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VRY Petro-Victory Energy Corp

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  • 1.250
  • +0.150+13.64%
15min DelayMarket Closed Sep 11 16:00 ET
25.58MMarket Cap-2631P/E (TTM)

Petro-Victory Energy 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
-266.37%-1.63M
19.94%-1.05M
6.89%-4.06M
-115.27%-2.31M
101.97%17K
56.53%-446K
5.47%-1.31M
0.82%-4.36M
-61.75%-1.07M
59.72%-865K
Net income from continuing operations
-39.85%-2.24M
-165.08%-1.45M
9.56%-6.17M
-7.78%-2.81M
28.85%-1.21M
-61.72%-1.6M
64.11%-547K
-145.78%-6.82M
-174.34%-2.61M
-162.22%-1.7M
Operating gains losses
-771.88%-215K
33.42%-500K
-379.52%-1.52M
-131.32%-119K
-735.80%-677K
223.08%32K
-379.18%-751K
264.24%542K
223.78%380K
-381.74%-81K
Depreciation and amortization
128.57%208K
74.75%173K
57.69%451K
234.38%172K
-76.14%89K
237.04%91K
607.14%99K
214.29%286K
-356.00%-128K
2,860.32%373K
Asset impairment expenditure
----
----
-56.37%377K
----
----
----
----
--864K
----
----
Remuneration paid in stock
-28.81%168K
-30.00%168K
0.54%1.12M
-57.90%317K
354.17%327K
63.89%236K
65.52%240K
1,328.21%1.11M
1,892.86%753K
84.62%72K
Other non cashItems
-40.13%94K
-54.27%150K
1,128.17%872K
126.39%233K
-75.75%154K
375.76%157K
14.69%328K
-85.66%71K
-297.54%-883K
2,864.66%635K
Change In working capital
-52.27%305K
159.59%407K
294.69%806K
-188.16%-484K
889.35%1.33M
398.60%639K
-17.76%-683K
77.27%-414K
104.09%549K
89.46%-169K
-Change in prepaid assets
--57K
---73K
40.63%-19K
96.88%-1K
---18K
--0
--0
---32K
---32K
----
-Change in payables and accrued expense
-79.97%131K
150.62%325K
519.05%1.14M
-125.36%-175K
1,090.15%1.31M
402.78%654K
-4.39%-642K
84.75%-273K
187.50%690K
92.08%-132K
-Change in other current assets
880.00%117K
478.05%155K
-192.66%-319K
-182.57%-308K
221.62%45K
-850.00%-15K
-217.14%-41K
-251.61%-109K
---109K
---37K
Cash from discontinued investing activities
Operating cash flow
-266.37%-1.63M
19.94%-1.05M
6.89%-4.06M
-115.64%-2.32M
102.43%21K
56.53%-446K
5.47%-1.31M
0.82%-4.36M
-61.75%-1.07M
59.72%-865K
Investing cash flow
Cash flow from continuing investing activities
-145.45%-459K
-250.59%-2.07M
75.58%-1.59M
83.46%-337K
73.54%-480K
92.40%-187K
-180.48%-589K
-1,038.39%-6.52M
-993.86%-2.04M
-13.00%-1.81M
Capital expenditure reported
----
37.53%-253K
----
----
----
----
---405K
----
----
----
Net PPE purchase and sale
-28.68%-691K
-975.00%-1.81M
50.59%-2.17M
57.56%-898K
-31.63%-566K
68.69%-537K
-30.23%-168K
-506.35%-4.39M
-303.27%-2.12M
75.64%-430K
Net other investing changes
61.82%-21K
62.50%-6K
127.00%576K
----
----
92.63%-55K
80.25%-16K
-1,512.58%-2.13M
----
----
Cash from discontinued investing activities
Investing cash flow
-145.45%-459K
-250.59%-2.07M
75.58%-1.59M
83.46%-337K
73.54%-480K
92.40%-187K
-180.48%-589K
-1,038.39%-6.52M
-993.86%-2.04M
-13.00%-1.81M
Financing cash flow
Cash flow from continuing financing activities
1,219.63%1.2M
14.39%3.16M
-52.68%5.28M
-34.22%1.66M
-52.24%968K
-52.86%-107K
-58.69%2.76M
161.38%11.16M
1,222.22%2.53M
-54.91%2.03M
Net issuance payments of debt
705.61%648K
114.80%223K
-143.15%-772K
-109.31%-125K
-52.29%967K
18.94%-107K
-4.00%-1.51M
-37.43%1.79M
123.09%1.34M
-10.19%2.03M
Net common stock issuance
--0
-33.51%2.68M
-40.04%5.1M
1,822.58%1.07M
--1K
--0
-52.62%4.03M
27,309.68%8.5M
-300.00%-62K
--0
Cash dividends paid
--0
--0
--0
----
----
--0
--0
----
----
----
Proceeds from stock option exercised by employees
--438K
-50.83%118K
-71.39%240K
--0
--0
--0
--240K
-41.41%839K
--839K
--0
Interest paid (cash flow from financing activities)
-500.00%-80K
39.10%-81K
---354K
----
----
--20K
---133K
----
----
----
Net other financing activities
1,060.00%192K
64.66%219K
390.51%1.07M
----
----
---20K
136.04%133K
-609.62%-369K
--0
--0
Cash from discontinued financing activities
Financing cash flow
1,219.63%1.2M
14.39%3.16M
-50.90%5.28M
-21.65%1.66M
-52.24%968K
-52.86%-107K
-58.69%2.76M
151.90%10.76M
1,042.22%2.12M
-54.91%2.03M
Net cash flow
Beginning cash position
-71.28%251K
494.44%107K
-87.14%18K
604.40%641K
-91.94%134K
-83.25%874K
-87.14%18K
-83.21%140K
-86.68%91K
2,734.97%1.66M
Current changes in cash
-20.95%-895K
-95.44%39K
-201.64%-368K
-0.61%-993K
177.47%509K
79.20%-740K
-83.15%856K
82.42%-122K
-49.32%-987K
-188.50%-657K
Effect of exchange rate changes
--722K
--105K
--457K
-49.78%459K
99.78%-2K
--0
--0
--0
--914K
---914K
End cash Position
-41.79%78K
-71.28%251K
494.44%107K
494.44%107K
604.40%641K
-91.94%134K
-83.25%874K
-87.14%18K
-87.14%18K
-86.68%91K
Free cash from
-258.48%-2.07M
-64.86%-3.11M
28.83%-6.22M
-0.75%-3.21M
57.92%-545K
78.91%-578K
-24.23%-1.89M
-70.97%-8.75M
-946.15%-3.19M
66.90%-1.3M
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 with Explanatory Notes
--
--
--
--
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 -266.37%-1.63M19.94%-1.05M6.89%-4.06M-115.27%-2.31M101.97%17K56.53%-446K5.47%-1.31M0.82%-4.36M-61.75%-1.07M59.72%-865K
Net income from continuing operations -39.85%-2.24M-165.08%-1.45M9.56%-6.17M-7.78%-2.81M28.85%-1.21M-61.72%-1.6M64.11%-547K-145.78%-6.82M-174.34%-2.61M-162.22%-1.7M
Operating gains losses -771.88%-215K33.42%-500K-379.52%-1.52M-131.32%-119K-735.80%-677K223.08%32K-379.18%-751K264.24%542K223.78%380K-381.74%-81K
Depreciation and amortization 128.57%208K74.75%173K57.69%451K234.38%172K-76.14%89K237.04%91K607.14%99K214.29%286K-356.00%-128K2,860.32%373K
Asset impairment expenditure ---------56.37%377K------------------864K--------
Remuneration paid in stock -28.81%168K-30.00%168K0.54%1.12M-57.90%317K354.17%327K63.89%236K65.52%240K1,328.21%1.11M1,892.86%753K84.62%72K
Other non cashItems -40.13%94K-54.27%150K1,128.17%872K126.39%233K-75.75%154K375.76%157K14.69%328K-85.66%71K-297.54%-883K2,864.66%635K
Change In working capital -52.27%305K159.59%407K294.69%806K-188.16%-484K889.35%1.33M398.60%639K-17.76%-683K77.27%-414K104.09%549K89.46%-169K
-Change in prepaid assets --57K---73K40.63%-19K96.88%-1K---18K--0--0---32K---32K----
-Change in payables and accrued expense -79.97%131K150.62%325K519.05%1.14M-125.36%-175K1,090.15%1.31M402.78%654K-4.39%-642K84.75%-273K187.50%690K92.08%-132K
-Change in other current assets 880.00%117K478.05%155K-192.66%-319K-182.57%-308K221.62%45K-850.00%-15K-217.14%-41K-251.61%-109K---109K---37K
Cash from discontinued investing activities
Operating cash flow -266.37%-1.63M19.94%-1.05M6.89%-4.06M-115.64%-2.32M102.43%21K56.53%-446K5.47%-1.31M0.82%-4.36M-61.75%-1.07M59.72%-865K
Investing cash flow
Cash flow from continuing investing activities -145.45%-459K-250.59%-2.07M75.58%-1.59M83.46%-337K73.54%-480K92.40%-187K-180.48%-589K-1,038.39%-6.52M-993.86%-2.04M-13.00%-1.81M
Capital expenditure reported ----37.53%-253K-------------------405K------------
Net PPE purchase and sale -28.68%-691K-975.00%-1.81M50.59%-2.17M57.56%-898K-31.63%-566K68.69%-537K-30.23%-168K-506.35%-4.39M-303.27%-2.12M75.64%-430K
Net other investing changes 61.82%-21K62.50%-6K127.00%576K--------92.63%-55K80.25%-16K-1,512.58%-2.13M--------
Cash from discontinued investing activities
Investing cash flow -145.45%-459K-250.59%-2.07M75.58%-1.59M83.46%-337K73.54%-480K92.40%-187K-180.48%-589K-1,038.39%-6.52M-993.86%-2.04M-13.00%-1.81M
Financing cash flow
Cash flow from continuing financing activities 1,219.63%1.2M14.39%3.16M-52.68%5.28M-34.22%1.66M-52.24%968K-52.86%-107K-58.69%2.76M161.38%11.16M1,222.22%2.53M-54.91%2.03M
Net issuance payments of debt 705.61%648K114.80%223K-143.15%-772K-109.31%-125K-52.29%967K18.94%-107K-4.00%-1.51M-37.43%1.79M123.09%1.34M-10.19%2.03M
Net common stock issuance --0-33.51%2.68M-40.04%5.1M1,822.58%1.07M--1K--0-52.62%4.03M27,309.68%8.5M-300.00%-62K--0
Cash dividends paid --0--0--0----------0--0------------
Proceeds from stock option exercised by employees --438K-50.83%118K-71.39%240K--0--0--0--240K-41.41%839K--839K--0
Interest paid (cash flow from financing activities) -500.00%-80K39.10%-81K---354K----------20K---133K------------
Net other financing activities 1,060.00%192K64.66%219K390.51%1.07M-----------20K136.04%133K-609.62%-369K--0--0
Cash from discontinued financing activities
Financing cash flow 1,219.63%1.2M14.39%3.16M-50.90%5.28M-21.65%1.66M-52.24%968K-52.86%-107K-58.69%2.76M151.90%10.76M1,042.22%2.12M-54.91%2.03M
Net cash flow
Beginning cash position -71.28%251K494.44%107K-87.14%18K604.40%641K-91.94%134K-83.25%874K-87.14%18K-83.21%140K-86.68%91K2,734.97%1.66M
Current changes in cash -20.95%-895K-95.44%39K-201.64%-368K-0.61%-993K177.47%509K79.20%-740K-83.15%856K82.42%-122K-49.32%-987K-188.50%-657K
Effect of exchange rate changes --722K--105K--457K-49.78%459K99.78%-2K--0--0--0--914K---914K
End cash Position -41.79%78K-71.28%251K494.44%107K494.44%107K604.40%641K-91.94%134K-83.25%874K-87.14%18K-87.14%18K-86.68%91K
Free cash from -258.48%-2.07M-64.86%-3.11M28.83%-6.22M-0.75%-3.21M57.92%-545K78.91%-578K-24.23%-1.89M-70.97%-8.75M-946.15%-3.19M66.90%-1.3M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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