US Stock MarketDetailed Quotes

VASO VASO CORP

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  • 0.247550
  • -0.001295-0.52%
15min DelayClose Sep 6 16:00 ET
43.42MMarket Cap12.38P/E (TTM)

VASO 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
-64.97%2.79M
44.87%-1.07M
-63.26%5.3M
-189.89%-1.56M
-71.44%841K
-23.14%7.96M
-210.56%-1.94M
84.47%14.42M
-26.61%1.74M
2,076.51%2.95M
Net income from continuing operations
-41.70%1.16M
-483.33%-1.17M
-57.46%4.81M
-86.53%1.08M
-32.12%1.44M
32.51%1.98M
188.95%306K
85.15%11.29M
142.33%8.03M
225.19%2.12M
Operating gains losses
19.15%56K
-60.26%31K
33.77%206K
77.97%105K
-160.00%-24K
-33.80%47K
587.50%78K
104.31%154K
55.26%59K
166.67%40K
Depreciation and amortization
-14.39%226K
-32.23%185K
-48.05%999K
-31.70%237K
-29.25%225K
-67.20%264K
-39.74%273K
-49.92%1.92M
-83.41%347K
-49.04%318K
Deferred tax
----
----
101.07%51K
----
----
----
----
-9,307.69%-4.79M
----
----
Change In working capital
-76.86%1.3M
94.41%-147K
-115.33%-879K
-73.68%-3.03M
-321.99%-848K
-29.39%5.63M
-200.46%-2.63M
978.01%5.74M
44.37%-1.74M
123.24%382K
-Change in receivables
-94.55%210K
101.49%4.88M
1,041.61%1.56M
34.40%-4.49M
84.33%-219K
-50.71%3.85M
329.84%2.42M
102.25%137K
21.25%-6.84M
56.35%-1.4M
-Change in inventory
420.56%343K
-404.55%-111K
94.71%-22K
-112.10%-34K
175.00%141K
-298.15%-107K
96.09%-22K
-239.13%-416K
-1.75%281K
-55.37%-188K
-Change in prepaid assets
-101.11%-181K
107.43%59K
-1,133.98%-1.27M
49.26%203K
-64.35%-590K
-172.73%-90K
-618.95%-794K
-163.58%-103K
148.75%136K
-311.18%-359K
-Change in payables and accrued expense
942.50%834K
9.65%-4.36M
-221.67%-2.33M
49.86%2.67M
-108.46%-253K
163.49%80K
-76.76%-4.83M
704.62%1.92M
11.79%1.78M
111.16%2.99M
-Change in other current assets
-170.16%-214K
144.46%265K
91.21%-213K
66.17%-637K
321.36%715K
47.34%305K
-40.90%-596K
-1,042.45%-2.42M
-542.66%-1.88M
-239.22%-323K
-Change in other current liabilities
75.51%-12K
-109.41%-19K
-93.42%32K
-108.21%-33K
-1,860.00%-88K
-48.48%-49K
80.36%202K
523.08%486K
482.61%402K
105.68%5K
-Change in other working capital
-80.30%323K
-186.52%-854K
-77.83%1.36M
-116.26%-712K
-60.58%-554K
1,702.20%1.64M
-50.99%987K
1.20%6.14M
4.89%4.38M
-590.00%-345K
Cash from discontinued investing activities
Operating cash flow
-64.97%2.79M
44.87%-1.07M
-63.26%5.3M
-189.89%-1.56M
-71.44%841K
-23.14%7.96M
-210.56%-1.94M
84.47%14.42M
-26.61%1.74M
2,076.51%2.95M
Investing cash flow
Cash flow from continuing investing activities
208.41%3.48M
6,278.38%9.14M
32.79%-5.66M
160.21%1.88M
17.99%-4.18M
-2,255.70%-3.21M
58.07%-148K
-3,137.31%-8.42M
-6,402.08%-3.12M
-1,995.47%-5.09M
Net PPE purchase and sale
-48.58%-315K
-218.92%-472K
-29.15%-731K
-63.87%-195K
-97.75%-176K
-30.06%-212K
24.10%-148K
-36.39%-566K
-147.92%-119K
63.37%-89K
Net investment purchase and sale
238.00%4.14M
--9.62M
37.26%-4.93M
169.09%2.07M
20.05%-4M
-1,061.54%-3M
--0
-5,165.16%-7.85M
---3M
---5M
Cash from discontinued investing activities
Investing cash flow
208.41%3.48M
6,278.38%9.14M
32.79%-5.66M
160.21%1.88M
17.99%-4.18M
-2,255.70%-3.21M
58.07%-148K
-3,137.31%-8.42M
-6,402.08%-3.12M
-1,995.47%-5.09M
Financing cash flow
Cash flow from continuing financing activities
-207.69%-160K
352.08%121K
41.74%-134K
49.06%-27K
86.54%-7K
17.46%-52K
22.58%-48K
97.24%-230K
97.86%-53K
98.11%-52K
Net issuance payments of debt
-213.73%-160K
352.08%121K
44.35%-128K
49.06%-27K
96.15%-2K
19.05%-51K
22.58%-48K
97.24%-230K
97.86%-53K
98.11%-52K
Net other financing activities
----
----
---6K
--0
---5K
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-207.69%-160K
352.08%121K
41.74%-134K
49.06%-27K
86.54%-7K
17.46%-52K
22.58%-48K
97.24%-230K
97.86%-53K
98.11%-52K
Net cash flow
Beginning cash position
102.13%19.54M
-4.05%11.34M
96.20%11.82M
-16.77%11.06M
-6.72%14.4M
94.43%9.67M
96.20%11.82M
-11.64%6.03M
114.59%13.28M
64.09%15.44M
Current changes in cash
30.11%6.11M
483.48%8.2M
-108.58%-495K
120.08%288K
-51.98%-3.34M
-55.03%4.7M
-105.48%-2.14M
845.35%5.77M
-807.59%-1.43M
29.95%-2.2M
Effect of exchange rate changes
-84.21%6K
94.74%-1K
-40.74%16K
96.43%-1K
-104.35%-2K
65.22%38K
-35.71%-19K
235.00%27K
-300.00%-28K
158.97%46K
End cash Position
78.15%25.65M
102.13%19.54M
-4.05%11.34M
-4.05%11.34M
-16.77%11.06M
-6.72%14.4M
94.43%9.67M
96.20%11.82M
96.20%11.82M
114.59%13.28M
Free cash flow
-68.08%2.47M
26.18%-1.54M
-67.04%4.57M
-208.51%-1.76M
-76.72%665K
-23.99%7.75M
-154.76%-2.09M
87.16%13.85M
-30.22%1.62M
828.57%2.86M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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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 -64.97%2.79M44.87%-1.07M-63.26%5.3M-189.89%-1.56M-71.44%841K-23.14%7.96M-210.56%-1.94M84.47%14.42M-26.61%1.74M2,076.51%2.95M
Net income from continuing operations -41.70%1.16M-483.33%-1.17M-57.46%4.81M-86.53%1.08M-32.12%1.44M32.51%1.98M188.95%306K85.15%11.29M142.33%8.03M225.19%2.12M
Operating gains losses 19.15%56K-60.26%31K33.77%206K77.97%105K-160.00%-24K-33.80%47K587.50%78K104.31%154K55.26%59K166.67%40K
Depreciation and amortization -14.39%226K-32.23%185K-48.05%999K-31.70%237K-29.25%225K-67.20%264K-39.74%273K-49.92%1.92M-83.41%347K-49.04%318K
Deferred tax --------101.07%51K-----------------9,307.69%-4.79M--------
Change In working capital -76.86%1.3M94.41%-147K-115.33%-879K-73.68%-3.03M-321.99%-848K-29.39%5.63M-200.46%-2.63M978.01%5.74M44.37%-1.74M123.24%382K
-Change in receivables -94.55%210K101.49%4.88M1,041.61%1.56M34.40%-4.49M84.33%-219K-50.71%3.85M329.84%2.42M102.25%137K21.25%-6.84M56.35%-1.4M
-Change in inventory 420.56%343K-404.55%-111K94.71%-22K-112.10%-34K175.00%141K-298.15%-107K96.09%-22K-239.13%-416K-1.75%281K-55.37%-188K
-Change in prepaid assets -101.11%-181K107.43%59K-1,133.98%-1.27M49.26%203K-64.35%-590K-172.73%-90K-618.95%-794K-163.58%-103K148.75%136K-311.18%-359K
-Change in payables and accrued expense 942.50%834K9.65%-4.36M-221.67%-2.33M49.86%2.67M-108.46%-253K163.49%80K-76.76%-4.83M704.62%1.92M11.79%1.78M111.16%2.99M
-Change in other current assets -170.16%-214K144.46%265K91.21%-213K66.17%-637K321.36%715K47.34%305K-40.90%-596K-1,042.45%-2.42M-542.66%-1.88M-239.22%-323K
-Change in other current liabilities 75.51%-12K-109.41%-19K-93.42%32K-108.21%-33K-1,860.00%-88K-48.48%-49K80.36%202K523.08%486K482.61%402K105.68%5K
-Change in other working capital -80.30%323K-186.52%-854K-77.83%1.36M-116.26%-712K-60.58%-554K1,702.20%1.64M-50.99%987K1.20%6.14M4.89%4.38M-590.00%-345K
Cash from discontinued investing activities
Operating cash flow -64.97%2.79M44.87%-1.07M-63.26%5.3M-189.89%-1.56M-71.44%841K-23.14%7.96M-210.56%-1.94M84.47%14.42M-26.61%1.74M2,076.51%2.95M
Investing cash flow
Cash flow from continuing investing activities 208.41%3.48M6,278.38%9.14M32.79%-5.66M160.21%1.88M17.99%-4.18M-2,255.70%-3.21M58.07%-148K-3,137.31%-8.42M-6,402.08%-3.12M-1,995.47%-5.09M
Net PPE purchase and sale -48.58%-315K-218.92%-472K-29.15%-731K-63.87%-195K-97.75%-176K-30.06%-212K24.10%-148K-36.39%-566K-147.92%-119K63.37%-89K
Net investment purchase and sale 238.00%4.14M--9.62M37.26%-4.93M169.09%2.07M20.05%-4M-1,061.54%-3M--0-5,165.16%-7.85M---3M---5M
Cash from discontinued investing activities
Investing cash flow 208.41%3.48M6,278.38%9.14M32.79%-5.66M160.21%1.88M17.99%-4.18M-2,255.70%-3.21M58.07%-148K-3,137.31%-8.42M-6,402.08%-3.12M-1,995.47%-5.09M
Financing cash flow
Cash flow from continuing financing activities -207.69%-160K352.08%121K41.74%-134K49.06%-27K86.54%-7K17.46%-52K22.58%-48K97.24%-230K97.86%-53K98.11%-52K
Net issuance payments of debt -213.73%-160K352.08%121K44.35%-128K49.06%-27K96.15%-2K19.05%-51K22.58%-48K97.24%-230K97.86%-53K98.11%-52K
Net other financing activities -----------6K--0---5K--------------------
Cash from discontinued financing activities
Financing cash flow -207.69%-160K352.08%121K41.74%-134K49.06%-27K86.54%-7K17.46%-52K22.58%-48K97.24%-230K97.86%-53K98.11%-52K
Net cash flow
Beginning cash position 102.13%19.54M-4.05%11.34M96.20%11.82M-16.77%11.06M-6.72%14.4M94.43%9.67M96.20%11.82M-11.64%6.03M114.59%13.28M64.09%15.44M
Current changes in cash 30.11%6.11M483.48%8.2M-108.58%-495K120.08%288K-51.98%-3.34M-55.03%4.7M-105.48%-2.14M845.35%5.77M-807.59%-1.43M29.95%-2.2M
Effect of exchange rate changes -84.21%6K94.74%-1K-40.74%16K96.43%-1K-104.35%-2K65.22%38K-35.71%-19K235.00%27K-300.00%-28K158.97%46K
End cash Position 78.15%25.65M102.13%19.54M-4.05%11.34M-4.05%11.34M-16.77%11.06M-6.72%14.4M94.43%9.67M96.20%11.82M96.20%11.82M114.59%13.28M
Free cash flow -68.08%2.47M26.18%-1.54M-67.04%4.57M-208.51%-1.76M-76.72%665K-23.99%7.75M-154.76%-2.09M87.16%13.85M-30.22%1.62M828.57%2.86M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

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