US Stock MarketDetailed Quotes

SRCO SPARTA COMMERCIAL SERVICES INC

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  • 0.360
  • -0.003-0.90%
15min DelayClose Sep 13 16:00 ET
12.50MMarket Cap-18000P/E (TTM)

SPARTA COMMERCIAL SERVICES INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Apr 30, 2024
(Q4)Apr 30, 2024
(Q3)Jan 31, 2024
(Q2)Oct 31, 2023
(Q1)Jul 31, 2023
(FY)Apr 30, 2023
(Q4)Apr 30, 2023
(Q3)Jan 31, 2023
(Q2)Oct 31, 2022
(Q1)Jul 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
60.63%-1.21M
64.89%-715.18K
91.33%-59.43K
-66.10%-190.13K
-0.67%-249.69K
-61.75%-3.08M
-41.71%-2.04M
-70.34%-685.05K
-2,784.52%-114.47K
-246.36%-248.03K
Net income from continuing operations
-159.51%-607.25K
101.70%59.85K
-108.85%-96.04K
-115.39%-362.42K
-118.88%-208.63K
146.47%1.02M
-175.71%-3.53M
151.51%1.09M
145.96%2.36M
191.01%1.11M
Operating gains losses
70.75%-634.83K
-110.15%-291.89K
87.02%-104.78K
96.76%-84.88K
90.55%-153.28K
-2,280.44%-2.17M
148.79%2.87M
-140.97%-807.01K
-154.73%-2.62M
-113.32%-1.62M
Depreciation and amortization
--0
--0
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--0
--0
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Other non cash items
23,902.15%708.35K
4,239.00%225.82K
9,299.00%197.66K
-20,796.45%-29.46K
60,581.66%314.33K
97.97%-2.98K
98.81%-5.46K
-97.67%2.1K
-100.09%-141
-99.11%518
Change In working capital
74.12%-499.99K
65.77%-686.55K
-57.59%102.03K
249.53%286.64K
-908.35%-202.1K
-11,015.56%-1.93M
-22,833.98%-2.01M
159.89%240.56K
-203.51%-191.69K
-88.91%25K
-Change in receivables
---6.72K
-276.85%-3.83K
-104.91%-2.02K
-135.94%-721
99.67%-149
--0
-20.93%2.17K
10,815.10%41.15K
457.58%2.01K
-3,312.65%-45.32K
-Change in inventory
---3K
126.12%827
-60.80%-1.81K
-56.96%1.72K
-1,321.24%-3.74K
--0
-131.73%-3.17K
-316.35%-1.13K
127.58%3.99K
-80.55%306
-Change in payables and accrued expense
74.62%-490.27K
65.99%-683.55K
-48.59%105.86K
244.49%285.64K
-383.10%-198.22K
-25,112.65%-1.93M
-24,983.51%-2.01M
151.63%205.88K
-204.65%-197.69K
-68.96%70.02K
-Change in other current assets
--0
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--0
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Cash from discontinued investing activities
Operating cash flow
60.63%-1.21M
64.89%-715.18K
91.32%-59.43K
-66.10%-190.13K
-0.67%-249.69K
-49.30%-3.08M
-27.59%-2.04M
-70.34%-685.05K
-2,784.52%-114.47K
-246.36%-248.03K
Investing cash flow
Cash flow from continuing investing activities
Cash from discontinued investing activities
Investing cash flow
--0
--0
----
----
----
--0
--0
----
----
----
Financing cash flow
Cash flow from continuing financing activities
-57.54%1.31M
-60.27%810.71K
-91.19%60.28K
60.97%185.09K
2.69%255.26K
49.49%3.09M
30.29%2.04M
58.97%684.28K
4,374.46%114.98K
244.97%248.58K
Net issuance payments of debt
-58.16%634.58K
-27.95%434.99K
-94.28%39.7K
-29.68%85.78K
-23.26%74.11K
-23.25%1.52M
-67.95%603.73K
646.91%694.28K
4,634.72%121.98K
4,593.00%96.58K
Net common stock issuance
-71.74%476.04K
-88.71%175K
305.84%20.58K
1,518.61%99.32K
19.17%181.14K
1,772.39%1.68M
588.00%1.55M
-102.96%-10K
---7K
117.14%152K
Net other financing activities
278.19%200.73K
----
----
----
----
---112.65K
----
----
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----
Cash from discontinued financing activities
Financing cash flow
-57.54%1.31M
-60.27%810.71K
-91.19%60.28K
60.97%185.09K
2.69%255.26K
49.49%3.09M
30.29%2.04M
58.97%684.28K
4,374.46%114.98K
244.97%248.58K
Net cash flow
Beginning cash position
1,170.66%4.03K
785.13%5.42K
229.39%4.56K
1,003.22%9.6K
1,170.66%4.03K
-19.95%317
-98.01%612
-42.70%1.39K
3.20%870
-19.95%317
Current changes in cash
2,511.83%96.93K
2,696.72%95.54K
210.61%855
-1,077.86%-5.04K
907.23%5.57K
4,797.47%3.71K
111.24%3.42K
-102.73%-773
-67.28%515
23.71%553
End cash Position
2,406.28%100.95K
2,406.28%100.95K
785.13%5.42K
229.39%4.56K
1,003.22%9.6K
1,170.66%4.03K
1,170.66%4.03K
-98.01%612
-42.70%1.39K
3.20%870
Free cash flow
60.63%-1.21M
64.89%-715.18K
91.32%-59.43K
-66.10%-190.13K
-0.67%-249.69K
-49.30%-3.08M
-27.59%-2.04M
-70.34%-685.05K
-2,784.52%-114.47K
-246.36%-248.03K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(FY)Apr 30, 2024(Q4)Apr 30, 2024(Q3)Jan 31, 2024(Q2)Oct 31, 2023(Q1)Jul 31, 2023(FY)Apr 30, 2023(Q4)Apr 30, 2023(Q3)Jan 31, 2023(Q2)Oct 31, 2022(Q1)Jul 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 60.63%-1.21M64.89%-715.18K91.33%-59.43K-66.10%-190.13K-0.67%-249.69K-61.75%-3.08M-41.71%-2.04M-70.34%-685.05K-2,784.52%-114.47K-246.36%-248.03K
Net income from continuing operations -159.51%-607.25K101.70%59.85K-108.85%-96.04K-115.39%-362.42K-118.88%-208.63K146.47%1.02M-175.71%-3.53M151.51%1.09M145.96%2.36M191.01%1.11M
Operating gains losses 70.75%-634.83K-110.15%-291.89K87.02%-104.78K96.76%-84.88K90.55%-153.28K-2,280.44%-2.17M148.79%2.87M-140.97%-807.01K-154.73%-2.62M-113.32%-1.62M
Depreciation and amortization --0--0--------------0--0------------
Other non cash items 23,902.15%708.35K4,239.00%225.82K9,299.00%197.66K-20,796.45%-29.46K60,581.66%314.33K97.97%-2.98K98.81%-5.46K-97.67%2.1K-100.09%-141-99.11%518
Change In working capital 74.12%-499.99K65.77%-686.55K-57.59%102.03K249.53%286.64K-908.35%-202.1K-11,015.56%-1.93M-22,833.98%-2.01M159.89%240.56K-203.51%-191.69K-88.91%25K
-Change in receivables ---6.72K-276.85%-3.83K-104.91%-2.02K-135.94%-72199.67%-149--0-20.93%2.17K10,815.10%41.15K457.58%2.01K-3,312.65%-45.32K
-Change in inventory ---3K126.12%827-60.80%-1.81K-56.96%1.72K-1,321.24%-3.74K--0-131.73%-3.17K-316.35%-1.13K127.58%3.99K-80.55%306
-Change in payables and accrued expense 74.62%-490.27K65.99%-683.55K-48.59%105.86K244.49%285.64K-383.10%-198.22K-25,112.65%-1.93M-24,983.51%-2.01M151.63%205.88K-204.65%-197.69K-68.96%70.02K
-Change in other current assets --0------------------0----------------
Cash from discontinued investing activities
Operating cash flow 60.63%-1.21M64.89%-715.18K91.32%-59.43K-66.10%-190.13K-0.67%-249.69K-49.30%-3.08M-27.59%-2.04M-70.34%-685.05K-2,784.52%-114.47K-246.36%-248.03K
Investing cash flow
Cash flow from continuing investing activities
Cash from discontinued investing activities
Investing cash flow --0--0--------------0--0------------
Financing cash flow
Cash flow from continuing financing activities -57.54%1.31M-60.27%810.71K-91.19%60.28K60.97%185.09K2.69%255.26K49.49%3.09M30.29%2.04M58.97%684.28K4,374.46%114.98K244.97%248.58K
Net issuance payments of debt -58.16%634.58K-27.95%434.99K-94.28%39.7K-29.68%85.78K-23.26%74.11K-23.25%1.52M-67.95%603.73K646.91%694.28K4,634.72%121.98K4,593.00%96.58K
Net common stock issuance -71.74%476.04K-88.71%175K305.84%20.58K1,518.61%99.32K19.17%181.14K1,772.39%1.68M588.00%1.55M-102.96%-10K---7K117.14%152K
Net other financing activities 278.19%200.73K-------------------112.65K----------------
Cash from discontinued financing activities
Financing cash flow -57.54%1.31M-60.27%810.71K-91.19%60.28K60.97%185.09K2.69%255.26K49.49%3.09M30.29%2.04M58.97%684.28K4,374.46%114.98K244.97%248.58K
Net cash flow
Beginning cash position 1,170.66%4.03K785.13%5.42K229.39%4.56K1,003.22%9.6K1,170.66%4.03K-19.95%317-98.01%612-42.70%1.39K3.20%870-19.95%317
Current changes in cash 2,511.83%96.93K2,696.72%95.54K210.61%855-1,077.86%-5.04K907.23%5.57K4,797.47%3.71K111.24%3.42K-102.73%-773-67.28%51523.71%553
End cash Position 2,406.28%100.95K2,406.28%100.95K785.13%5.42K229.39%4.56K1,003.22%9.6K1,170.66%4.03K1,170.66%4.03K-98.01%612-42.70%1.39K3.20%870
Free cash flow 60.63%-1.21M64.89%-715.18K91.32%-59.43K-66.10%-190.13K-0.67%-249.69K-49.30%-3.08M-27.59%-2.04M-70.34%-685.05K-2,784.52%-114.47K-246.36%-248.03K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

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Price Target

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