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SLAMU Slam Corp.

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  • 11.150
  • 0.0000.00%
Close Aug 16 16:00 ET
0Market Cap0.00P/E (TTM)

Slam 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
-12.25%-578.2K
81.27%-179.53K
-85.56%-2.65M
70.42%-182.79K
-758.60%-989.58K
-82.34%-515.08K
-133.66%-958.46K
68.89%-1.43M
-114.98%-617.95K
84.68%-115.26K
Net income from continuing operations
-159.40%-1.57M
-32.78%-946.63K
-75.46%4.59M
-126.61%-1M
-29.87%3.66M
-51.42%2.64M
-116.71%-712.95K
-29.21%18.69M
-71.87%3.77M
27.31%5.23M
Operating gains losses
237.87%1.77M
-107.14%-257.08K
118.87%2.57M
222.50%1.66M
57.34%-1.4M
77.02%-1.28M
168.34%3.6M
54.23%-13.63M
103.70%514.17K
36.65%-3.29M
Other non cash items
53.87%-944.21K
84.69%-649.49K
-38.93%-11.71M
49.08%-2.53M
-11.28%-2.89M
-150.62%-2.05M
-8,937.30%-4.24M
-52,081.33%-8.43M
-45,425.74%-4.96M
-29,333.03%-2.6M
Change In working capital
-0.76%176.65K
310.67%1.63M
-1.81%1.91M
2,460.86%1.69M
-165.04%-357.36K
-74.17%178K
-37.77%396.53K
262.51%1.94M
-69.69%65.97K
58.88%549.45K
-Change in prepaid assets
-109.57%-40.5K
153.55%263.62K
-97.34%41.92K
21.52%475.58K
-185.95%-364.61K
15.05%423.21K
-224.51%-492.26K
184.31%1.58M
-1.92%391.35K
4.35%424.19K
-Change in payables and accrued expense
188.56%217.15K
53.56%1.36M
413.79%1.86M
473.03%1.21M
-94.21%7.25K
-176.33%-245.21K
267.58%888.78K
-46.45%362.91K
-79.44%-325.38K
306.35%125.26K
Cash from discontinued investing activities
Operating cash flow
-12.25%-578.2K
81.27%-179.53K
-85.56%-2.65M
70.42%-182.79K
-758.60%-989.58K
-82.34%-515.08K
-133.66%-958.46K
68.89%-1.43M
-114.98%-617.95K
84.68%-115.26K
Investing cash flow
Cash flow from continuing investing activities
85.00%-240K
-100.07%-240K
496.37M
174.68M
-2.4M
-1.6M
325.69M
0
0
0
Net other investing changes
85.00%-240K
-100.07%-240K
--496.37M
--174.68M
---2.4M
---1.6M
--325.69M
----
----
----
Cash from discontinued investing activities
Investing cash flow
85.00%-240K
-100.07%-240K
--496.37M
--174.68M
---2.4M
---1.6M
--325.69M
--0
--0
--0
Financing cash flow
Cash flow from continuing financing activities
-67.83%740K
100.13%437K
-46,074.78%-493.77M
-26,770.36%-174.42M
2,033.33%3.2M
751.85%2.3M
-324.85M
-99.81%1.07M
63.50%654K
15,000,100.00%150K
Net issuance payments of debt
-67.83%740K
-86.54%437K
894.60%10.68M
195.87%1.94M
2,033.33%3.2M
751.85%2.3M
--3.25M
427.30%1.07M
63.50%654K
15,000,100.00%150K
Net common stock issuance
--0
--0
---504.45M
---176.36M
--0
--0
---328.09M
--0
--0
--0
Cash from discontinued financing activities
Financing cash flow
-67.83%740K
100.13%437K
-46,074.78%-493.77M
-26,770.36%-174.42M
2,033.33%3.2M
751.85%2.3M
---324.85M
-99.81%1.07M
63.50%654K
15,000,100.00%150K
Net cash flow
Beginning cash position
1,062.51%93.02K
-36.76%75.55K
-74.66%119.46K
-96.00%3.34K
296.41%192.92K
-86.92%8K
-74.66%119.46K
--471.35K
-76.75%83.41K
-95.62%48.67K
Current changes in cash
-142.29%-78.2K
115.68%17.47K
87.52%-43.91K
100.30%72.21K
-645.63%-189.58K
1,580.51%184.92K
72.83%-111.46K
-174.66%-351.89K
-67.97%36.05K
104.62%34.75K
End cash Position
-92.32%14.83K
1,062.51%93.02K
-36.76%75.55K
-36.76%75.55K
-96.00%3.34K
296.41%192.92K
-86.92%8K
-74.66%119.46K
-74.66%119.46K
-76.75%83.41K
Free cash flow
-12.25%-578.2K
81.27%-179.53K
-85.56%-2.65M
70.42%-182.79K
-758.60%-989.58K
-82.34%-515.08K
-133.66%-958.46K
68.89%-1.43M
-114.98%-617.95K
84.68%-115.26K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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 -12.25%-578.2K81.27%-179.53K-85.56%-2.65M70.42%-182.79K-758.60%-989.58K-82.34%-515.08K-133.66%-958.46K68.89%-1.43M-114.98%-617.95K84.68%-115.26K
Net income from continuing operations -159.40%-1.57M-32.78%-946.63K-75.46%4.59M-126.61%-1M-29.87%3.66M-51.42%2.64M-116.71%-712.95K-29.21%18.69M-71.87%3.77M27.31%5.23M
Operating gains losses 237.87%1.77M-107.14%-257.08K118.87%2.57M222.50%1.66M57.34%-1.4M77.02%-1.28M168.34%3.6M54.23%-13.63M103.70%514.17K36.65%-3.29M
Other non cash items 53.87%-944.21K84.69%-649.49K-38.93%-11.71M49.08%-2.53M-11.28%-2.89M-150.62%-2.05M-8,937.30%-4.24M-52,081.33%-8.43M-45,425.74%-4.96M-29,333.03%-2.6M
Change In working capital -0.76%176.65K310.67%1.63M-1.81%1.91M2,460.86%1.69M-165.04%-357.36K-74.17%178K-37.77%396.53K262.51%1.94M-69.69%65.97K58.88%549.45K
-Change in prepaid assets -109.57%-40.5K153.55%263.62K-97.34%41.92K21.52%475.58K-185.95%-364.61K15.05%423.21K-224.51%-492.26K184.31%1.58M-1.92%391.35K4.35%424.19K
-Change in payables and accrued expense 188.56%217.15K53.56%1.36M413.79%1.86M473.03%1.21M-94.21%7.25K-176.33%-245.21K267.58%888.78K-46.45%362.91K-79.44%-325.38K306.35%125.26K
Cash from discontinued investing activities
Operating cash flow -12.25%-578.2K81.27%-179.53K-85.56%-2.65M70.42%-182.79K-758.60%-989.58K-82.34%-515.08K-133.66%-958.46K68.89%-1.43M-114.98%-617.95K84.68%-115.26K
Investing cash flow
Cash flow from continuing investing activities 85.00%-240K-100.07%-240K496.37M174.68M-2.4M-1.6M325.69M000
Net other investing changes 85.00%-240K-100.07%-240K--496.37M--174.68M---2.4M---1.6M--325.69M------------
Cash from discontinued investing activities
Investing cash flow 85.00%-240K-100.07%-240K--496.37M--174.68M---2.4M---1.6M--325.69M--0--0--0
Financing cash flow
Cash flow from continuing financing activities -67.83%740K100.13%437K-46,074.78%-493.77M-26,770.36%-174.42M2,033.33%3.2M751.85%2.3M-324.85M-99.81%1.07M63.50%654K15,000,100.00%150K
Net issuance payments of debt -67.83%740K-86.54%437K894.60%10.68M195.87%1.94M2,033.33%3.2M751.85%2.3M--3.25M427.30%1.07M63.50%654K15,000,100.00%150K
Net common stock issuance --0--0---504.45M---176.36M--0--0---328.09M--0--0--0
Cash from discontinued financing activities
Financing cash flow -67.83%740K100.13%437K-46,074.78%-493.77M-26,770.36%-174.42M2,033.33%3.2M751.85%2.3M---324.85M-99.81%1.07M63.50%654K15,000,100.00%150K
Net cash flow
Beginning cash position 1,062.51%93.02K-36.76%75.55K-74.66%119.46K-96.00%3.34K296.41%192.92K-86.92%8K-74.66%119.46K--471.35K-76.75%83.41K-95.62%48.67K
Current changes in cash -142.29%-78.2K115.68%17.47K87.52%-43.91K100.30%72.21K-645.63%-189.58K1,580.51%184.92K72.83%-111.46K-174.66%-351.89K-67.97%36.05K104.62%34.75K
End cash Position -92.32%14.83K1,062.51%93.02K-36.76%75.55K-36.76%75.55K-96.00%3.34K296.41%192.92K-86.92%8K-74.66%119.46K-74.66%119.46K-76.75%83.41K
Free cash flow -12.25%-578.2K81.27%-179.53K-85.56%-2.65M70.42%-182.79K-758.60%-989.58K-82.34%-515.08K-133.66%-958.46K68.89%-1.43M-114.98%-617.95K84.68%-115.26K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

No Data

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