Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
ProShares Ultra Bloomberg Crude Oil ETF
UCO
5
United States Gasoline Fund Lp
UGA
| (FY)Dec 31, 2025 | (Q4)Dec 31, 2025 | (Q3)Sep 30, 2025 | (Q2)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Operating cash flow (Indirect Method) | ||||||||||
| Cash flow from continuing operating activities | 137.33%65.56M | 68.05%16.84M | 2,538.90%17.24M | 37.82%11.32M | 99.65%20.16M | -80.79%27.63M | -74.32%10.02M | -100.80%-707K | 21.81%8.22M | 9.14%10.1M |
| Net income from continuing operations | 3.35%43.66M | 17.40%12.32M | 43.53%11.72M | -7.53%10.24M | -25.02%9.38M | 102.15%42.24M | 25.26%10.5M | 742.17%8.16M | 62.86%11.07M | 79.02%12.51M |
| Operating gains losses | -197.30%-1.05M | -28,400.00%-283K | -378.67%-1.05M | -65.24%316K | 83.81%-34K | -81.60%1.08M | -99.98%1K | -69.54%375K | 634.71%909K | -418.18%-210K |
| Depreciation and amortization | -2.52%4.21M | -2.43%1.05M | -11.72%979K | -0.83%1.07M | 5.26%1.12M | 51.70%4.32M | -0.19%1.07M | 26.02%1.11M | 125.05%1.08M | 155.16%1.06M |
| Deferred tax | -58.67%2.18M | -65.93%2.18M | ---- | ---- | ---- | 1,557.23%5.27M | 181.02%6.39M | -100.01%-1K | ---- | ---- |
| Other non cashItems | 31.89%-9.86M | 42.85%-1.64M | 87.94%-454K | -11.62%-4.27M | 12.93%-3.5M | -112.72%-14.47M | -110.62%-2.86M | -104.56%-3.77M | -232.44%-3.82M | -388.73%-4.02M |
| Change in working capital | 226.29%15.11M | 82.06%-926K | 134.57%2.55M | 338.88%2.43M | 600.38%11.06M | -64.01%-11.96M | -182.86%-5.16M | 21.37%-7.36M | 71.96%-1.02M | 394.04%1.58M |
| -Change in receivables | -123.19%-115K | 172.94%558K | -153.57%-435K | -56.31%384K | -44.65%-622K | 118.28%496K | -5,200.00%-765K | 136.31%812K | 1,025.26%879K | -8.04%-430K |
| -Change in payables and accrued expense | -6.45%943K | 98.65%-17K | -58.97%336K | -279.76%-444K | -11.00%1.07M | 220.86%1.01M | -207.58%-1.26M | 200.86%819K | 168.04%247K | 60.00%1.2M |
| -Change in other current assets | 188.05%14.29M | 100.21%24K | 66.10%-693K | -55.61%-3.47M | 3,938.96%18.43M | -119.27%-16.23M | -445.51%-11.48M | 78.95%-2.04M | -287.70%-2.23M | 78.21%-480K |
| -Change in other current liabilities | -100.51%-14K | -117.88%-1.49M | 148.02%3.34M | 6,823.26%5.95M | -706.21%-7.81M | -24.39%2.77M | 152.54%8.34M | -304.80%-6.95M | 101.98%86K | -1.90%1.29M |
| Cash from discontinued operating activities | ||||||||||
| Operating cash flow | 137.33%65.56M | 68.05%16.84M | 2,538.90%17.24M | 37.82%11.32M | 99.65%20.16M | -80.79%27.63M | -74.32%10.02M | -100.80%-707K | 21.81%8.22M | 9.14%10.1M |
| Investing cash flow | ||||||||||
| Cash flow from continuing investing activities | -44.69%-155.11M | 196.79%61.28M | 31.43%-40.34M | -967.57%-78.46M | -537.86%-97.59M | -627.39%-107.2M | -77.30%-63.31M | -140.25%-58.83M | 80.03%-7.35M | 141.80%22.29M |
| Proceeds payment in interest bearing deposits in bank | -101.58%-4K | --0 | --0 | ---- | ---- | -14.81%253K | --0 | 100.00%498K | ---245K | --0 |
| Net investment purchase and sale | -469.33%-37.05M | -104.71%-23.18M | -226.37%-10.76M | 225.12%4.19M | -1,994.27%-7.31M | -109.46%-6.51M | 24.69%-11.32M | -87.77%8.52M | -158.86%-3.35M | -104.12%-349K |
| Net proceeds payment for loan | -17.49%-139.42M | 255.52%82.01M | 48.21%-44.72M | -5,055.76%-88.58M | -498.12%-88.14M | -82.81%-118.67M | -71.89%-52.73M | -228.84%-86.36M | 96.28%-1.72M | 140.19%22.14M |
| Net PPE purchase and sale | 161.14%1.11M | 65.38%-547K | -237.32%-931K | 650.35%3.14M | -55.71%-545K | 41.55%-1.82M | -111.51%-1.58M | 220.64%678K | -11.55%-570K | 73.01%-350K |
| Net business purchase and sale | --0 | ---- | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
| Net other investing changes | 3.61%20.25M | 28.46%2.99M | -9.90%16.07M | 290.78%2.79M | -288.46%-1.6M | -44.96%19.55M | -79.32%2.33M | -31.50%17.84M | -134.91%-1.46M | 114.23%849K |
| Cash from discontinued investing activities | ||||||||||
| Investing cash flow | -44.69%-155.11M | 196.79%61.28M | 31.43%-40.34M | -967.57%-78.46M | -537.86%-97.59M | -627.39%-107.2M | -77.30%-63.31M | -140.25%-58.83M | 80.03%-7.35M | 141.80%22.29M |
| Financing cash flow | ||||||||||
| Cash flow from continuing financing activities | 2.69%126.85M | -780.28%-87.78M | -102.22%-2.91M | 1,033.95%123.94M | 398.36%93.6M | 298.84%123.54M | -70.95%12.9M | 155.28%131.07M | -78.72%10.93M | -139.61%-31.37M |
| Increase decrease in deposit | 67.02%146.16M | -473.43%-21.35M | -32.73%55.34M | 1,649.18%48.35M | 2,304.48%63.82M | 8,257.98%87.51M | 1,986.47%5.72M | 178.63%82.26M | -101.97%-3.12M | 105.09%2.65M |
| Net issuance payments of debt | -113.73%-5.89M | -753.78%-65.05M | -210.20%-55.08M | 413.23%79.29M | 207.45%34.95M | 181.51%42.86M | -78.37%9.95M | 138.15%49.98M | 115.44%15.45M | -124.55%-32.53M |
| Net commonstock issuance | -533.76%-8.49M | --0 | ---1.78M | ---2.84M | ---3.86M | 75.81%-1.34M | ---1.34M | --0 | --0 | --0 |
| Cash dividends paid | 0.80%-5.98M | 1.85%-1.48M | 1.06%-1.49M | 0.46%-1.5M | -0.20%-1.5M | -13.31%-6.03M | -0.87%-1.51M | -1.00%-1.51M | -29.89%-1.51M | -28.53%-1.5M |
| Proceeds from stock option exercised by employees | 94.42%1.05M | 17.44%101K | -69.97%103K | 487.16%640K | --202K | 110.16%538K | -61.61%86K | 2,043.75%343K | --109K | --0 |
| Cash from discontinued financing activities | ||||||||||
| Financing cash flow | 2.69%126.85M | -780.28%-87.78M | -102.22%-2.91M | 1,033.95%123.94M | 398.36%93.6M | 298.84%123.54M | -70.95%12.9M | 155.28%131.07M | -78.72%10.93M | -139.61%-31.37M |
| Net cash flow | ||||||||||
| Beginning cash position | 19.29%271.91M | 2.11%318.88M | 43.25%344.89M | 25.82%288.08M | 19.29%271.91M | 81.03%227.95M | 73.30%312.3M | 32.03%240.76M | 42.18%228.96M | 81.03%227.95M |
| Current changes in cash | -15.14%37.31M | 76.08%-9.66M | -136.36%-26.01M | 381.58%56.81M | 1,496.25%16.17M | -56.91%43.96M | -184.59%-40.39M | 3,436.71%71.54M | -44.65%11.8M | -97.12%1.01M |
| End cash position | 13.72%309.22M | 13.72%309.22M | 2.11%318.88M | 43.25%344.89M | 25.82%288.08M | 19.29%271.91M | 19.29%271.91M | 73.30%312.3M | 32.03%240.76M | 42.18%228.96M |
| Free cash flow | 153.51%62.66M | 93.02%16.29M | 1,561.65%16.31M | 36.57%10.44M | 101.23%19.61M | -82.44%24.72M | -77.95%8.44M | -101.26%-1.12M | 22.65%7.65M | 22.54%9.75M |
| Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
| Audit Opinions | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- |