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PLCKD PLURILOCK SECURITY INC

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  • 0.344
  • 0.0000.00%
15min DelayClose May 16 16:00 ET
13.36MMarket Cap-479P/E (TTM)

PLURILOCK SECURITY INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
78.34%-2.13M
86.11%-502.7K
-2,716.22%-2.46M
46.54%-870.73K
137.76%1.7M
-383.66%-9.84M
-53.28%-3.62M
-104.58%-87.25K
-289.53%-1.63M
-288.59%-4.5M
Net income from continuing operations
-7.57%-9.09M
-52.58%-3.25M
-15.94%-1.89M
-12.14%-2.58M
42.92%-1.36M
-34.55%-8.45M
-16.44%-2.13M
-13.27%-1.63M
-60.94%-2.3M
-51.08%-2.38M
Operating gains losses
-381.79%-429.85K
-286.85%-116.08K
-177.95%-19.67K
-371.55%-146.75K
-242.68%-147.35K
174.68%152.54K
37.81%-30.01K
236.69%25.24K
133.57%54.04K
340.15%103.27K
Depreciation and amortization
109.92%566.58K
107.71%161.31K
36.25%112.84K
186.40%194.87K
135.77%97.55K
153.23%269.9K
-1.96%77.66K
741.74%82.82K
609.67%68.04K
420.86%41.38K
Deferred tax
161.27%2.81K
47.59%2.81K
--0
----
----
96.86%-4.59K
101.30%1.91K
---6.5K
----
----
Other non cash items
109.45%495.53K
52.21%201.56K
-60.14%12.21K
995.89%272.81K
-81.59%8.95K
645.69%236.59K
6,757.48%132.42K
1,193.41%30.64K
1,097.40%24.89K
91.86%48.63K
Change In working capital
295.65%5.32M
200.11%1.77M
-154.54%-714.98K
336.50%1.33M
214.27%2.93M
-177.22%-2.72M
-170.98%-1.77M
-58.18%1.31M
-67.39%304.67K
-2,651.65%-2.57M
-Change in receivables
-611.02%-5.11M
-111.29%-1.12M
37.86%-8.07M
870.06%4.11M
-101.23%-35.98K
78.75%-719.16K
653.94%9.88M
-8,366.72%-12.99M
71.70%-533.75K
2,198.20%2.93M
-Change in inventory
-447.50%-1.55M
-4.85%1.24M
-233.55%-2.74M
-58.68%256.84K
53.06%-308.4K
183.07%445.99K
621.65%1.3M
-279.42%-820.64K
183.46%621.53K
---657.07K
-Change in prepaid assets
280.92%321.43K
685.38%410.86K
313.64%277.94K
-549.79%-399.55K
148.61%32.18K
-93.30%-177.66K
-34.81%-70.19K
-2,489.77%-130.1K
45.54%88.83K
37.73%-66.21K
-Change in payables and accrued expense
581.03%10.62M
104.83%607.84K
-36.03%9.59M
-2,110.05%-2.77M
167.22%3.19M
-129.91%-2.21M
-961.07%-12.58M
550.68%14.99M
-96.06%137.96K
-4,148.78%-4.75M
-Change in other current assets
193.28%93.04K
88.60%-11.37K
--0
--106.34K
---1.94K
---99.74K
---99.74K
--0
--0
--0
-Change in other current liabilities
-217.46%-39.05K
-118.61%-6.19K
--6.22K
---57.74K
--18.66K
--33.25K
--33.25K
--0
--0
--0
-Change in other working capital
13,054.60%986.33K
381.56%642.99K
-16.15%222.34K
977.89%86.89K
275.74%34.11K
-95.08%7.5K
-720.84%-228.37K
25.17%265.17K
-255.48%-9.9K
48.75%-19.41K
Cash from discontinued investing activities
Operating cash flow
78.34%-2.13M
86.11%-502.7K
-2,716.22%-2.46M
46.54%-870.73K
137.76%1.7M
-383.66%-9.84M
-53.28%-3.62M
-104.58%-87.25K
-289.53%-1.63M
-288.59%-4.5M
Investing cash flow
Cash flow from continuing investing activities
99.81%-8.73K
99.48%-4.08K
99.94%-1.67K
79.87%-2.26K
99.91%-724
-94,571.71%-4.67M
-8,889.98%-789.59K
-9,983.82%-3.02M
-55.41%-11.23K
-2,164.58%-846.62K
Net PPE purchase and sale
74.01%-8.73K
-213.09%-4.08K
96.75%-1.67K
79.87%-2.26K
-102.87%-724
39.62%-33.59K
165.61%3.61K
-71.02%-51.18K
-55.41%-11.23K
294.37%25.22K
Net business purchase and sale
--0
--0
--0
--0
--0
-9,236.49%-4.63M
-24,046.03%-793.2K
---2.97M
--0
-1,715.08%-871.84K
Cash from discontinued investing activities
Investing cash flow
99.81%-8.73K
99.48%-4.08K
99.94%-1.67K
79.87%-2.26K
99.91%-724
-94,571.71%-4.67M
-8,889.98%-789.59K
-9,983.82%-3.02M
-55.41%-11.23K
-2,164.58%-846.62K
Financing cash flow
Cash flow from continuing financing activities
-87.87%963.19K
-130.83%-1.24M
-8.15%2.96M
307.29%2.41M
-269.67%-3.17M
-18.77%7.94M
-15.04%4.01M
1,073.09%3.22M
-137.60%-1.16M
-64.56%1.87M
Net issuance payments of debt
-115.18%-979.44K
-130.49%-1.24M
74.04%2.95M
164.11%744.52K
-284.32%-3.43M
1,056.97%6.45M
11,877.22%4.06M
44,631.48%1.69M
-83.89%-1.16M
40,826.23%1.86M
Net common stock issuance
30.16%1.93M
-99.34%9.85K
--13.49K
--1.66M
--191.59K
-83.86%1.48M
-65.76%1.48M
--0
--0
--0
Proceeds from stock option exercised by employees
159.56%9.98K
--0
--0
--0
159.63%9.98K
-99.69%3.84K
--0
--0
--0
-99.07%3.84K
Net other financing activities
----
----
----
----
--64.89K
----
----
--1.53M
----
----
Cash from discontinued financing activities
Financing cash flow
-87.87%963.19K
-130.83%-1.24M
-8.15%2.96M
307.29%2.41M
-269.67%-3.17M
-18.77%7.94M
-15.04%4.01M
1,073.09%3.22M
-137.60%-1.16M
-64.56%1.87M
Net cash flow
Beginning cash position
-69.87%2.85M
8.30%3.71M
-0.63%3.17M
-76.15%1.43M
-69.87%2.85M
450.09%9.47M
-51.37%3.43M
-35.81%3.19M
2.55%6M
450.09%9.47M
Current changes in cash
82.07%-1.18M
-339.19%-1.74M
324.53%502.21K
154.77%1.53M
57.81%-1.47M
-184.80%-6.56M
-116.88%-397.06K
-94.50%118.3K
-206.45%-2.8M
-183.88%-3.48M
Effect of exchange rate changes
806.03%381.16K
149.61%88.65K
-68.57%36.37K
12,907.37%210.3K
330.04%45.85K
-670.99%-53.99K
-372.43%-178.7K
251.78%115.69K
-103.83%-1.64K
146.85%10.66K
End cash Position
-27.86%2.06M
-27.86%2.06M
8.30%3.71M
-0.63%3.17M
-76.15%1.43M
-69.87%2.85M
-69.87%2.85M
-51.37%3.43M
-35.81%3.19M
2.55%6M
Free cash flow
78.33%-2.14M
85.99%-506.78K
-1,676.14%-2.46M
46.76%-872.99K
137.75%1.7M
-372.39%-9.87M
-52.77%-3.62M
-107.39%-138.43K
-285.56%-1.64M
-284.28%-4.5M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(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(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 78.34%-2.13M86.11%-502.7K-2,716.22%-2.46M46.54%-870.73K137.76%1.7M-383.66%-9.84M-53.28%-3.62M-104.58%-87.25K-289.53%-1.63M-288.59%-4.5M
Net income from continuing operations -7.57%-9.09M-52.58%-3.25M-15.94%-1.89M-12.14%-2.58M42.92%-1.36M-34.55%-8.45M-16.44%-2.13M-13.27%-1.63M-60.94%-2.3M-51.08%-2.38M
Operating gains losses -381.79%-429.85K-286.85%-116.08K-177.95%-19.67K-371.55%-146.75K-242.68%-147.35K174.68%152.54K37.81%-30.01K236.69%25.24K133.57%54.04K340.15%103.27K
Depreciation and amortization 109.92%566.58K107.71%161.31K36.25%112.84K186.40%194.87K135.77%97.55K153.23%269.9K-1.96%77.66K741.74%82.82K609.67%68.04K420.86%41.38K
Deferred tax 161.27%2.81K47.59%2.81K--0--------96.86%-4.59K101.30%1.91K---6.5K--------
Other non cash items 109.45%495.53K52.21%201.56K-60.14%12.21K995.89%272.81K-81.59%8.95K645.69%236.59K6,757.48%132.42K1,193.41%30.64K1,097.40%24.89K91.86%48.63K
Change In working capital 295.65%5.32M200.11%1.77M-154.54%-714.98K336.50%1.33M214.27%2.93M-177.22%-2.72M-170.98%-1.77M-58.18%1.31M-67.39%304.67K-2,651.65%-2.57M
-Change in receivables -611.02%-5.11M-111.29%-1.12M37.86%-8.07M870.06%4.11M-101.23%-35.98K78.75%-719.16K653.94%9.88M-8,366.72%-12.99M71.70%-533.75K2,198.20%2.93M
-Change in inventory -447.50%-1.55M-4.85%1.24M-233.55%-2.74M-58.68%256.84K53.06%-308.4K183.07%445.99K621.65%1.3M-279.42%-820.64K183.46%621.53K---657.07K
-Change in prepaid assets 280.92%321.43K685.38%410.86K313.64%277.94K-549.79%-399.55K148.61%32.18K-93.30%-177.66K-34.81%-70.19K-2,489.77%-130.1K45.54%88.83K37.73%-66.21K
-Change in payables and accrued expense 581.03%10.62M104.83%607.84K-36.03%9.59M-2,110.05%-2.77M167.22%3.19M-129.91%-2.21M-961.07%-12.58M550.68%14.99M-96.06%137.96K-4,148.78%-4.75M
-Change in other current assets 193.28%93.04K88.60%-11.37K--0--106.34K---1.94K---99.74K---99.74K--0--0--0
-Change in other current liabilities -217.46%-39.05K-118.61%-6.19K--6.22K---57.74K--18.66K--33.25K--33.25K--0--0--0
-Change in other working capital 13,054.60%986.33K381.56%642.99K-16.15%222.34K977.89%86.89K275.74%34.11K-95.08%7.5K-720.84%-228.37K25.17%265.17K-255.48%-9.9K48.75%-19.41K
Cash from discontinued investing activities
Operating cash flow 78.34%-2.13M86.11%-502.7K-2,716.22%-2.46M46.54%-870.73K137.76%1.7M-383.66%-9.84M-53.28%-3.62M-104.58%-87.25K-289.53%-1.63M-288.59%-4.5M
Investing cash flow
Cash flow from continuing investing activities 99.81%-8.73K99.48%-4.08K99.94%-1.67K79.87%-2.26K99.91%-724-94,571.71%-4.67M-8,889.98%-789.59K-9,983.82%-3.02M-55.41%-11.23K-2,164.58%-846.62K
Net PPE purchase and sale 74.01%-8.73K-213.09%-4.08K96.75%-1.67K79.87%-2.26K-102.87%-72439.62%-33.59K165.61%3.61K-71.02%-51.18K-55.41%-11.23K294.37%25.22K
Net business purchase and sale --0--0--0--0--0-9,236.49%-4.63M-24,046.03%-793.2K---2.97M--0-1,715.08%-871.84K
Cash from discontinued investing activities
Investing cash flow 99.81%-8.73K99.48%-4.08K99.94%-1.67K79.87%-2.26K99.91%-724-94,571.71%-4.67M-8,889.98%-789.59K-9,983.82%-3.02M-55.41%-11.23K-2,164.58%-846.62K
Financing cash flow
Cash flow from continuing financing activities -87.87%963.19K-130.83%-1.24M-8.15%2.96M307.29%2.41M-269.67%-3.17M-18.77%7.94M-15.04%4.01M1,073.09%3.22M-137.60%-1.16M-64.56%1.87M
Net issuance payments of debt -115.18%-979.44K-130.49%-1.24M74.04%2.95M164.11%744.52K-284.32%-3.43M1,056.97%6.45M11,877.22%4.06M44,631.48%1.69M-83.89%-1.16M40,826.23%1.86M
Net common stock issuance 30.16%1.93M-99.34%9.85K--13.49K--1.66M--191.59K-83.86%1.48M-65.76%1.48M--0--0--0
Proceeds from stock option exercised by employees 159.56%9.98K--0--0--0159.63%9.98K-99.69%3.84K--0--0--0-99.07%3.84K
Net other financing activities ------------------64.89K----------1.53M--------
Cash from discontinued financing activities
Financing cash flow -87.87%963.19K-130.83%-1.24M-8.15%2.96M307.29%2.41M-269.67%-3.17M-18.77%7.94M-15.04%4.01M1,073.09%3.22M-137.60%-1.16M-64.56%1.87M
Net cash flow
Beginning cash position -69.87%2.85M8.30%3.71M-0.63%3.17M-76.15%1.43M-69.87%2.85M450.09%9.47M-51.37%3.43M-35.81%3.19M2.55%6M450.09%9.47M
Current changes in cash 82.07%-1.18M-339.19%-1.74M324.53%502.21K154.77%1.53M57.81%-1.47M-184.80%-6.56M-116.88%-397.06K-94.50%118.3K-206.45%-2.8M-183.88%-3.48M
Effect of exchange rate changes 806.03%381.16K149.61%88.65K-68.57%36.37K12,907.37%210.3K330.04%45.85K-670.99%-53.99K-372.43%-178.7K251.78%115.69K-103.83%-1.64K146.85%10.66K
End cash Position -27.86%2.06M-27.86%2.06M8.30%3.71M-0.63%3.17M-76.15%1.43M-69.87%2.85M-69.87%2.85M-51.37%3.43M-35.81%3.19M2.55%6M
Free cash flow 78.33%-2.14M85.99%-506.78K-1,676.14%-2.46M46.76%-872.99K137.75%1.7M-372.39%-9.87M-52.77%-3.62M-107.39%-138.43K-285.56%-1.64M-284.28%-4.5M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

Analysis

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