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PHX PHX Minerals

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  • 3.425
  • +0.035+1.03%
Trading Aug 19 11:49 ET
128.43MMarket Cap21.41P/E (TTM)

PHX Minerals 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
(Q4)Dec 31, 2022
(FY)Sep 30, 2022
(Q3)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-15.03%4.18M
-41.27%5.25M
-35.60%24.17M
-66.86%3.36M
-17.18%6.96M
-32.63%4.92M
8.93M
261.03%10.14M
852.08%37.53M
51.08%8.4M
Net income from continuing operations
3,238.14%1.3M
-101.92%-183.62K
-31.79%13.92M
-24.89%2.51M
-77.93%1.9M
98.97%-41.29K
--9.55M
188.89%3.35M
428.27%20.41M
733.13%8.59M
Operating gains losses
114.07%19.34K
92.06%-648.86K
-190.15%-11.36M
24.31%-3.21M
-91.32%150.81K
-101.29%-137.44K
---8.17M
-151.24%-4.24M
-23.11%12.6M
-68.29%1.74M
Depreciation and amortization
2.62%2.27M
24.67%2.36M
17.70%8.57M
35.57%2.44M
-0.01%2.02M
4.21%2.21M
--1.89M
14.81%1.8M
-6.04%7.28M
-5.37%2.02M
Deferred tax
118.06%46.05K
-99.14%25.33K
246.52%4.3M
20.71%1.05M
220.56%577K
24.78%-255K
--2.93M
558.08%868K
226.08%1.24M
121.71%180K
Other non cash items
11.46%1.21M
86.66%1.71M
221.66%3.03M
151.89%387.81K
163.63%638.66K
1,067.36%1.09M
--913.47K
93.40%-747.4K
79.13%-2.49M
-5.40%-1M
Change In working capital
-193.50%-1.31M
8.87%1.34M
192.84%3.47M
-113.46%-334.48K
132.06%1.17M
195.58%1.41M
--1.23M
271.65%2.48M
-94.31%-3.74M
-569.61%-3.66M
-Change in receivables
-176.06%-1.31M
-21.63%1.22M
202.75%4.43M
-77.13%770.49K
112.18%388.62K
219.91%1.72M
--1.55M
343.10%3.37M
-105.75%-4.31M
-859.34%-3.19M
-Change in payables and accrued expense
140.47%261.7K
70.44%-144.9K
-259.35%-1.12M
-10.62%-706.35K
630.58%725.29K
-201.93%-646.59K
---490.2K
-239.42%-638.55K
1.19%701.52K
-117.48%-136.7K
-Change in other current assets
-180.55%-270.49K
60.36%263.84K
223.03%160.42K
-62.49%-398.63K
117.72%58.71K
91.88%335.81K
--164.52K
52.80%-245.33K
75.05%-130.4K
-200.55%-331.24K
Cash from discontinued investing activities
Operating cash flow
-15.03%4.18M
-41.27%5.25M
-35.60%24.17M
-66.86%3.36M
-17.18%6.96M
-32.63%4.92M
--8.93M
261.03%10.14M
852.08%37.53M
51.08%8.4M
Investing cash flow
Cash flow from continuing investing activities
74.21%-450.94K
-10.66%-1.35M
33.74%-20.45M
65.97%-4.3M
-63.66%-13.18M
75.26%-1.75M
-1.22M
-1,355.01%-12.63M
-51.51%-30.86M
27.84%-8.05M
Capital expenditure reported
66.56%-28.29K
96.10%-7.44K
41.01%-325.98K
94.73%-4.59K
36.30%-45.98K
2.40%-84.59K
---190.83K
-139.21%-87.1K
24.62%-552.64K
73.43%-72.18K
Net PPE purchase and sale
48.02%-871.93K
86.26%-1.41M
31.68%-29.74M
69.99%-4.35M
-50.43%-13.47M
81.91%-1.68M
---10.24M
-1,026.50%-14.5M
-111.04%-43.53M
21.47%-8.95M
Net other investing changes
3,252.80%449.28K
-99.28%66.5K
-27.26%9.61M
-97.05%57.53K
-65.69%333.26K
-99.42%13.4K
--9.21M
328.96%1.95M
1,237.03%13.22M
89.59%971.42K
Cash from discontinued investing activities
Investing cash flow
74.21%-450.94K
-10.66%-1.35M
33.74%-20.45M
65.97%-4.3M
-63.66%-13.18M
75.26%-1.75M
---1.22M
-1,355.01%-12.63M
-51.51%-30.86M
27.84%-8.05M
Financing cash flow
Cash flow from continuing financing activities
-0.62%-3.08M
64.48%-3.08M
11.90%-5.03M
-58.00%508.42K
154.11%6.19M
-3,485.74%-3.06M
-8.67M
-81.92%1.21M
-169.89%-5.71M
-66.34%2.44M
Net issuance payments of debt
11.11%-2M
72.60%-2M
-105.09%-550K
-60.00%2M
62.79%7M
-156.25%-2.25M
---7.3M
308.33%5M
196.00%10.8M
219.44%4.3M
Net common stock issuance
----
----
-108.05%-402.7K
-666.36%-402.04K
--0
---669
--0
-108.75%-52.46K
-57.17%5M
----
Cash dividends paid
-33.27%-1.08M
-33.32%-1.08M
-55.91%-3.52M
-49.98%-1.09M
-17.19%-810.38K
-56.60%-810.37K
---810.07K
-139.95%-726.46K
-112.92%-2.26M
-128.40%-691.49K
Net other financing activities
----
----
97.09%-560.16K
--0
--0
--0
---560.16K
---3.01M
-318.86%-19.26M
---5.84M
Cash from discontinued financing activities
Financing cash flow
-0.62%-3.08M
64.48%-3.08M
11.90%-5.03M
-58.00%508.42K
154.11%6.19M
-3,485.74%-3.06M
---8.67M
-81.92%1.21M
-169.89%-5.71M
-66.34%2.44M
Net cash flow
Beginning cash position
39.97%1.63M
-61.89%806.25K
-13.24%2.12M
-63.64%1.24M
-25.59%1.27M
-25.52%1.16M
--2.12M
16.79%3.4M
-77.19%2.44M
34.10%1.7M
Current changes in cash
508.28%645.8K
185.88%819.5K
-236.64%-1.31M
66.52%-428.94K
-101.16%-32.43K
-26.44%106.17K
---954.19K
-172.59%-1.28M
111.61%958.3K
70.06%2.79M
End cash Position
79.20%2.27M
39.97%1.63M
-76.26%806.25K
-61.89%806.25K
-72.49%1.24M
-25.59%1.27M
--1.16M
-13.24%2.12M
39.30%3.4M
54.35%4.49M
Free cash flow
3.89%3.28M
356.56%3.83M
10.02%-5.89M
77.61%-994.89K
-954.49%-6.56M
252.74%3.15M
---1.49M
41.69%-4.44M
62.41%-6.55M
89.83%-621.66K
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
--
(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(Q4)Dec 31, 2022(FY)Sep 30, 2022(Q3)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -15.03%4.18M-41.27%5.25M-35.60%24.17M-66.86%3.36M-17.18%6.96M-32.63%4.92M8.93M261.03%10.14M852.08%37.53M51.08%8.4M
Net income from continuing operations 3,238.14%1.3M-101.92%-183.62K-31.79%13.92M-24.89%2.51M-77.93%1.9M98.97%-41.29K--9.55M188.89%3.35M428.27%20.41M733.13%8.59M
Operating gains losses 114.07%19.34K92.06%-648.86K-190.15%-11.36M24.31%-3.21M-91.32%150.81K-101.29%-137.44K---8.17M-151.24%-4.24M-23.11%12.6M-68.29%1.74M
Depreciation and amortization 2.62%2.27M24.67%2.36M17.70%8.57M35.57%2.44M-0.01%2.02M4.21%2.21M--1.89M14.81%1.8M-6.04%7.28M-5.37%2.02M
Deferred tax 118.06%46.05K-99.14%25.33K246.52%4.3M20.71%1.05M220.56%577K24.78%-255K--2.93M558.08%868K226.08%1.24M121.71%180K
Other non cash items 11.46%1.21M86.66%1.71M221.66%3.03M151.89%387.81K163.63%638.66K1,067.36%1.09M--913.47K93.40%-747.4K79.13%-2.49M-5.40%-1M
Change In working capital -193.50%-1.31M8.87%1.34M192.84%3.47M-113.46%-334.48K132.06%1.17M195.58%1.41M--1.23M271.65%2.48M-94.31%-3.74M-569.61%-3.66M
-Change in receivables -176.06%-1.31M-21.63%1.22M202.75%4.43M-77.13%770.49K112.18%388.62K219.91%1.72M--1.55M343.10%3.37M-105.75%-4.31M-859.34%-3.19M
-Change in payables and accrued expense 140.47%261.7K70.44%-144.9K-259.35%-1.12M-10.62%-706.35K630.58%725.29K-201.93%-646.59K---490.2K-239.42%-638.55K1.19%701.52K-117.48%-136.7K
-Change in other current assets -180.55%-270.49K60.36%263.84K223.03%160.42K-62.49%-398.63K117.72%58.71K91.88%335.81K--164.52K52.80%-245.33K75.05%-130.4K-200.55%-331.24K
Cash from discontinued investing activities
Operating cash flow -15.03%4.18M-41.27%5.25M-35.60%24.17M-66.86%3.36M-17.18%6.96M-32.63%4.92M--8.93M261.03%10.14M852.08%37.53M51.08%8.4M
Investing cash flow
Cash flow from continuing investing activities 74.21%-450.94K-10.66%-1.35M33.74%-20.45M65.97%-4.3M-63.66%-13.18M75.26%-1.75M-1.22M-1,355.01%-12.63M-51.51%-30.86M27.84%-8.05M
Capital expenditure reported 66.56%-28.29K96.10%-7.44K41.01%-325.98K94.73%-4.59K36.30%-45.98K2.40%-84.59K---190.83K-139.21%-87.1K24.62%-552.64K73.43%-72.18K
Net PPE purchase and sale 48.02%-871.93K86.26%-1.41M31.68%-29.74M69.99%-4.35M-50.43%-13.47M81.91%-1.68M---10.24M-1,026.50%-14.5M-111.04%-43.53M21.47%-8.95M
Net other investing changes 3,252.80%449.28K-99.28%66.5K-27.26%9.61M-97.05%57.53K-65.69%333.26K-99.42%13.4K--9.21M328.96%1.95M1,237.03%13.22M89.59%971.42K
Cash from discontinued investing activities
Investing cash flow 74.21%-450.94K-10.66%-1.35M33.74%-20.45M65.97%-4.3M-63.66%-13.18M75.26%-1.75M---1.22M-1,355.01%-12.63M-51.51%-30.86M27.84%-8.05M
Financing cash flow
Cash flow from continuing financing activities -0.62%-3.08M64.48%-3.08M11.90%-5.03M-58.00%508.42K154.11%6.19M-3,485.74%-3.06M-8.67M-81.92%1.21M-169.89%-5.71M-66.34%2.44M
Net issuance payments of debt 11.11%-2M72.60%-2M-105.09%-550K-60.00%2M62.79%7M-156.25%-2.25M---7.3M308.33%5M196.00%10.8M219.44%4.3M
Net common stock issuance ---------108.05%-402.7K-666.36%-402.04K--0---669--0-108.75%-52.46K-57.17%5M----
Cash dividends paid -33.27%-1.08M-33.32%-1.08M-55.91%-3.52M-49.98%-1.09M-17.19%-810.38K-56.60%-810.37K---810.07K-139.95%-726.46K-112.92%-2.26M-128.40%-691.49K
Net other financing activities --------97.09%-560.16K--0--0--0---560.16K---3.01M-318.86%-19.26M---5.84M
Cash from discontinued financing activities
Financing cash flow -0.62%-3.08M64.48%-3.08M11.90%-5.03M-58.00%508.42K154.11%6.19M-3,485.74%-3.06M---8.67M-81.92%1.21M-169.89%-5.71M-66.34%2.44M
Net cash flow
Beginning cash position 39.97%1.63M-61.89%806.25K-13.24%2.12M-63.64%1.24M-25.59%1.27M-25.52%1.16M--2.12M16.79%3.4M-77.19%2.44M34.10%1.7M
Current changes in cash 508.28%645.8K185.88%819.5K-236.64%-1.31M66.52%-428.94K-101.16%-32.43K-26.44%106.17K---954.19K-172.59%-1.28M111.61%958.3K70.06%2.79M
End cash Position 79.20%2.27M39.97%1.63M-76.26%806.25K-61.89%806.25K-72.49%1.24M-25.59%1.27M--1.16M-13.24%2.12M39.30%3.4M54.35%4.49M
Free cash flow 3.89%3.28M356.56%3.83M10.02%-5.89M77.61%-994.89K-954.49%-6.56M252.74%3.15M---1.49M41.69%-4.44M62.41%-6.55M89.83%-621.66K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion----------Unqualified Opinion--

Analysis

Analyst Rating

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Price Target

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