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PSI Pason Systems Inc

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  • 14.010
  • -0.120-0.85%
15min DelayMarket Closed Dec 12 16:00 ET
1.12BMarket Cap9.87P/E (TTM)

Pason Systems Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-4.17%30.38M
-12.41%25.98M
-32.96%31.01M
29.32%135.03M
37.46%27.41M
3.11%31.7M
15.50%29.66M
64.94%46.27M
60.49%104.41M
-26.31%19.94M
Net income from continuing operations
-13.44%23.72M
-58.80%10.28M
94.97%69.12M
-9.36%95.83M
-77.74%8.01M
-18.79%27.4M
38.74%24.96M
96.96%35.45M
231.17%105.73M
250.17%35.99M
Operating gains losses
-102.40%-27K
-360.80%-1.17M
-5,651.65%-50.56M
417.26%17.11M
751.05%16.41M
146.74%1.13M
135.72%449K
-210.43%-879K
-4,313.28%-5.39M
-132.99%-2.52M
Depreciation and amortization
95.46%13.66M
121.86%12.9M
77.30%11.73M
30.58%27.22M
44.42%7.8M
57.64%6.99M
23.83%5.82M
4.78%6.62M
-18.87%20.84M
-12.52%5.4M
Remuneration paid in stock
-102.30%-117K
133.33%4.63M
3,771.95%3.01M
-23.06%11.72M
-7.74%4.73M
150.10%5.08M
-21.00%1.99M
-101.48%-82K
32.17%15.23M
0.69%5.13M
Deferred tax
-239.30%-1.11M
147.08%1.4M
-54.10%1.54M
482.37%5.22M
-78.43%501K
46.34%799K
-81.40%565K
166.93%3.35M
141.91%896K
201.04%2.32M
Other non cashItems
----
----
----
-8.32%-2.62M
--0
50.99%-1.16M
-356.15%-666K
-1,743.75%-789K
-502.00%-2.42M
-129.69%-353K
Change In working capital
112.73%464K
-40.51%3.46M
-125.25%-1.99M
317.41%6.98M
73.99%-3.08M
-187.41%-3.64M
193.20%5.82M
6.89%7.88M
-61.54%1.67M
-253.06%-11.86M
-Change in receivables
-1,717.54%-3.84M
-6.94%6.18M
-434.55%-13.42M
153.21%18.82M
217.12%8.37M
98.50%-211K
267.82%6.64M
139.36%4.01M
-56.10%-35.37M
-294.59%-7.15M
-Change in inventory
220.47%512K
-233.95%-1.63M
148.83%1.04M
79.63%-2.23M
115.27%823K
86.29%-425K
79.91%-489K
---2.13M
---10.92M
---5.39M
-Change in prepaid assets
-114.56%-3.46M
426.80%1.68M
-549.40%-2.61M
88.35%-667K
162.70%881K
68.11%-1.61M
-386.11%-515K
3.20%581K
-160.61%-5.72M
-55.08%-1.41M
-Change in payables and accrued expense
133.82%1.13M
16.30%-5.73M
196.26%1.44M
-277.42%-20.82M
-165.61%-9.15M
-123.64%-3.33M
-186.71%-6.85M
73.74%-1.5M
4.60%11.74M
-175.00%-3.44M
-Change in other working capital
216.49%6.12M
-57.87%2.96M
66.96%11.56M
-71.70%11.87M
-172.63%-4.02M
-84.28%1.94M
2,220.13%7.03M
-69.52%6.92M
133.32%41.95M
-52.79%5.53M
Tax refund paid
-26.93%-6.21M
40.36%-5.53M
65.17%-1.84M
17.82%-26.41M
50.90%-6.96M
47.93%-4.89M
-161.37%-9.28M
-5.21%-5.29M
-358.39%-32.14M
-37,197.37%-14.17M
Cash from discontinued investing activities
Operating cash flow
-4.17%30.38M
-12.41%25.98M
-32.96%31.01M
29.32%135.03M
37.46%27.41M
3.11%31.7M
15.50%29.66M
64.94%46.27M
60.49%104.41M
-26.31%19.94M
Investing cash flow
Cash flow from continuing investing activities
-12.51%-13.14M
-7.65%-17.95M
-788.50%-106.58M
85.83%-13.07M
136.61%27.28M
-74.46%-11.68M
-154.74%-16.67M
-168.46%-12M
-240.63%-92.23M
-823.37%-74.53M
Net PPE purchase and sale
-104.08%-12.42M
-44.11%-16.76M
-55.87%-17.9M
-11.80%-37.05M
51.04%-7.85M
6.73%-6.09M
-81.56%-11.63M
-174.82%-11.48M
-263.93%-33.14M
-448.72%-16.03M
Net intangibles purchas and sale
-513.94%-1.28M
-240.60%-1.25M
-858.28%-1.45M
-123.33%-1.1M
-209.92%-375K
-96.23%-208K
-178.03%-367K
-12.69%-151K
27.82%-493K
54.85%-121K
Net business purchase and sale
--0
--0
-18,788.18%-83.11M
----
----
---5M
---5M
---440K
----
----
Net investment purchase and sale
--577K
--0
---4.19M
142.78%24.94M
--24.94M
--0
--0
--0
-240.35%-58.29M
----
Net other investing changes
93.32%-26K
-79.88%66K
-19.23%63K
146.15%144K
251.19%127K
-489.39%-389K
5,566.67%328K
150.00%78K
-92.59%-312K
-171.19%-84K
Cash from discontinued investing activities
Investing cash flow
-12.51%-13.14M
-7.65%-17.95M
-788.50%-106.58M
85.83%-13.07M
136.61%27.28M
-74.46%-11.68M
-154.74%-16.67M
-168.46%-12M
-240.63%-92.23M
-823.37%-74.53M
Financing cash flow
Cash flow from continuing financing activities
27.20%-11.72M
39.56%-10.5M
-35.94%-27.14M
-56.47%-65.82M
12.95%-12.4M
-33.77%-16.09M
-106.20%-17.37M
-170.83%-19.96M
-55.53%-42.07M
-106.80%-14.24M
Net issuance payments of debt
-32.93%-771K
-18.68%-934K
-2,400.53%-14.03M
-24.49%-2.27M
-52.21%-344K
-29.75%-580K
-22.20%-787K
-10.43%-561K
16.78%-1.83M
48.40%-226K
Net common stock issuance
----
61.29%-2.71M
67.07%-3.29M
-102.66%-27.94M
----
----
-366.82%-6.99M
-633.06%-10M
-63.50%-13.79M
-135.33%-5.82M
Cash dividends paid
-7.64%-10.34M
-7.71%-10.37M
-6.02%-10.33M
-30.75%-38.54M
2.16%-9.55M
-46.46%-9.61M
-46.37%-9.63M
-48.33%-9.75M
-77.90%-29.47M
-136.78%-9.77M
Proceeds from stock option exercised by employees
754.35%393K
8,079.07%3.52M
50.58%515K
-3.05%2.93M
59.59%2.5M
-45.88%46K
-85.62%43K
-68.07%342K
1,967.81%3.02M
971.23%1.56M
Net other financing activities
83.23%-998K
----
----
----
----
---5.95M
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
27.20%-11.72M
39.56%-10.5M
-35.94%-27.14M
-56.47%-65.82M
12.95%-12.4M
-33.77%-16.09M
-106.20%-17.37M
-170.83%-19.96M
-55.53%-42.07M
-106.80%-14.24M
Net cash flow
Beginning cash position
-50.41%66.81M
-51.47%70.05M
30.07%171.77M
-16.57%132.06M
-32.84%138.36M
-27.94%134.72M
-16.10%144.36M
-16.57%132.06M
6.03%158.28M
40.08%206.03M
Current changes in cash
40.54%5.52M
43.68%-2.47M
-817.83%-102.7M
287.89%56.15M
161.46%42.3M
-67.34%3.93M
-140.89%-4.38M
-11.75%14.31M
-373.21%-29.88M
-668.66%-68.83M
Effect of exchange rate changes
-415.33%-1.48M
85.31%-772K
148.63%977K
-549.23%-16.43M
-72.65%-8.88M
-104.07%-287K
-225.66%-5.25M
17.56%-2.01M
288.85%3.66M
-471.67%-5.15M
End cash Position
-48.79%70.85M
-50.41%66.81M
-51.47%70.05M
30.07%171.77M
30.07%171.77M
-32.84%138.36M
-27.94%134.72M
-16.10%144.36M
-16.57%132.06M
-16.57%132.06M
Free cash from
-39.01%15.18M
-55.47%7.65M
-68.38%10.94M
34.63%94.12M
392.55%17.46M
4.46%24.89M
-9.38%17.18M
46.68%34.6M
29.13%69.91M
-85.05%3.55M
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
--
(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -4.17%30.38M-12.41%25.98M-32.96%31.01M29.32%135.03M37.46%27.41M3.11%31.7M15.50%29.66M64.94%46.27M60.49%104.41M-26.31%19.94M
Net income from continuing operations -13.44%23.72M-58.80%10.28M94.97%69.12M-9.36%95.83M-77.74%8.01M-18.79%27.4M38.74%24.96M96.96%35.45M231.17%105.73M250.17%35.99M
Operating gains losses -102.40%-27K-360.80%-1.17M-5,651.65%-50.56M417.26%17.11M751.05%16.41M146.74%1.13M135.72%449K-210.43%-879K-4,313.28%-5.39M-132.99%-2.52M
Depreciation and amortization 95.46%13.66M121.86%12.9M77.30%11.73M30.58%27.22M44.42%7.8M57.64%6.99M23.83%5.82M4.78%6.62M-18.87%20.84M-12.52%5.4M
Remuneration paid in stock -102.30%-117K133.33%4.63M3,771.95%3.01M-23.06%11.72M-7.74%4.73M150.10%5.08M-21.00%1.99M-101.48%-82K32.17%15.23M0.69%5.13M
Deferred tax -239.30%-1.11M147.08%1.4M-54.10%1.54M482.37%5.22M-78.43%501K46.34%799K-81.40%565K166.93%3.35M141.91%896K201.04%2.32M
Other non cashItems -------------8.32%-2.62M--050.99%-1.16M-356.15%-666K-1,743.75%-789K-502.00%-2.42M-129.69%-353K
Change In working capital 112.73%464K-40.51%3.46M-125.25%-1.99M317.41%6.98M73.99%-3.08M-187.41%-3.64M193.20%5.82M6.89%7.88M-61.54%1.67M-253.06%-11.86M
-Change in receivables -1,717.54%-3.84M-6.94%6.18M-434.55%-13.42M153.21%18.82M217.12%8.37M98.50%-211K267.82%6.64M139.36%4.01M-56.10%-35.37M-294.59%-7.15M
-Change in inventory 220.47%512K-233.95%-1.63M148.83%1.04M79.63%-2.23M115.27%823K86.29%-425K79.91%-489K---2.13M---10.92M---5.39M
-Change in prepaid assets -114.56%-3.46M426.80%1.68M-549.40%-2.61M88.35%-667K162.70%881K68.11%-1.61M-386.11%-515K3.20%581K-160.61%-5.72M-55.08%-1.41M
-Change in payables and accrued expense 133.82%1.13M16.30%-5.73M196.26%1.44M-277.42%-20.82M-165.61%-9.15M-123.64%-3.33M-186.71%-6.85M73.74%-1.5M4.60%11.74M-175.00%-3.44M
-Change in other working capital 216.49%6.12M-57.87%2.96M66.96%11.56M-71.70%11.87M-172.63%-4.02M-84.28%1.94M2,220.13%7.03M-69.52%6.92M133.32%41.95M-52.79%5.53M
Tax refund paid -26.93%-6.21M40.36%-5.53M65.17%-1.84M17.82%-26.41M50.90%-6.96M47.93%-4.89M-161.37%-9.28M-5.21%-5.29M-358.39%-32.14M-37,197.37%-14.17M
Cash from discontinued investing activities
Operating cash flow -4.17%30.38M-12.41%25.98M-32.96%31.01M29.32%135.03M37.46%27.41M3.11%31.7M15.50%29.66M64.94%46.27M60.49%104.41M-26.31%19.94M
Investing cash flow
Cash flow from continuing investing activities -12.51%-13.14M-7.65%-17.95M-788.50%-106.58M85.83%-13.07M136.61%27.28M-74.46%-11.68M-154.74%-16.67M-168.46%-12M-240.63%-92.23M-823.37%-74.53M
Net PPE purchase and sale -104.08%-12.42M-44.11%-16.76M-55.87%-17.9M-11.80%-37.05M51.04%-7.85M6.73%-6.09M-81.56%-11.63M-174.82%-11.48M-263.93%-33.14M-448.72%-16.03M
Net intangibles purchas and sale -513.94%-1.28M-240.60%-1.25M-858.28%-1.45M-123.33%-1.1M-209.92%-375K-96.23%-208K-178.03%-367K-12.69%-151K27.82%-493K54.85%-121K
Net business purchase and sale --0--0-18,788.18%-83.11M-----------5M---5M---440K--------
Net investment purchase and sale --577K--0---4.19M142.78%24.94M--24.94M--0--0--0-240.35%-58.29M----
Net other investing changes 93.32%-26K-79.88%66K-19.23%63K146.15%144K251.19%127K-489.39%-389K5,566.67%328K150.00%78K-92.59%-312K-171.19%-84K
Cash from discontinued investing activities
Investing cash flow -12.51%-13.14M-7.65%-17.95M-788.50%-106.58M85.83%-13.07M136.61%27.28M-74.46%-11.68M-154.74%-16.67M-168.46%-12M-240.63%-92.23M-823.37%-74.53M
Financing cash flow
Cash flow from continuing financing activities 27.20%-11.72M39.56%-10.5M-35.94%-27.14M-56.47%-65.82M12.95%-12.4M-33.77%-16.09M-106.20%-17.37M-170.83%-19.96M-55.53%-42.07M-106.80%-14.24M
Net issuance payments of debt -32.93%-771K-18.68%-934K-2,400.53%-14.03M-24.49%-2.27M-52.21%-344K-29.75%-580K-22.20%-787K-10.43%-561K16.78%-1.83M48.40%-226K
Net common stock issuance ----61.29%-2.71M67.07%-3.29M-102.66%-27.94M---------366.82%-6.99M-633.06%-10M-63.50%-13.79M-135.33%-5.82M
Cash dividends paid -7.64%-10.34M-7.71%-10.37M-6.02%-10.33M-30.75%-38.54M2.16%-9.55M-46.46%-9.61M-46.37%-9.63M-48.33%-9.75M-77.90%-29.47M-136.78%-9.77M
Proceeds from stock option exercised by employees 754.35%393K8,079.07%3.52M50.58%515K-3.05%2.93M59.59%2.5M-45.88%46K-85.62%43K-68.07%342K1,967.81%3.02M971.23%1.56M
Net other financing activities 83.23%-998K-------------------5.95M----------------
Cash from discontinued financing activities
Financing cash flow 27.20%-11.72M39.56%-10.5M-35.94%-27.14M-56.47%-65.82M12.95%-12.4M-33.77%-16.09M-106.20%-17.37M-170.83%-19.96M-55.53%-42.07M-106.80%-14.24M
Net cash flow
Beginning cash position -50.41%66.81M-51.47%70.05M30.07%171.77M-16.57%132.06M-32.84%138.36M-27.94%134.72M-16.10%144.36M-16.57%132.06M6.03%158.28M40.08%206.03M
Current changes in cash 40.54%5.52M43.68%-2.47M-817.83%-102.7M287.89%56.15M161.46%42.3M-67.34%3.93M-140.89%-4.38M-11.75%14.31M-373.21%-29.88M-668.66%-68.83M
Effect of exchange rate changes -415.33%-1.48M85.31%-772K148.63%977K-549.23%-16.43M-72.65%-8.88M-104.07%-287K-225.66%-5.25M17.56%-2.01M288.85%3.66M-471.67%-5.15M
End cash Position -48.79%70.85M-50.41%66.81M-51.47%70.05M30.07%171.77M30.07%171.77M-32.84%138.36M-27.94%134.72M-16.10%144.36M-16.57%132.06M-16.57%132.06M
Free cash from -39.01%15.18M-55.47%7.65M-68.38%10.94M34.63%94.12M392.55%17.46M4.46%24.89M-9.38%17.18M46.68%34.6M29.13%69.91M-85.05%3.55M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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