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STHO Star Holdings

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  • 13.190
  • +0.070+0.53%
Close Oct 15 16:00 ET
  • 13.190
  • 0.0000.00%
Post 16:02 ET
175.68MMarket Cap-1914P/E (TTM)

Star Holdings 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
-56.19%-6.41M
-2,468.59%-14.23M
31.58%-18.72M
37.16%-5.74M
-931.90%-8.32M
51.56%-4.1M
94.85%-554K
-420.58%-27.36M
-9.14M
1M
Net income from continuing operations
68.92%-27.95M
46.00%-49M
-440.58%-196.29M
303.78%66.14M
-565.38%-81.76M
-330.66%-89.93M
-16,766.17%-90.74M
-157.94%-36.31M
---32.46M
--17.57M
Operating gains losses
----
----
59.42%-28.74M
100.86%175K
100.92%266K
108.96%798K
-137.79%-29.97M
35.49%-70.81M
---20.31M
---28.99M
Depreciation and amortization
7.97%1.18M
9.54%1.18M
-6.88%4.57M
-5.34%1.28M
-2.26%1.12M
-8.78%1.09M
-11.11%1.08M
-24.31%4.91M
--1.35M
--1.15M
Other non cash items
655.92%5.11M
-111.78%-2.87M
-33.18%18.58M
-94.04%460K
-154.81%-6.89M
-85.34%676K
735.04%24.33M
-39.47%27.81M
--7.72M
--12.56M
Change In working capital
-134.75%-2.46M
-336.92%-1.43M
1,422.47%8.24M
197.26%1.92M
-41.11%-1.35M
1,677.68%7.07M
-78.04%604K
-112.73%-623K
---1.97M
---956K
-Change in receivables
-117.07%-119K
386.44%287K
16.09%570K
49.00%-153K
-105.92%-33K
604.04%697K
-56.30%59K
-90.60%491K
---300K
--557K
-Change in payables and accrued expense
-104.05%-386K
-330.07%-1.91M
369.94%9.77M
124.65%914K
-236.30%-1.51M
2,129.79%9.54M
-17.78%828K
-83.38%-3.62M
---3.71M
---449K
-Change in other working capital
38.43%-1.95M
166.08%187K
-183.92%-2.1M
-43.33%1.16M
118.23%194K
-4,015.58%-3.17M
-117.59%-283K
52.16%2.51M
--2.04M
---1.06M
Cash from discontinued investing activities
Operating cash flow
-56.19%-6.41M
-2,468.59%-14.23M
31.58%-18.72M
37.16%-5.74M
-931.90%-8.32M
51.56%-4.1M
94.85%-554K
-420.58%-27.36M
---9.14M
--1M
Investing cash flow
Cash flow from continuing investing activities
-34.91%7.88M
-91.75%9.63M
-21.20%186.02M
-68.71%40.14M
-64.91%17M
-90.55%12.1M
269.94%116.78M
-64.93%236.06M
128.28M
48.45M
Capital expenditure reported
92.82%-375K
-179.88%-6.21M
37.49%-14.05M
0.39%-5.93M
88.74%-686K
5.28%-5.22M
55.01%-2.22M
8.63%-22.48M
---5.95M
---6.09M
Net PPE purchase and sale
38.96%16.15M
73.35%16.58M
15.04%68.96M
213.12%26.2M
58.98%21.58M
-50.75%11.62M
-33.62%9.56M
-67.19%59.95M
--8.37M
--13.58M
Net investment purchase and sale
----
----
--0
--0
----
----
----
-271.24%-68.92M
--11.48M
---27K
Net other investing changes
-238.45%-7.9M
-100.68%-740K
-42.48%131.11M
-73.44%19.87M
-109.50%-3.9M
-94.82%5.7M
5,108.57%109.43M
-34.39%227.95M
--74.82M
--40.99M
Cash from discontinued investing activities
Investing cash flow
-34.91%7.88M
-91.75%9.63M
-21.20%186.02M
-68.71%40.14M
-64.91%17M
-90.55%12.1M
269.94%116.78M
-64.93%236.06M
--128.28M
--48.45M
Financing cash flow
Cash flow from continuing financing activities
0
0
47.75%-114.06M
82.64%-24.9M
58.75%-15.26M
78.74%-25.64M
-158.40%-48.27M
67.73%-218.31M
-143.39M
-37M
Net issuance payments of debt
--0
--0
--183.28M
---19.79M
---15M
---25M
--243.07M
--0
--0
--0
Net other financing activities
----
----
-36.21%-297.34M
96.44%-5.11M
99.30%-260K
99.47%-636K
-452.47%-291.34M
67.73%-218.31M
---143.39M
---37M
Cash from discontinued financing activities
Financing cash flow
--0
--0
47.75%-114.06M
82.64%-24.9M
58.75%-15.26M
78.74%-25.64M
-158.40%-48.27M
67.73%-218.31M
---143.39M
---37M
Net cash flow
Beginning cash position
-25.60%56.12M
712.34%60.71M
-56.23%7.47M
61.46%51.22M
199.96%57.79M
272.26%75.43M
-56.23%7.47M
44.02%17.07M
--31.72M
--19.27M
Current changes in cash
108.33%1.47M
-106.76%-4.6M
654.58%53.24M
139.17%9.5M
-152.82%-6.58M
-1,670.78%-17.64M
2,030.98%67.96M
-283.94%-9.6M
---24.25M
--12.45M
End cash Position
-0.36%57.59M
-25.60%56.12M
712.34%60.71M
712.34%60.71M
61.46%51.22M
199.96%57.79M
272.26%75.43M
-56.23%7.47M
--7.47M
--31.72M
Free cash flow
27.28%-6.78M
-637.46%-20.44M
34.24%-32.77M
22.66%-11.67M
-76.92%-9.01M
33.30%-9.33M
82.33%-2.77M
-210.11%-49.84M
---15.09M
---5.09M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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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 -56.19%-6.41M-2,468.59%-14.23M31.58%-18.72M37.16%-5.74M-931.90%-8.32M51.56%-4.1M94.85%-554K-420.58%-27.36M-9.14M1M
Net income from continuing operations 68.92%-27.95M46.00%-49M-440.58%-196.29M303.78%66.14M-565.38%-81.76M-330.66%-89.93M-16,766.17%-90.74M-157.94%-36.31M---32.46M--17.57M
Operating gains losses --------59.42%-28.74M100.86%175K100.92%266K108.96%798K-137.79%-29.97M35.49%-70.81M---20.31M---28.99M
Depreciation and amortization 7.97%1.18M9.54%1.18M-6.88%4.57M-5.34%1.28M-2.26%1.12M-8.78%1.09M-11.11%1.08M-24.31%4.91M--1.35M--1.15M
Other non cash items 655.92%5.11M-111.78%-2.87M-33.18%18.58M-94.04%460K-154.81%-6.89M-85.34%676K735.04%24.33M-39.47%27.81M--7.72M--12.56M
Change In working capital -134.75%-2.46M-336.92%-1.43M1,422.47%8.24M197.26%1.92M-41.11%-1.35M1,677.68%7.07M-78.04%604K-112.73%-623K---1.97M---956K
-Change in receivables -117.07%-119K386.44%287K16.09%570K49.00%-153K-105.92%-33K604.04%697K-56.30%59K-90.60%491K---300K--557K
-Change in payables and accrued expense -104.05%-386K-330.07%-1.91M369.94%9.77M124.65%914K-236.30%-1.51M2,129.79%9.54M-17.78%828K-83.38%-3.62M---3.71M---449K
-Change in other working capital 38.43%-1.95M166.08%187K-183.92%-2.1M-43.33%1.16M118.23%194K-4,015.58%-3.17M-117.59%-283K52.16%2.51M--2.04M---1.06M
Cash from discontinued investing activities
Operating cash flow -56.19%-6.41M-2,468.59%-14.23M31.58%-18.72M37.16%-5.74M-931.90%-8.32M51.56%-4.1M94.85%-554K-420.58%-27.36M---9.14M--1M
Investing cash flow
Cash flow from continuing investing activities -34.91%7.88M-91.75%9.63M-21.20%186.02M-68.71%40.14M-64.91%17M-90.55%12.1M269.94%116.78M-64.93%236.06M128.28M48.45M
Capital expenditure reported 92.82%-375K-179.88%-6.21M37.49%-14.05M0.39%-5.93M88.74%-686K5.28%-5.22M55.01%-2.22M8.63%-22.48M---5.95M---6.09M
Net PPE purchase and sale 38.96%16.15M73.35%16.58M15.04%68.96M213.12%26.2M58.98%21.58M-50.75%11.62M-33.62%9.56M-67.19%59.95M--8.37M--13.58M
Net investment purchase and sale ----------0--0-------------271.24%-68.92M--11.48M---27K
Net other investing changes -238.45%-7.9M-100.68%-740K-42.48%131.11M-73.44%19.87M-109.50%-3.9M-94.82%5.7M5,108.57%109.43M-34.39%227.95M--74.82M--40.99M
Cash from discontinued investing activities
Investing cash flow -34.91%7.88M-91.75%9.63M-21.20%186.02M-68.71%40.14M-64.91%17M-90.55%12.1M269.94%116.78M-64.93%236.06M--128.28M--48.45M
Financing cash flow
Cash flow from continuing financing activities 0047.75%-114.06M82.64%-24.9M58.75%-15.26M78.74%-25.64M-158.40%-48.27M67.73%-218.31M-143.39M-37M
Net issuance payments of debt --0--0--183.28M---19.79M---15M---25M--243.07M--0--0--0
Net other financing activities ---------36.21%-297.34M96.44%-5.11M99.30%-260K99.47%-636K-452.47%-291.34M67.73%-218.31M---143.39M---37M
Cash from discontinued financing activities
Financing cash flow --0--047.75%-114.06M82.64%-24.9M58.75%-15.26M78.74%-25.64M-158.40%-48.27M67.73%-218.31M---143.39M---37M
Net cash flow
Beginning cash position -25.60%56.12M712.34%60.71M-56.23%7.47M61.46%51.22M199.96%57.79M272.26%75.43M-56.23%7.47M44.02%17.07M--31.72M--19.27M
Current changes in cash 108.33%1.47M-106.76%-4.6M654.58%53.24M139.17%9.5M-152.82%-6.58M-1,670.78%-17.64M2,030.98%67.96M-283.94%-9.6M---24.25M--12.45M
End cash Position -0.36%57.59M-25.60%56.12M712.34%60.71M712.34%60.71M61.46%51.22M199.96%57.79M272.26%75.43M-56.23%7.47M--7.47M--31.72M
Free cash flow 27.28%-6.78M-637.46%-20.44M34.24%-32.77M22.66%-11.67M-76.92%-9.01M33.30%-9.33M82.33%-2.77M-210.11%-49.84M---15.09M---5.09M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------------

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