US Stock MarketDetailed Quotes

KLDI KLDISCOVERY INC

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  • 0.020
  • 0.0000.00%
15min DelayTrading Jan 14 16:00 ET
22.66MMarket Cap-0.01P/E (TTM)

KLDISCOVERY INC 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
-15,390.00%-3.06M
-159.39%-7.9M
-36.78%5.03M
-109.15%-540K
4,895.35%8.59M
-99.64%20K
16.46%-3.05M
-21.28%7.95M
-41.53%5.9M
-93.23%172K
Net income from continuing operations
-440.60%-25.3M
-274.42%-16.88M
19.37%-34.81M
-186.31%-14.27M
34.72%-11.36M
58.26%-4.68M
52.94%-4.51M
28.69%-43.17M
31.66%-4.98M
41.08%-17.4M
Operating gains losses
94.01%-19K
116.75%32K
52.61%-572K
96.59%-13K
63.57%-51K
35.96%-317K
0.00%-191K
-122.83%-1.21M
-19.81%-381K
-318.75%-140K
Depreciation and amortization
-3.53%6.53M
-2.36%6.45M
-11.26%27.72M
-3.99%7.35M
-11.46%7M
-13.63%6.76M
-15.80%6.61M
-17.84%31.24M
-11.21%7.65M
-19.76%7.9M
Deferred tax
1,545.00%289K
136.44%279K
166.80%2.06M
3,220.93%1.43M
35.81%531K
-113.16%-20K
-36.22%118K
236.70%771K
1,333.33%43K
135.90%391K
Other non cash items
16.22%6.11M
19.94%6.18M
12.65%22.55M
20.25%6.16M
18.06%5.97M
5.92%5.26M
5.89%5.16M
6.55%20.02M
13.90%5.12M
6.04%5.06M
Change In working capital
190.18%7.79M
50.86%-5.83M
-131.72%-18.49M
31.37%-3.05M
97.39%5.06M
-436.07%-8.64M
-36.84%-11.86M
61.16%-7.98M
-243.68%-4.44M
144.36%2.56M
-Change in receivables
305.70%12.73M
11.97%-6.33M
-23.91%-8.27M
-28.16%-3.65M
369.38%8.75M
-199.12%-6.19M
-5.34%-7.19M
41.28%-6.67M
-155.60%-2.84M
-14.40%-3.25M
-Change in prepaid assets
-76.60%194K
68.95%-2.18M
-59.80%-5.53M
37.14%2.75M
-84.78%-2.09M
-55.33%829K
-13.38%-7.02M
37.01%-3.46M
105.95%2.01M
66.32%-1.13M
-Change in payables and accrued expense
-118.24%-5.95M
-17.33%2.74M
-242.20%-3.3M
41.67%-2.61M
-121.07%-1.28M
44.77%-2.73M
-41.08%3.32M
150.73%2.32M
-14.49%-4.47M
1,757.93%6.09M
-Change in other working capital
247.02%813K
93.23%-66K
-730.36%-1.4M
-47.75%452K
-137.57%-319K
7.06%-553K
24.24%-975K
-119.05%-168K
-4.84%865K
875.86%849K
Cash from discontinued investing activities
Operating cash flow
-15,390.00%-3.06M
-159.39%-7.9M
-36.78%5.03M
-109.15%-540K
4,895.35%8.59M
-99.64%20K
16.46%-3.05M
-21.28%7.95M
-41.53%5.9M
-93.23%172K
Investing cash flow
Cash flow from continuing investing activities
9.77%-3.64M
-45.32%-3.01M
-7.13%-17.34M
-54.79%-8.81M
20.89%-2.43M
9.57%-4.03M
30.19%-2.07M
-29.64%-16.19M
-104.71%-5.69M
-29.77%-3.07M
Net PPE purchase and sale
9.77%-3.64M
-45.32%-3.01M
11.58%-14.31M
-1.56%-5.78M
20.89%-2.43M
9.57%-4.03M
30.19%-2.07M
-29.64%-16.19M
-104.71%-5.69M
-29.77%-3.07M
Net business purchase and sale
----
----
---3.03M
----
----
----
----
--0
----
----
Cash from discontinued investing activities
Investing cash flow
9.77%-3.64M
-45.32%-3.01M
-7.13%-17.34M
-54.79%-8.81M
20.89%-2.43M
9.57%-4.03M
30.19%-2.07M
-29.64%-16.19M
-104.71%-5.69M
-29.77%-3.07M
Financing cash flow
Cash flow from continuing financing activities
1,594.29%22.25M
1,210.68%14.25M
-5.96%-5.28M
-1.32%-1.15M
-12.39%-1.35M
-9.65%-1.49M
-0.16%-1.28M
-182.85%-4.98M
52.97%-1.14M
-17.48%-1.2M
Net issuance payments of debt
1,594.29%22.25M
1,210.68%14.25M
-5.96%-5.28M
-1.32%-1.15M
-12.39%-1.35M
-9.65%-1.49M
-0.16%-1.28M
-2,246.98%-4.98M
52.97%-1.14M
-17.48%-1.2M
Cash from discontinued financing activities
Financing cash flow
1,594.29%22.25M
1,210.68%14.25M
-5.96%-5.28M
-1.32%-1.15M
-12.39%-1.35M
-9.65%-1.49M
-0.16%-1.28M
-182.85%-4.98M
52.97%-1.14M
-17.48%-1.2M
Net cash flow
Beginning cash position
-30.31%18.36M
-52.95%15.35M
-29.78%32.63M
-22.63%25.44M
-44.33%20.9M
-31.40%26.35M
-29.78%32.63M
-9.24%46.47M
-21.33%32.87M
-12.46%37.54M
Current changes in cash
382.61%15.55M
152.15%3.34M
-33.09%-17.6M
-1,030.57%-10.5M
217.37%4.81M
-1,759.12%-5.5M
18.92%-6.4M
-218.55%-13.22M
-119.00%-929K
-384.06%-4.1M
Effect of exchange rate changes
-305.66%-109K
-380.34%-328K
151.21%317K
-38.83%419K
51.77%-272K
109.30%53K
168.82%117K
-6.17%-619K
429.33%685K
-129.27%-564K
End cash Position
61.78%33.8M
-30.31%18.36M
-52.95%15.35M
-52.95%15.35M
-22.63%25.44M
-44.33%20.9M
-31.40%26.35M
-29.78%32.63M
-29.78%32.63M
-21.33%32.87M
Free cash flow
-66.87%-6.7M
-113.21%-10.91M
-12.73%-9.29M
-3,109.52%-6.32M
312.77%6.16M
-477.97%-4.01M
22.62%-5.12M
-244.87%-8.24M
-97.13%210K
-1,736.72%-2.9M
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
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(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 -15,390.00%-3.06M-159.39%-7.9M-36.78%5.03M-109.15%-540K4,895.35%8.59M-99.64%20K16.46%-3.05M-21.28%7.95M-41.53%5.9M-93.23%172K
Net income from continuing operations -440.60%-25.3M-274.42%-16.88M19.37%-34.81M-186.31%-14.27M34.72%-11.36M58.26%-4.68M52.94%-4.51M28.69%-43.17M31.66%-4.98M41.08%-17.4M
Operating gains losses 94.01%-19K116.75%32K52.61%-572K96.59%-13K63.57%-51K35.96%-317K0.00%-191K-122.83%-1.21M-19.81%-381K-318.75%-140K
Depreciation and amortization -3.53%6.53M-2.36%6.45M-11.26%27.72M-3.99%7.35M-11.46%7M-13.63%6.76M-15.80%6.61M-17.84%31.24M-11.21%7.65M-19.76%7.9M
Deferred tax 1,545.00%289K136.44%279K166.80%2.06M3,220.93%1.43M35.81%531K-113.16%-20K-36.22%118K236.70%771K1,333.33%43K135.90%391K
Other non cash items 16.22%6.11M19.94%6.18M12.65%22.55M20.25%6.16M18.06%5.97M5.92%5.26M5.89%5.16M6.55%20.02M13.90%5.12M6.04%5.06M
Change In working capital 190.18%7.79M50.86%-5.83M-131.72%-18.49M31.37%-3.05M97.39%5.06M-436.07%-8.64M-36.84%-11.86M61.16%-7.98M-243.68%-4.44M144.36%2.56M
-Change in receivables 305.70%12.73M11.97%-6.33M-23.91%-8.27M-28.16%-3.65M369.38%8.75M-199.12%-6.19M-5.34%-7.19M41.28%-6.67M-155.60%-2.84M-14.40%-3.25M
-Change in prepaid assets -76.60%194K68.95%-2.18M-59.80%-5.53M37.14%2.75M-84.78%-2.09M-55.33%829K-13.38%-7.02M37.01%-3.46M105.95%2.01M66.32%-1.13M
-Change in payables and accrued expense -118.24%-5.95M-17.33%2.74M-242.20%-3.3M41.67%-2.61M-121.07%-1.28M44.77%-2.73M-41.08%3.32M150.73%2.32M-14.49%-4.47M1,757.93%6.09M
-Change in other working capital 247.02%813K93.23%-66K-730.36%-1.4M-47.75%452K-137.57%-319K7.06%-553K24.24%-975K-119.05%-168K-4.84%865K875.86%849K
Cash from discontinued investing activities
Operating cash flow -15,390.00%-3.06M-159.39%-7.9M-36.78%5.03M-109.15%-540K4,895.35%8.59M-99.64%20K16.46%-3.05M-21.28%7.95M-41.53%5.9M-93.23%172K
Investing cash flow
Cash flow from continuing investing activities 9.77%-3.64M-45.32%-3.01M-7.13%-17.34M-54.79%-8.81M20.89%-2.43M9.57%-4.03M30.19%-2.07M-29.64%-16.19M-104.71%-5.69M-29.77%-3.07M
Net PPE purchase and sale 9.77%-3.64M-45.32%-3.01M11.58%-14.31M-1.56%-5.78M20.89%-2.43M9.57%-4.03M30.19%-2.07M-29.64%-16.19M-104.71%-5.69M-29.77%-3.07M
Net business purchase and sale -----------3.03M------------------0--------
Cash from discontinued investing activities
Investing cash flow 9.77%-3.64M-45.32%-3.01M-7.13%-17.34M-54.79%-8.81M20.89%-2.43M9.57%-4.03M30.19%-2.07M-29.64%-16.19M-104.71%-5.69M-29.77%-3.07M
Financing cash flow
Cash flow from continuing financing activities 1,594.29%22.25M1,210.68%14.25M-5.96%-5.28M-1.32%-1.15M-12.39%-1.35M-9.65%-1.49M-0.16%-1.28M-182.85%-4.98M52.97%-1.14M-17.48%-1.2M
Net issuance payments of debt 1,594.29%22.25M1,210.68%14.25M-5.96%-5.28M-1.32%-1.15M-12.39%-1.35M-9.65%-1.49M-0.16%-1.28M-2,246.98%-4.98M52.97%-1.14M-17.48%-1.2M
Cash from discontinued financing activities
Financing cash flow 1,594.29%22.25M1,210.68%14.25M-5.96%-5.28M-1.32%-1.15M-12.39%-1.35M-9.65%-1.49M-0.16%-1.28M-182.85%-4.98M52.97%-1.14M-17.48%-1.2M
Net cash flow
Beginning cash position -30.31%18.36M-52.95%15.35M-29.78%32.63M-22.63%25.44M-44.33%20.9M-31.40%26.35M-29.78%32.63M-9.24%46.47M-21.33%32.87M-12.46%37.54M
Current changes in cash 382.61%15.55M152.15%3.34M-33.09%-17.6M-1,030.57%-10.5M217.37%4.81M-1,759.12%-5.5M18.92%-6.4M-218.55%-13.22M-119.00%-929K-384.06%-4.1M
Effect of exchange rate changes -305.66%-109K-380.34%-328K151.21%317K-38.83%419K51.77%-272K109.30%53K168.82%117K-6.17%-619K429.33%685K-129.27%-564K
End cash Position 61.78%33.8M-30.31%18.36M-52.95%15.35M-52.95%15.35M-22.63%25.44M-44.33%20.9M-31.40%26.35M-29.78%32.63M-29.78%32.63M-21.33%32.87M
Free cash flow -66.87%-6.7M-113.21%-10.91M-12.73%-9.29M-3,109.52%-6.32M312.77%6.16M-477.97%-4.01M22.62%-5.12M-244.87%-8.24M-97.13%210K-1,736.72%-2.9M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion with Explanatory Notes----
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