US Stock MarketDetailed Quotes

CTSO Cytosorbents

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  • 1.500
  • +0.080+5.63%
Close Sep 27 16:00 ET
  • 1.500
  • 0.0000.00%
Post 20:01 ET
81.64MMarket Cap-2884P/E (TTM)

Cytosorbents 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
30.85%-4.79M
-55.39%-4.83M
23.30%-21.66M
-19.98%-6.41M
22.70%-5.21M
13.77%-6.93M
61.72%-3.11M
-101.59%-28.23M
2.75%-5.34M
-62.93%-6.73M
Net income from continuing operations
32.67%-4.14M
13.21%-6.36M
13.12%-28.51M
-661.61%-5.83M
24.65%-9.19M
43.44%-6.15M
18.30%-7.33M
-33.61%-32.81M
91.77%-766.13K
-90.45%-12.2M
Operating gains losses
231.15%544.23K
315.79%1.43M
-175.53%-1.95M
38.82%-2.68M
-43.98%1.81M
-116.45%-414.98K
-154.45%-660.68K
0.12%2.58M
-988.72%-4.39M
218.87%3.23M
Depreciation and amortization
-2.38%446.51K
41.12%443.21K
79.10%2.03M
184.46%792.67K
66.66%462.65K
55.95%457.4K
11.34%314.07K
0.18%1.13M
-54.50%278.66K
17.08%277.6K
Other non cash items
839.88%100.71K
0.00%10.71K
--42.86K
--10.71K
--10.71K
--10.72K
--10.71K
----
----
----
Change In working capital
-124.68%-2.77M
-140.88%-1.37M
166.29%2.36M
104.25%74.3K
-71.63%167.74K
-147.88%-1.23M
275.66%3.35M
-654.85%-3.56M
-208.53%-1.75M
285.32%591.33K
-Change in receivables
23.80%-1.1M
-578.82%-848.33K
80.94%-245.62K
183.49%357.67K
701.71%668.43K
-105.74%-1.45M
174.08%177.17K
-406.35%-1.29M
-161.32%-428.4K
-81.41%83.38K
-Change in inventory
-101.99%-600.44K
-107.19%-125.56K
-112.80%-121.04K
-222.01%-592.86K
-193.24%-978.06K
-224.97%-297.26K
311.17%1.75M
140.22%945.35K
293.21%485.92K
205.27%1.05M
-Change in prepaid assets
-136.54%-312.08K
11.37%886.26K
5,076.64%1.1M
83.35%-266.34K
-228.76%-279.27K
-18.94%854K
159.13%795.78K
-107.90%-22.19K
-66.18%-1.6M
145.35%216.88K
-Change in payables and accrued expense
-121.45%-750.29K
-303.49%-1.28M
149.97%1.62M
378.96%575.88K
200.03%756.63K
68.70%-338.82K
152.33%629.88K
-233.88%-3.25M
-109.71%-206.44K
-490.90%-756.41K
-Change in other current assets
----
----
-100.09%-50
90.88%-50
--0
----
----
138.77%52.68K
-159.83%-548
97.30%-1.43K
Cash from discontinued investing activities
Operating cash flow
30.85%-4.79M
-55.39%-4.83M
23.30%-21.66M
-19.98%-6.41M
22.70%-5.21M
13.77%-6.93M
61.72%-3.11M
-101.59%-28.23M
2.75%-5.34M
-62.93%-6.73M
Investing cash flow
Cash flow from continuing investing activities
-185.44%-119.87K
81.40%-127.02K
85.50%-936.24K
34.04%-135.92K
64.03%-257.72K
102.99%140.29K
19.47%-682.88K
-50.79%-6.46M
87.68%-206.08K
29.58%-716.53K
Net PPE purchase and sale
-108.70%-18.23K
91.13%-45.19K
91.16%-538.12K
55.26%-95.5K
77.74%-142.4K
104.63%209.45K
28.24%-509.67K
-67.18%-6.09M
86.07%-213.44K
28.24%-639.77K
Net intangibles purchase and sale
-46.95%-101.64K
52.76%-81.83K
-8.12%-398.12K
-649.48%-40.43K
-50.22%-115.32K
57.06%-69.16K
-25.78%-173.22K
42.47%-368.21K
105.24%7.36K
39.04%-76.77K
Net investment purchase and sale
----
--0
----
----
----
----
--0
----
----
----
Cash from discontinued investing activities
Investing cash flow
-185.44%-119.87K
81.40%-127.02K
85.50%-936.24K
34.04%-135.92K
64.03%-257.72K
102.99%140.29K
19.47%-682.88K
-50.79%-6.46M
87.68%-206.08K
29.58%-716.53K
Financing cash flow
Cash flow from continuing financing activities
956.22%9.83M
-183.56%-571.76K
191.84%14.47M
144.21%12.21M
648.32K
931.12K
1,795.49%684.28K
593.46%4.96M
6,278.64%5M
0
Net issuance payments of debt
--10.63M
---625K
--0
----
----
--0
--0
--5M
----
----
Net common stock issuance
-100.00%12
-91.70%53.24K
35,423.68%14.26M
1,220,551,400.00%12.21M
--632.4K
--776.29K
1,690.06%641.73K
55.16%-40.36K
100.00%1
--0
Proceeds from stock option exercised by employees
--0
--0
--218.28K
--4.97K
--15.93K
--154.83K
--42.55K
--0
--0
--0
Cash from discontinued financing activities
Financing cash flow
956.22%9.83M
-183.56%-571.76K
191.84%14.47M
144.21%12.21M
--648.32K
--931.12K
1,795.49%684.28K
593.46%4.96M
6,278.64%5M
--0
Net cash flow
Beginning cash position
-51.33%10.09M
-34.48%15.62M
-55.72%23.83M
-58.55%10.05M
-53.41%14.84M
-53.62%20.74M
-55.72%23.83M
-24.64%53.83M
-60.29%24.24M
-51.45%31.85M
Current changes in cash
183.93%4.92M
-77.95%-5.53M
72.70%-8.12M
1,137.17%5.67M
35.37%-4.82M
53.93%-5.86M
65.51%-3.11M
-69.19%-29.73M
92.46%-546.41K
-63.36%-7.45M
Effect of exchange rate changes
-99.39%-69.79K
-45.73%5.78K
62.05%-99.77K
-171.05%-98.56K
114.42%23.14K
73.83%-35K
109.92%10.66K
-961.29%-262.92K
402.81%138.73K
-3,150.12%-160.49K
End cash Position
0.70%14.94M
-51.33%10.09M
-34.48%15.62M
-34.48%15.62M
-58.55%10.05M
-53.41%14.84M
-53.62%20.74M
-55.72%23.83M
-55.72%23.83M
-60.29%24.24M
Free cash flow
27.65%-4.91M
-30.75%-4.96M
34.88%-22.59M
-17.97%-6.54M
26.67%-5.46M
46.62%-6.79M
57.72%-3.79M
-89.70%-34.69M
22.58%-5.55M
-44.66%-7.45M
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
--
--
(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 30.85%-4.79M-55.39%-4.83M23.30%-21.66M-19.98%-6.41M22.70%-5.21M13.77%-6.93M61.72%-3.11M-101.59%-28.23M2.75%-5.34M-62.93%-6.73M
Net income from continuing operations 32.67%-4.14M13.21%-6.36M13.12%-28.51M-661.61%-5.83M24.65%-9.19M43.44%-6.15M18.30%-7.33M-33.61%-32.81M91.77%-766.13K-90.45%-12.2M
Operating gains losses 231.15%544.23K315.79%1.43M-175.53%-1.95M38.82%-2.68M-43.98%1.81M-116.45%-414.98K-154.45%-660.68K0.12%2.58M-988.72%-4.39M218.87%3.23M
Depreciation and amortization -2.38%446.51K41.12%443.21K79.10%2.03M184.46%792.67K66.66%462.65K55.95%457.4K11.34%314.07K0.18%1.13M-54.50%278.66K17.08%277.6K
Other non cash items 839.88%100.71K0.00%10.71K--42.86K--10.71K--10.71K--10.72K--10.71K------------
Change In working capital -124.68%-2.77M-140.88%-1.37M166.29%2.36M104.25%74.3K-71.63%167.74K-147.88%-1.23M275.66%3.35M-654.85%-3.56M-208.53%-1.75M285.32%591.33K
-Change in receivables 23.80%-1.1M-578.82%-848.33K80.94%-245.62K183.49%357.67K701.71%668.43K-105.74%-1.45M174.08%177.17K-406.35%-1.29M-161.32%-428.4K-81.41%83.38K
-Change in inventory -101.99%-600.44K-107.19%-125.56K-112.80%-121.04K-222.01%-592.86K-193.24%-978.06K-224.97%-297.26K311.17%1.75M140.22%945.35K293.21%485.92K205.27%1.05M
-Change in prepaid assets -136.54%-312.08K11.37%886.26K5,076.64%1.1M83.35%-266.34K-228.76%-279.27K-18.94%854K159.13%795.78K-107.90%-22.19K-66.18%-1.6M145.35%216.88K
-Change in payables and accrued expense -121.45%-750.29K-303.49%-1.28M149.97%1.62M378.96%575.88K200.03%756.63K68.70%-338.82K152.33%629.88K-233.88%-3.25M-109.71%-206.44K-490.90%-756.41K
-Change in other current assets ---------100.09%-5090.88%-50--0--------138.77%52.68K-159.83%-54897.30%-1.43K
Cash from discontinued investing activities
Operating cash flow 30.85%-4.79M-55.39%-4.83M23.30%-21.66M-19.98%-6.41M22.70%-5.21M13.77%-6.93M61.72%-3.11M-101.59%-28.23M2.75%-5.34M-62.93%-6.73M
Investing cash flow
Cash flow from continuing investing activities -185.44%-119.87K81.40%-127.02K85.50%-936.24K34.04%-135.92K64.03%-257.72K102.99%140.29K19.47%-682.88K-50.79%-6.46M87.68%-206.08K29.58%-716.53K
Net PPE purchase and sale -108.70%-18.23K91.13%-45.19K91.16%-538.12K55.26%-95.5K77.74%-142.4K104.63%209.45K28.24%-509.67K-67.18%-6.09M86.07%-213.44K28.24%-639.77K
Net intangibles purchase and sale -46.95%-101.64K52.76%-81.83K-8.12%-398.12K-649.48%-40.43K-50.22%-115.32K57.06%-69.16K-25.78%-173.22K42.47%-368.21K105.24%7.36K39.04%-76.77K
Net investment purchase and sale ------0------------------0------------
Cash from discontinued investing activities
Investing cash flow -185.44%-119.87K81.40%-127.02K85.50%-936.24K34.04%-135.92K64.03%-257.72K102.99%140.29K19.47%-682.88K-50.79%-6.46M87.68%-206.08K29.58%-716.53K
Financing cash flow
Cash flow from continuing financing activities 956.22%9.83M-183.56%-571.76K191.84%14.47M144.21%12.21M648.32K931.12K1,795.49%684.28K593.46%4.96M6,278.64%5M0
Net issuance payments of debt --10.63M---625K--0----------0--0--5M--------
Net common stock issuance -100.00%12-91.70%53.24K35,423.68%14.26M1,220,551,400.00%12.21M--632.4K--776.29K1,690.06%641.73K55.16%-40.36K100.00%1--0
Proceeds from stock option exercised by employees --0--0--218.28K--4.97K--15.93K--154.83K--42.55K--0--0--0
Cash from discontinued financing activities
Financing cash flow 956.22%9.83M-183.56%-571.76K191.84%14.47M144.21%12.21M--648.32K--931.12K1,795.49%684.28K593.46%4.96M6,278.64%5M--0
Net cash flow
Beginning cash position -51.33%10.09M-34.48%15.62M-55.72%23.83M-58.55%10.05M-53.41%14.84M-53.62%20.74M-55.72%23.83M-24.64%53.83M-60.29%24.24M-51.45%31.85M
Current changes in cash 183.93%4.92M-77.95%-5.53M72.70%-8.12M1,137.17%5.67M35.37%-4.82M53.93%-5.86M65.51%-3.11M-69.19%-29.73M92.46%-546.41K-63.36%-7.45M
Effect of exchange rate changes -99.39%-69.79K-45.73%5.78K62.05%-99.77K-171.05%-98.56K114.42%23.14K73.83%-35K109.92%10.66K-961.29%-262.92K402.81%138.73K-3,150.12%-160.49K
End cash Position 0.70%14.94M-51.33%10.09M-34.48%15.62M-34.48%15.62M-58.55%10.05M-53.41%14.84M-53.62%20.74M-55.72%23.83M-55.72%23.83M-60.29%24.24M
Free cash flow 27.65%-4.91M-30.75%-4.96M34.88%-22.59M-17.97%-6.54M26.67%-5.46M46.62%-6.79M57.72%-3.79M-89.70%-34.69M22.58%-5.55M-44.66%-7.45M
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----

Analysis

Analyst Rating

No Data

Price Target

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