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VEEE Twin Vee PowerCats

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  • 0.420
  • -0.020-4.46%
Close Nov 22 16:00 ET
  • 0.440
  • +0.020+4.69%
Post 20:01 ET
4.00MMarket Cap-400P/E (TTM)

Twin Vee PowerCats Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
31.23%-2.41M
59.74%-482.09K
21.62%-1.75M
-67.26%-6.93M
99.70%-4.64K
-152.14%-3.5M
-2,470.84%-1.2M
-94.20%-2.23M
-112.89%-4.15M
-29.69%-1.56M
Net income from continuing operations
-23.15%-3.01M
-137.38%-4.52M
-27.71%-2.34M
-68.85%-9.78M
-13.53%-3.61M
-175.50%-2.44M
-253.34%-1.9M
-53.48%-1.83M
-473.03%-5.79M
-291.87%-3.18M
Operating gains losses
----
----
----
----
----
----
----
----
-73.18%60.09K
--10.1K
Depreciation and amortization
28.85%440.46K
52.85%434.96K
94.84%425.28K
144.40%1.35M
180.69%508.72K
98.04%341.83K
137.50%284.56K
172.53%218.28K
178.93%553.75K
172.81%181.24K
Other non cash items
----
1.05%119.75K
1.03%119.43K
125.17%894.25K
----
----
22.75%118.51K
26.96%118.21K
277.74%397.14K
121.65%110.87K
Change In working capital
111.94%231.45K
794.66%1.33M
57.67%-514.52K
-28.41%-1.22M
206.72%2.13M
-76.91%-1.94M
-125.72%-191.09K
-164.07%-1.22M
38.08%-946.33K
385.20%694.51K
-Change in receivables
-122.31%-13.75K
-145.15%-24.92K
98.25%-10.71K
-630.82%-65.99K
3,511.21%428.35K
3,927.76%61.63K
999.76%55.2K
-518,034.75%-611.16K
-75.78%-9.03K
-106.04%-12.56K
-Change in inventory
156.14%1.44M
44.42%-433.35K
211.80%881.53K
41.32%-1.3M
635.36%2.83M
-10,699.77%-2.56M
32.57%-779.69K
44.22%-788.46K
-141.77%-2.21M
-36.02%384.91K
-Change in prepaid assets
-279.81%-362.81K
41.62%232.01K
-82.58%45.95K
1,864.45%419.2K
-85.91%87.05K
90.37%-95.52K
-47.44%163.82K
214.52%263.84K
102.36%21.34K
382.60%617.74K
-Change in payables and accrued expense
-177.92%-733.54K
442.42%1.7M
-3,397.86%-1.28M
-89.81%168.09K
-233.83%-1.12M
296.21%941.43K
-1.17%312.55K
-96.00%38.89K
157.44%1.65M
240.72%840.48K
-Change in other current liabilities
-5.76%-126.71K
-5.76%-126.39K
-5.75%-126.07K
-22.89%-479.32K
-5.24%-120.79K
-28.49%-119.81K
-28.29%-119.51K
-34.12%-119.21K
-10.15%-390.05K
-29.70%-114.77K
-Change in other working capital
119.04%32K
-108.65%-15.27K
-4,649.40%-22.75K
541.99%38.9K
102.93%29.94K
-133.99%-168.08K
-66.81%176.54K
103.60%500
-220.28%-8.8K
-587.56%-1.02M
Cash from discontinued investing activities
Operating cash flow
31.23%-2.41M
59.74%-482.09K
21.62%-1.75M
-67.26%-6.93M
99.70%-4.64K
-152.14%-3.5M
-2,470.84%-1.2M
-94.20%-2.23M
-112.89%-4.15M
-29.69%-1.56M
Investing cash flow
Cash flow from continuing investing activities
96.92%-320.03K
-317.85%-1.72M
707.57%1.48M
-3,288.98%-6.63M
601.41%4.43M
-2,605.55%-10.41M
-144.81%-412.66K
62.49%-243.01K
97.57%-195.61K
-23.82%-884.03K
Net PPE purchase and sale
-67.68%-1.32M
-95.97%-1.72M
-167.61%-1.99M
-61.80%-5.16M
-213.67%-2.75M
-34.99%-789.25K
18.62%-879.86K
-14.75%-744.01K
-64.41%-3.19M
-21.93%-876.51K
Net investment purchase and sale
110.44%1M
--0
591.57%3.46M
-148.21%-1.45M
718,425,300.00%7.18M
-1,061.51%-9.62M
-75.92%482.2K
96,993.22%501K
149.25%3M
-100.02%-1
Net other investing changes
100.06%1
---3
--2.71K
-151.43%-18.9K
---2.25K
---1.65K
----
----
---7.52K
----
Cash from discontinued investing activities
Investing cash flow
96.92%-320.03K
-317.85%-1.72M
707.57%1.48M
-3,288.98%-6.63M
601.41%4.43M
-2,605.55%-10.41M
-144.81%-412.66K
62.49%-243.01K
97.57%-195.61K
-23.82%-884.03K
Financing cash flow
Cash flow from continuing financing activities
-81.18%-53.54K
-100.77%-53.29K
-2,853.62%-83.74K
-67.33%6.82M
-101.24%-74.32K
-100.20%-29.55K
27,540.94%6.92M
97.56%-2.84K
29.87%20.87M
7,081.73%5.97M
Net issuance payments of debt
-81.18%-53.54K
-1,003.17%-53.29K
-2,853.62%-83.74K
---90.15K
---52.94K
---29.55K
---4.83K
---2.84K
--0
--0
Net common stock issuance
--0
----
----
-66.69%6.97M
-100.37%-21.38K
--0
----
----
32.96%20.94M
5,508.03%5.71M
Net other financing activities
----
----
----
4.35%-66.46K
--0
--0
----
----
75.74%-69.49K
1,229.90%265.65K
Cash from discontinued financing activities
Financing cash flow
-81.18%-53.54K
-100.77%-53.29K
-2,853.62%-83.74K
-67.33%6.82M
-101.24%-74.32K
-100.20%-29.55K
27,540.94%6.92M
97.56%-2.84K
29.87%20.87M
7,081.73%5.97M
Net cash flow
Beginning cash position
-46.32%14.14M
-22.00%16.4M
-28.70%16.76M
236.92%23.5M
-37.92%12.4M
345.60%26.34M
315.35%21.02M
236.92%23.5M
682.15%6.98M
122.47%19.98M
Current changes in cash
80.05%-2.78M
-142.52%-2.26M
85.59%-357.21K
-140.82%-6.75M
23.49%4.35M
-199.08%-13.94M
525.88%5.31M
-29.50%-2.48M
171.65%16.53M
275.96%3.53M
End cash Position
-8.42%11.36M
-46.32%14.14M
-22.00%16.4M
-28.70%16.76M
-28.70%16.76M
-37.92%12.4M
345.60%26.34M
315.35%21.02M
236.92%23.5M
236.92%23.5M
Free cash flow
12.89%-3.74M
-6.21%-2.21M
-25.68%-3.74M
-61.05%-12.1M
-8.72%-2.75M
-117.42%-4.29M
-84.21%-2.08M
-58.50%-2.98M
-93.19%-7.51M
-31.73%-2.53M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 31.23%-2.41M59.74%-482.09K21.62%-1.75M-67.26%-6.93M99.70%-4.64K-152.14%-3.5M-2,470.84%-1.2M-94.20%-2.23M-112.89%-4.15M-29.69%-1.56M
Net income from continuing operations -23.15%-3.01M-137.38%-4.52M-27.71%-2.34M-68.85%-9.78M-13.53%-3.61M-175.50%-2.44M-253.34%-1.9M-53.48%-1.83M-473.03%-5.79M-291.87%-3.18M
Operating gains losses ---------------------------------73.18%60.09K--10.1K
Depreciation and amortization 28.85%440.46K52.85%434.96K94.84%425.28K144.40%1.35M180.69%508.72K98.04%341.83K137.50%284.56K172.53%218.28K178.93%553.75K172.81%181.24K
Other non cash items ----1.05%119.75K1.03%119.43K125.17%894.25K--------22.75%118.51K26.96%118.21K277.74%397.14K121.65%110.87K
Change In working capital 111.94%231.45K794.66%1.33M57.67%-514.52K-28.41%-1.22M206.72%2.13M-76.91%-1.94M-125.72%-191.09K-164.07%-1.22M38.08%-946.33K385.20%694.51K
-Change in receivables -122.31%-13.75K-145.15%-24.92K98.25%-10.71K-630.82%-65.99K3,511.21%428.35K3,927.76%61.63K999.76%55.2K-518,034.75%-611.16K-75.78%-9.03K-106.04%-12.56K
-Change in inventory 156.14%1.44M44.42%-433.35K211.80%881.53K41.32%-1.3M635.36%2.83M-10,699.77%-2.56M32.57%-779.69K44.22%-788.46K-141.77%-2.21M-36.02%384.91K
-Change in prepaid assets -279.81%-362.81K41.62%232.01K-82.58%45.95K1,864.45%419.2K-85.91%87.05K90.37%-95.52K-47.44%163.82K214.52%263.84K102.36%21.34K382.60%617.74K
-Change in payables and accrued expense -177.92%-733.54K442.42%1.7M-3,397.86%-1.28M-89.81%168.09K-233.83%-1.12M296.21%941.43K-1.17%312.55K-96.00%38.89K157.44%1.65M240.72%840.48K
-Change in other current liabilities -5.76%-126.71K-5.76%-126.39K-5.75%-126.07K-22.89%-479.32K-5.24%-120.79K-28.49%-119.81K-28.29%-119.51K-34.12%-119.21K-10.15%-390.05K-29.70%-114.77K
-Change in other working capital 119.04%32K-108.65%-15.27K-4,649.40%-22.75K541.99%38.9K102.93%29.94K-133.99%-168.08K-66.81%176.54K103.60%500-220.28%-8.8K-587.56%-1.02M
Cash from discontinued investing activities
Operating cash flow 31.23%-2.41M59.74%-482.09K21.62%-1.75M-67.26%-6.93M99.70%-4.64K-152.14%-3.5M-2,470.84%-1.2M-94.20%-2.23M-112.89%-4.15M-29.69%-1.56M
Investing cash flow
Cash flow from continuing investing activities 96.92%-320.03K-317.85%-1.72M707.57%1.48M-3,288.98%-6.63M601.41%4.43M-2,605.55%-10.41M-144.81%-412.66K62.49%-243.01K97.57%-195.61K-23.82%-884.03K
Net PPE purchase and sale -67.68%-1.32M-95.97%-1.72M-167.61%-1.99M-61.80%-5.16M-213.67%-2.75M-34.99%-789.25K18.62%-879.86K-14.75%-744.01K-64.41%-3.19M-21.93%-876.51K
Net investment purchase and sale 110.44%1M--0591.57%3.46M-148.21%-1.45M718,425,300.00%7.18M-1,061.51%-9.62M-75.92%482.2K96,993.22%501K149.25%3M-100.02%-1
Net other investing changes 100.06%1---3--2.71K-151.43%-18.9K---2.25K---1.65K-----------7.52K----
Cash from discontinued investing activities
Investing cash flow 96.92%-320.03K-317.85%-1.72M707.57%1.48M-3,288.98%-6.63M601.41%4.43M-2,605.55%-10.41M-144.81%-412.66K62.49%-243.01K97.57%-195.61K-23.82%-884.03K
Financing cash flow
Cash flow from continuing financing activities -81.18%-53.54K-100.77%-53.29K-2,853.62%-83.74K-67.33%6.82M-101.24%-74.32K-100.20%-29.55K27,540.94%6.92M97.56%-2.84K29.87%20.87M7,081.73%5.97M
Net issuance payments of debt -81.18%-53.54K-1,003.17%-53.29K-2,853.62%-83.74K---90.15K---52.94K---29.55K---4.83K---2.84K--0--0
Net common stock issuance --0---------66.69%6.97M-100.37%-21.38K--0--------32.96%20.94M5,508.03%5.71M
Net other financing activities ------------4.35%-66.46K--0--0--------75.74%-69.49K1,229.90%265.65K
Cash from discontinued financing activities
Financing cash flow -81.18%-53.54K-100.77%-53.29K-2,853.62%-83.74K-67.33%6.82M-101.24%-74.32K-100.20%-29.55K27,540.94%6.92M97.56%-2.84K29.87%20.87M7,081.73%5.97M
Net cash flow
Beginning cash position -46.32%14.14M-22.00%16.4M-28.70%16.76M236.92%23.5M-37.92%12.4M345.60%26.34M315.35%21.02M236.92%23.5M682.15%6.98M122.47%19.98M
Current changes in cash 80.05%-2.78M-142.52%-2.26M85.59%-357.21K-140.82%-6.75M23.49%4.35M-199.08%-13.94M525.88%5.31M-29.50%-2.48M171.65%16.53M275.96%3.53M
End cash Position -8.42%11.36M-46.32%14.14M-22.00%16.4M-28.70%16.76M-28.70%16.76M-37.92%12.4M345.60%26.34M315.35%21.02M236.92%23.5M236.92%23.5M
Free cash flow 12.89%-3.74M-6.21%-2.21M-25.68%-3.74M-61.05%-12.1M-8.72%-2.75M-117.42%-4.29M-84.21%-2.08M-58.50%-2.98M-93.19%-7.51M-31.73%-2.53M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

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