stock issuance --0-70.15%100K-11.17%533K--0--198K--0--335K-81.50%600K--0--0
Cash from discontinued financing activities
Financing cash flow -90.11%213.24K-57.92%1.05M455.50%7.1M61.05%348.41K4,110.21%2.11M211.54%2.16M676.24%2.48M-56.46%1.28M440.70%216.34K-96.18%50.2K
Net cash flow
Beginning cash position -24.14%266.23K3,054.13%339.92K-98.71%10.78K46,503.89%1.32M933.43%394.3K-2.26%350.96K-98.71%10.78K112,826.62%835.66K-99.82%2.83K-96.56%38.16K
Current changes in cash -438.75%-199.38K-121.56%-73.69K138.85%326.97K-48,192.19%-1.01M1,885.90%940.52K118.38%58.86K173.25%341.73K-200.79%-841.55K99.73%-2.1K-110.64%-52.66K
Effect of exchange rate changes 84.59%-2.39K99.81%-3-86.98%2.17K254.63%35.63K-194.61%-16.4K-2,195.41%-15.52K84.65%-1.54K--16.67K--10.05K--17.34K
End cash Position -83.65%64.45K-24.14%266.23K3,054.13%339.92K3,054.13%339.92K46,503.89%1.32M933.43%394.3K-2.26%350.96K-98.71%10.78K-98.71%10.78K-99.82%2.83K
Free cash flow 62.36%-412.62K2.08%-1.12M-121.68%-4.7M-489.39%-1.29M-1,040.19%-1.17M-8.33%-1.1M-45.30%-1.14M-8.63%-2.12M60.67%-218.44K87.43%-102.86K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --------------Unaudited----

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