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PUCK Goal Acquisitions Corp

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  • 10.890
  • +0.060+0.55%
15min DelayClose Sep 13 16:00 ET
81.23MMarket Cap-49500P/E (TTM)

Goal Acquisitions Corp 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
18.58%-350.69K
55.11%-264.95K
-49.08%-1.58M
-2.67%-334.45K
-149.59%-221.63K
-102.39%-430.72K
-37.11%-590.2K
13.72%-1.06M
-296.36%-325.76K
35.52%-88.8K
Net income from continuing operations
-283.93%-733.88K
-51.95%-593.06K
-283.03%-1.14M
50.58%-573.18K
-97.65%17.58K
-200.08%-191.15K
-410.50%-390.29K
76.76%-296.85K
-32.26%-1.16M
558.28%748.31K
Operating gains losses
101.84%315
979.00%2.36K
90.74%-31.38K
-467.85%-16.63K
105.42%2.2K
87.09%-17.16K
100.13%219
-15.48%-339.03K
112.35%4.52K
26.45%-40.5K
Other non cash items
97.46%-29.84K
98.18%-33.37K
-2.15%-3.81M
96.41%-78.44K
37.70%-727.59K
-236.27%-1.18M
-6,919.52%-1.83M
-14,482.43%-3.73M
-39,889.74%-2.19M
-34,972.37%-1.17M
Change In working capital
-56.68%412.71K
-77.96%359.11K
2.83%3.4M
-88.93%333.79K
30.94%486.19K
1,112.85%952.64K
1,132.27%1.63M
792.61%3.31M
260.46%3.02M
342.25%371.3K
-Change in prepaid assets
-61.77%19.97K
76.50%-5.62K
-125.23%-109.67K
-142.71%-59.19K
-160.08%-78.79K
-59.69%52.24K
-167.79%-23.92K
189.37%434.6K
8.61%138.59K
0.67%131.15K
-Change in payables and accrued expense
-56.38%392.74K
-77.93%364.73K
22.20%3.51M
-86.34%392.99K
135.25%564.98K
1,864.29%900.41K
956.02%1.65M
235.32%2.87M
305.79%2.88M
618.46%240.16K
Cash from discontinued investing activities
Operating cash flow
18.58%-350.69K
55.11%-264.95K
-49.08%-1.58M
-2.67%-334.46K
-149.59%-221.63K
-102.39%-430.72K
-37.11%-590.2K
13.72%-1.06M
-296.36%-325.76K
35.52%-88.8K
Investing cash flow
Cash flow from continuing investing activities
0
-99.64%603.69K
92,347.03%263.17M
6.18M
32,163.21%91.84M
-776.25K
165.92M
100.11%284.67K
0
284.67K
Net other investing changes
--0
-99.64%603.69K
92,347.03%263.17M
--6.18M
--91.84M
---776.25K
--165.92M
100.11%284.67K
--0
----
Cash from discontinued investing activities
Investing cash flow
--0
-99.64%603.69K
92,347.03%263.17M
--6.18M
32,163.21%91.84M
---776.25K
--165.92M
100.11%284.67K
--0
--284.67K
Financing cash flow
Cash flow from continuing financing activities
-72.96%265K
99.66%-554.56K
-33,757.65%-261.3M
-2,033.29%-6.08M
-51,206.05%-91.09M
410.42%980K
-36,990.98%-165.11M
-99.70%776.34K
471.52%314.34K
-177.55K
Net issuance payments of debt
--0
--0
28.75%993.11K
--0
--0
216.20%607.11K
-13.26%386K
495.63%771.34K
415.56%309.34K
---174.99K
Net common stock issuance
--0
99.66%-554.56K
---262.96M
---6.08M
---91.4M
--0
---165.49M
--0
--0
--0
Proceeds from stock option exercised by employees
----
----
--0
----
----
----
----
--0
----
----
Net other financing activities
----
----
13,344.64%672.23K
--0
--304.34K
--372.9K
-295.54%-5K
101.18%5K
----
----
Cash from discontinued financing activities
Financing cash flow
-72.96%265K
99.66%-554.56K
-33,757.65%-261.3M
-2,033.29%-6.08M
-51,206.05%-91.09M
410.42%980K
-36,990.98%-165.11M
-99.70%776.34K
471.52%314.34K
---177.55K
Net cash flow
Beginning cash position
-61.85%87.92K
2,664.59%303.75K
41.37%10.9K
2,282.10%531.64K
-13.23%3.47K
828.74%230.44K
42.54%10.99K
-72.45%7.71K
-36.04%22.32K
-97.68%4K
Current changes in cash
62.24%-85.69K
-198.35%-215.83K
9,083.10%292.85K
-1,894.57%-227.8K
2,782.86%528.17K
-990.42%-226.97K
1,183.04%219.45K
115.73%3.19K
57.99%-11.42K
113.30%18.32K
End cash Position
-35.93%2.22K
-61.85%87.92K
2,687.43%303.75K
2,687.43%303.75K
2,282.10%531.64K
-13.23%3.47K
828.74%230.44K
41.37%10.9K
41.37%10.9K
-36.04%22.32K
Free cash flow
18.58%-350.69K
55.11%-264.95K
-49.08%-1.58M
-2.67%-334.46K
-149.59%-221.63K
-102.39%-430.72K
-37.11%-590.2K
13.72%-1.06M
-296.36%-325.76K
35.52%-88.8K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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--
Unqualified Opinion with Explanatory Notes
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--
--
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Unqualified Opinion with Explanatory Notes
--
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(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 18.58%-350.69K55.11%-264.95K-49.08%-1.58M-2.67%-334.45K-149.59%-221.63K-102.39%-430.72K-37.11%-590.2K13.72%-1.06M-296.36%-325.76K35.52%-88.8K
Net income from continuing operations -283.93%-733.88K-51.95%-593.06K-283.03%-1.14M50.58%-573.18K-97.65%17.58K-200.08%-191.15K-410.50%-390.29K76.76%-296.85K-32.26%-1.16M558.28%748.31K
Operating gains losses 101.84%315979.00%2.36K90.74%-31.38K-467.85%-16.63K105.42%2.2K87.09%-17.16K100.13%219-15.48%-339.03K112.35%4.52K26.45%-40.5K
Other non cash items 97.46%-29.84K98.18%-33.37K-2.15%-3.81M96.41%-78.44K37.70%-727.59K-236.27%-1.18M-6,919.52%-1.83M-14,482.43%-3.73M-39,889.74%-2.19M-34,972.37%-1.17M
Change In working capital -56.68%412.71K-77.96%359.11K2.83%3.4M-88.93%333.79K30.94%486.19K1,112.85%952.64K1,132.27%1.63M792.61%3.31M260.46%3.02M342.25%371.3K
-Change in prepaid assets -61.77%19.97K76.50%-5.62K-125.23%-109.67K-142.71%-59.19K-160.08%-78.79K-59.69%52.24K-167.79%-23.92K189.37%434.6K8.61%138.59K0.67%131.15K
-Change in payables and accrued expense -56.38%392.74K-77.93%364.73K22.20%3.51M-86.34%392.99K135.25%564.98K1,864.29%900.41K956.02%1.65M235.32%2.87M305.79%2.88M618.46%240.16K
Cash from discontinued investing activities
Operating cash flow 18.58%-350.69K55.11%-264.95K-49.08%-1.58M-2.67%-334.46K-149.59%-221.63K-102.39%-430.72K-37.11%-590.2K13.72%-1.06M-296.36%-325.76K35.52%-88.8K
Investing cash flow
Cash flow from continuing investing activities 0-99.64%603.69K92,347.03%263.17M6.18M32,163.21%91.84M-776.25K165.92M100.11%284.67K0284.67K
Net other investing changes --0-99.64%603.69K92,347.03%263.17M--6.18M--91.84M---776.25K--165.92M100.11%284.67K--0----
Cash from discontinued investing activities
Investing cash flow --0-99.64%603.69K92,347.03%263.17M--6.18M32,163.21%91.84M---776.25K--165.92M100.11%284.67K--0--284.67K
Financing cash flow
Cash flow from continuing financing activities -72.96%265K99.66%-554.56K-33,757.65%-261.3M-2,033.29%-6.08M-51,206.05%-91.09M410.42%980K-36,990.98%-165.11M-99.70%776.34K471.52%314.34K-177.55K
Net issuance payments of debt --0--028.75%993.11K--0--0216.20%607.11K-13.26%386K495.63%771.34K415.56%309.34K---174.99K
Net common stock issuance --099.66%-554.56K---262.96M---6.08M---91.4M--0---165.49M--0--0--0
Proceeds from stock option exercised by employees ----------0------------------0--------
Net other financing activities --------13,344.64%672.23K--0--304.34K--372.9K-295.54%-5K101.18%5K--------
Cash from discontinued financing activities
Financing cash flow -72.96%265K99.66%-554.56K-33,757.65%-261.3M-2,033.29%-6.08M-51,206.05%-91.09M410.42%980K-36,990.98%-165.11M-99.70%776.34K471.52%314.34K---177.55K
Net cash flow
Beginning cash position -61.85%87.92K2,664.59%303.75K41.37%10.9K2,282.10%531.64K-13.23%3.47K828.74%230.44K42.54%10.99K-72.45%7.71K-36.04%22.32K-97.68%4K
Current changes in cash 62.24%-85.69K-198.35%-215.83K9,083.10%292.85K-1,894.57%-227.8K2,782.86%528.17K-990.42%-226.97K1,183.04%219.45K115.73%3.19K57.99%-11.42K113.30%18.32K
End cash Position -35.93%2.22K-61.85%87.92K2,687.43%303.75K2,687.43%303.75K2,282.10%531.64K-13.23%3.47K828.74%230.44K41.37%10.9K41.37%10.9K-36.04%22.32K
Free cash flow 18.58%-350.69K55.11%-264.95K-49.08%-1.58M-2.67%-334.46K-149.59%-221.63K-102.39%-430.72K-37.11%-590.2K13.72%-1.06M-296.36%-325.76K35.52%-88.8K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

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