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NXNVW NEXTNAV INC C/WTS 06/01/2027 (TO PUR COM)

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  • 9.000
  • 0.0000.00%
15min DelayClose Oct 25 16:00 ET
0Market Cap0.00P/E (TTM)

NEXTNAV INC C/WTS 06/01/2027 (TO PUR COM) 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
-44.77%-12.29M
5.95%-6.99M
4.46%-35.44M
9.04%-10.83M
-3.29%-8.69M
20.46%-8.49M
-21.81%-7.43M
22.61%-37.1M
35.63%-11.91M
-8.25%-8.41M
Net income from continuing operations
-54.66%-24.39M
-93.35%-31.61M
-78.82%-71.74M
-31.15%-16.4M
-23.97%-23.22M
-2,006.89%-15.77M
-68.36%-16.35M
72.27%-40.12M
72.94%-12.5M
42.23%-18.73M
Operating gains losses
9,471.26%8.33M
358.59%13.17M
115.28%3.75M
-279.65%-5.71M
471.50%6.5M
100.49%87K
144.95%2.87M
-126.26%-24.52M
-105.64%-1.5M
-94.91%1.14M
Depreciation and amortization
9.85%1.29M
17.24%1.32M
31.33%4.82M
24.46%1.26M
40.97%1.26M
33.26%1.18M
27.55%1.13M
106.00%3.67M
42.22%1.01M
123.87%891K
Other non cash items
-171.08%-354K
9,620.00%1.46M
5,644.64%3.22M
9,200.00%1.4M
8,626.67%1.31M
3,457.14%498K
25.00%15K
-99.61%56K
-99.84%15K
-99.20%15K
Change In working capital
-171.88%-823K
324.69%4.44M
199.37%2.67M
88.04%-579K
-35.28%1.06M
181.67%1.15M
-45.35%1.05M
81.29%-2.69M
49.56%-4.84M
647.00%1.64M
-Change in receivables
-17.32%-752K
-14.61%836K
61.68%-164K
155.79%405K
-92.57%-907K
31.44%-641K
-42.55%979K
74.26%-428K
56.34%-726K
---471K
-Change in payables and accrued expense
-188.45%-781K
12,480.65%3.9M
162.38%1.26M
73.89%-781K
-29.04%1.12M
183.94%883K
-93.02%31K
79.51%-2.02M
75.89%-2.99M
-4.92%1.58M
-Change in other current assets
-31.64%512K
-2,747.37%-541K
-13.00%656K
48.55%-674K
66.20%600K
-18.41%749K
-102.42%-19K
116.71%754K
-146.18%-1.31M
118.36%361K
-Change in other working capital
28.57%198K
350.00%243K
192.31%924K
153.23%471K
46.71%245K
146.25%154K
105.29%54K
-161.34%-1M
--186K
--167K
Cash from discontinued investing activities
Operating cash flow
-44.77%-12.29M
5.95%-6.99M
4.46%-35.44M
9.04%-10.83M
-3.29%-8.69M
20.46%-8.49M
-21.81%-7.43M
22.61%-37.1M
35.63%-11.91M
-8.25%-8.41M
Investing cash flow
Cash flow from continuing investing activities
34.13%-20.21M
-152.61%-2.11M
106.83%1.07M
157.85%2.57M
339.39%25.17M
-5,216.29%-30.68M
2,030.77%4.02M
-1,127.46%-15.74M
-1,846.93%-4.44M
-7,629.41%-10.51M
Capital expenditure reported
89.91%-149K
96.26%-32K
7.19%-2.75M
83.12%-210K
80.85%-208K
-219.01%-1.48M
-400.58%-856K
-190.02%-2.96M
-653.94%-1.24M
-3,493.75%-1.09M
Net intangibles purchase and sale
39.63%-99K
52.20%-163K
-60.36%-983K
17.66%-275K
-58.59%-203K
-43.86%-164K
-821.62%-341K
-135.77%-613K
-430.16%-334K
23.81%-128K
Net business purchase and sale
----
----
--0
--0
----
----
----
---4.02M
---2.89M
----
Net investment purchase and sale
40.67%-17.23M
-136.79%-1.92M
159.04%4.81M
10,427.59%3.05M
412.93%25.58M
---29.03M
--5.21M
---8.14M
--29K
---8.17M
Cash from discontinued investing activities
Investing cash flow
34.13%-20.21M
-152.61%-2.11M
106.83%1.07M
157.85%2.57M
339.39%25.17M
-5,216.29%-30.68M
2,030.77%4.02M
-1,127.46%-15.74M
-1,846.93%-4.44M
-7,629.41%-10.51M
Financing cash flow
Cash flow from continuing financing activities
-53.98%22.16M
51,700.00%516K
160,327.91%68.98M
-2,000.00%-21K
695,400.00%20.86M
218,750.00%48.15M
-104.00%-1K
-99.97%43K
-100.00%-1K
-100.16%-3K
Net issuance payments of debt
-100.05%-27K
-3.70%-28K
411,217.65%69.89M
-64.71%-28K
--19.97M
--49.97M
---27K
99.98%-17K
99.98%-17K
--0
Net common stock issuance
----
----
--0
--0
----
----
----
50.00%3K
250.00%7K
---3K
Proceeds from stock option exercised by employees
170,223.08%22.14M
1,992.31%544K
1,575.44%955K
-22.22%7K
--909K
-40.91%13K
0.00%26K
--57K
550.00%9K
--0
Net other financing activities
----
----
---1.86M
--0
---23K
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-53.98%22.16M
51,700.00%516K
160,327.91%68.98M
-2,000.00%-21K
695,400.00%20.86M
218,750.00%48.15M
-104.00%-1K
-99.97%43K
-100.00%-1K
-100.16%-3K
Net cash flow
Beginning cash position
67.34%73.32M
73.36%81.88M
-52.81%47.23M
41.74%90.13M
-36.04%52.78M
-53.28%43.81M
-52.81%47.23M
632.14%100.08M
3,774.95%63.59M
966.31%82.52M
Current changes in cash
-215.20%-10.35M
-151.52%-8.58M
165.58%34.62M
49.32%-8.29M
297.27%37.34M
179.95%8.98M
45.67%-3.41M
-161.08%-52.79M
-116.61%-16.35M
-211.08%-18.93M
Effect of exchange rate changes
111.11%1K
520.00%21K
151.72%30K
500.00%32K
250.00%12K
66.67%-9K
66.67%-5K
-190.00%-58K
-33.33%-8K
42.86%-8K
End cash Position
19.30%62.97M
67.34%73.32M
73.36%81.88M
73.36%81.88M
41.74%90.13M
-36.04%52.78M
-53.28%43.81M
-52.81%47.23M
-52.81%47.23M
3,774.95%63.59M
Free cash flow
-23.77%-12.54M
16.74%-7.18M
3.68%-39.17M
16.09%-11.32M
5.46%-9.1M
9.96%-10.13M
-36.78%-8.62M
17.36%-40.67M
27.99%-13.49M
-21.74%-9.63M
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 -44.77%-12.29M5.95%-6.99M4.46%-35.44M9.04%-10.83M-3.29%-8.69M20.46%-8.49M-21.81%-7.43M22.61%-37.1M35.63%-11.91M-8.25%-8.41M
Net income from continuing operations -54.66%-24.39M-93.35%-31.61M-78.82%-71.74M-31.15%-16.4M-23.97%-23.22M-2,006.89%-15.77M-68.36%-16.35M72.27%-40.12M72.94%-12.5M42.23%-18.73M
Operating gains losses 9,471.26%8.33M358.59%13.17M115.28%3.75M-279.65%-5.71M471.50%6.5M100.49%87K144.95%2.87M-126.26%-24.52M-105.64%-1.5M-94.91%1.14M
Depreciation and amortization 9.85%1.29M17.24%1.32M31.33%4.82M24.46%1.26M40.97%1.26M33.26%1.18M27.55%1.13M106.00%3.67M42.22%1.01M123.87%891K
Other non cash items -171.08%-354K9,620.00%1.46M5,644.64%3.22M9,200.00%1.4M8,626.67%1.31M3,457.14%498K25.00%15K-99.61%56K-99.84%15K-99.20%15K
Change In working capital -171.88%-823K324.69%4.44M199.37%2.67M88.04%-579K-35.28%1.06M181.67%1.15M-45.35%1.05M81.29%-2.69M49.56%-4.84M647.00%1.64M
-Change in receivables -17.32%-752K-14.61%836K61.68%-164K155.79%405K-92.57%-907K31.44%-641K-42.55%979K74.26%-428K56.34%-726K---471K
-Change in payables and accrued expense -188.45%-781K12,480.65%3.9M162.38%1.26M73.89%-781K-29.04%1.12M183.94%883K-93.02%31K79.51%-2.02M75.89%-2.99M-4.92%1.58M
-Change in other current assets -31.64%512K-2,747.37%-541K-13.00%656K48.55%-674K66.20%600K-18.41%749K-102.42%-19K116.71%754K-146.18%-1.31M118.36%361K
-Change in other working capital 28.57%198K350.00%243K192.31%924K153.23%471K46.71%245K146.25%154K105.29%54K-161.34%-1M--186K--167K
Cash from discontinued investing activities
Operating cash flow -44.77%-12.29M5.95%-6.99M4.46%-35.44M9.04%-10.83M-3.29%-8.69M20.46%-8.49M-21.81%-7.43M22.61%-37.1M35.63%-11.91M-8.25%-8.41M
Investing cash flow
Cash flow from continuing investing activities 34.13%-20.21M-152.61%-2.11M106.83%1.07M157.85%2.57M339.39%25.17M-5,216.29%-30.68M2,030.77%4.02M-1,127.46%-15.74M-1,846.93%-4.44M-7,629.41%-10.51M
Capital expenditure reported 89.91%-149K96.26%-32K7.19%-2.75M83.12%-210K80.85%-208K-219.01%-1.48M-400.58%-856K-190.02%-2.96M-653.94%-1.24M-3,493.75%-1.09M
Net intangibles purchase and sale 39.63%-99K52.20%-163K-60.36%-983K17.66%-275K-58.59%-203K-43.86%-164K-821.62%-341K-135.77%-613K-430.16%-334K23.81%-128K
Net business purchase and sale ----------0--0---------------4.02M---2.89M----
Net investment purchase and sale 40.67%-17.23M-136.79%-1.92M159.04%4.81M10,427.59%3.05M412.93%25.58M---29.03M--5.21M---8.14M--29K---8.17M
Cash from discontinued investing activities
Investing cash flow 34.13%-20.21M-152.61%-2.11M106.83%1.07M157.85%2.57M339.39%25.17M-5,216.29%-30.68M2,030.77%4.02M-1,127.46%-15.74M-1,846.93%-4.44M-7,629.41%-10.51M
Financing cash flow
Cash flow from continuing financing activities -53.98%22.16M51,700.00%516K160,327.91%68.98M-2,000.00%-21K695,400.00%20.86M218,750.00%48.15M-104.00%-1K-99.97%43K-100.00%-1K-100.16%-3K
Net issuance payments of debt -100.05%-27K-3.70%-28K411,217.65%69.89M-64.71%-28K--19.97M--49.97M---27K99.98%-17K99.98%-17K--0
Net common stock issuance ----------0--0------------50.00%3K250.00%7K---3K
Proceeds from stock option exercised by employees 170,223.08%22.14M1,992.31%544K1,575.44%955K-22.22%7K--909K-40.91%13K0.00%26K--57K550.00%9K--0
Net other financing activities -----------1.86M--0---23K--------------------
Cash from discontinued financing activities
Financing cash flow -53.98%22.16M51,700.00%516K160,327.91%68.98M-2,000.00%-21K695,400.00%20.86M218,750.00%48.15M-104.00%-1K-99.97%43K-100.00%-1K-100.16%-3K
Net cash flow
Beginning cash position 67.34%73.32M73.36%81.88M-52.81%47.23M41.74%90.13M-36.04%52.78M-53.28%43.81M-52.81%47.23M632.14%100.08M3,774.95%63.59M966.31%82.52M
Current changes in cash -215.20%-10.35M-151.52%-8.58M165.58%34.62M49.32%-8.29M297.27%37.34M179.95%8.98M45.67%-3.41M-161.08%-52.79M-116.61%-16.35M-211.08%-18.93M
Effect of exchange rate changes 111.11%1K520.00%21K151.72%30K500.00%32K250.00%12K66.67%-9K66.67%-5K-190.00%-58K-33.33%-8K42.86%-8K
End cash Position 19.30%62.97M67.34%73.32M73.36%81.88M73.36%81.88M41.74%90.13M-36.04%52.78M-53.28%43.81M-52.81%47.23M-52.81%47.23M3,774.95%63.59M
Free cash flow -23.77%-12.54M16.74%-7.18M3.68%-39.17M16.09%-11.32M5.46%-9.1M9.96%-10.13M-36.78%-8.62M17.36%-40.67M27.99%-13.49M-21.74%-9.63M
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----

Analysis

Analyst Rating

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Price Target

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