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XEBEF XEBEC ADSORPTION INC

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15min DelayClose Dec 20 09:30 ET
0Market Cap0.00P/E (TTM)

XEBEC ADSORPTION INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
(Q3)Sep 30, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
709.08%19.05M
43.81%-11.35M
-111.87%-56.7M
-149.77%-22.8M
-119.74%-10.59M
74.03%-3.13M
-2,414.69%-20.19M
-390.23%-26.76M
-323.99%-9.13M
-654.89%-4.82M
Net income from continuing operations
-214.25%-23.55M
-82.52%-18.44M
26.62%-23.45M
108.57%2.42M
-1,086.55%-25.93M
-881.02%-7.5M
-1,260.03%-10.11M
-1,682.03%-31.96M
-5,940.24%-28.27M
-308.48%-2.19M
Operating gains losses
67.21%-706K
3,466.67%1.39M
-5,186.05%-21.87M
-9,649.03%-19.67M
22,537.10%18.81M
-1,159.06%-2.15M
-87.50%39K
267.63%430K
682.02%206K
171.62%83.08K
Depreciation and amortization
128.51%3.87M
74.68%3.92M
221.43%12.17M
374.69%7.93M
-262.96%-1M
496.48%1.69M
84.46%2.24M
106.00%3.79M
25.27%1.67M
300.22%614.87K
Deferred tax
-595.00%-417K
-503.28%-368K
480.00%1.63M
547.04%1.82M
-1,020.50%-61K
-1,100.00%-60K
-408.33%-61K
-2,862.04%-430K
-2,696.72%-406K
---5.44K
Other non cash items
98.60%1.27M
-92.91%30K
52.02%1.32M
-192.74%-396K
2,904.74%716K
281.55%641K
151.79%423K
60.51%867K
191.62%427K
-77.08%23.83K
Change In working capital
791.45%36.4M
114.36%1.82M
-4,337.48%-27.47M
-196.67%-15.74M
9.86%-3.13M
135.24%4.08M
-590.21%-12.69M
93.76%-619K
597.04%16.28M
-80.23%-3.48M
-Change in receivables
-354.87%-5.08M
568.49%8.67M
-608.20%-16.43M
-148.27%-8.52M
-5.87%-8.03M
141.14%1.99M
7.18%-1.85M
123.26%3.23M
724.96%17.66M
-26.04%-7.59M
-Change in inventory
-55.86%-8.74M
-22.11%-6.75M
-175.53%-25.63M
-13.36%-5.57M
-3,017.17%-8.92M
-558.45%-5.61M
-43.94%-5.53M
-356.67%-9.3M
-145.67%-4.92M
241.02%305.78K
-Change in payables and accrued expense
155.21%10.76M
142.78%3.02M
-226.78%-4.9M
-590.67%-14.09M
295.33%12M
744.50%4.22M
-443.14%-7.05M
-53.00%3.87M
1.86%2.87M
-12.25%3.04M
-Change in other current assets
-13,315.70%-15.99M
13.68%133K
80.05%-77K
36.81%-400K
-73.37%55K
-11.03%121K
220.62%117K
-40.58%-386K
-74.58%-633K
63.05%206.52K
-Change in other working capital
1,547.93%55.45M
-300.80%-3.25M
894.56%19.57M
885.35%12.85M
212.70%1.76M
162.60%3.37M
-70.01%1.62M
201.61%1.97M
243.88%1.3M
35.67%564.11K
Cash from discontinued investing activities
Operating cash flow
709.08%19.05M
43.81%-11.35M
-111.87%-56.7M
-149.77%-22.8M
-119.74%-10.59M
74.03%-3.13M
-2,414.69%-20.19M
-390.23%-26.76M
-323.99%-9.13M
-654.89%-4.82M
Investing cash flow
Cash flow from continuing investing activities
94.38%-1.44M
97.65%-852K
-9.30%-87.16M
82.42%-12.48M
-77.74%-12.88M
-11,105.70%-25.55M
-9,491.01%-36.25M
-654.19%-79.75M
-821.12%-71M
-490.70%-7.24M
Net PPE purchase and sale
71.48%-681K
18.83%-1.4M
-1,847.36%-9.58M
-1,612.10%-2.12M
-2,195.11%-3.26M
-1,374.07%-2.39M
-2,596.88%-1.73M
-61.50%-492K
-15.67%-124K
-246.79%-141.82K
Net intangibles purchase and sale
36.59%-201K
-1.65%-247K
-151.23%-1.95M
-11,400.00%-1.04M
12.39%-352K
-296.25%-317K
14.44%-243K
71.03%-775K
99.39%-9K
66.11%-401.78K
Net business purchase and sale
--0
--0
-0.93%-71.48M
88.51%-7.37M
-35.32%-9.07M
---21.78M
---33.2M
-832.68%-70.83M
-946.01%-64.13M
---6.7M
Net other investing changes
48.18%-554K
173.03%796K
45.75%-4.15M
70.98%-1.96M
---202K
-7,735.71%-1.07M
-3,533.33%-1.09M
---7.65M
---6.74M
----
Cash from discontinued investing activities
Investing cash flow
94.38%-1.44M
97.65%-852K
-9.30%-87.16M
82.42%-12.48M
-77.74%-12.88M
-11,105.70%-25.55M
-9,491.01%-36.25M
-654.19%-79.75M
-821.12%-71M
-490.70%-7.24M
Financing cash flow
Cash flow from continuing financing activities
-41.94%-484K
-24.77%-4.36M
-90.88%22.32M
-88.45%21.86M
-9.07%4.29M
-100.70%-341K
-284.00%-3.5M
602.91%244.7M
750.98%189.33M
-56.83%4.72M
Net issuance payments of debt
125.75%302K
19.17%-3.09M
731.91%9.17M
233.74%10.09M
223.08%4.07M
-112.13%-1.17M
-1,818.59%-3.82M
-328.27%-1.45M
-6,202.75%-7.54M
-4,391.51%-3.31M
Net common stock issuance
--0
--0
-98.57%3.46M
-98.99%1.96M
-99.43%46K
-97.22%1.1M
-82.98%362K
588.20%242.57M
761.81%192.98M
-26.96%8.06M
Net other financing activities
-196.60%-786K
-3,090.00%-1.28M
169.98%9.69M
151.98%9.82M
683.33%175K
-6.00%-265K
-42.86%-40K
3,876.84%3.59M
16,333.33%3.9M
-25.00%-30K
Cash from discontinued financing activities
Financing cash flow
-41.94%-484K
-24.77%-4.36M
-90.88%22.32M
-88.45%21.86M
-9.07%4.29M
-100.70%-341K
-284.00%-3.5M
602.91%244.7M
750.98%189.33M
-56.83%4.72M
Net cash flow
Beginning cash position
-75.82%24.16M
-75.20%39.91M
619.82%160.94M
0.63%51.97M
16.42%70.26M
321.94%99.91M
619.82%160.94M
470.05%22.36M
404.20%51.64M
4,932.58%60.35M
Current changes in cash
159.02%17.13M
72.37%-16.56M
-187.95%-121.55M
-112.29%-13.43M
-161.14%-19.18M
-179.38%-29.02M
-8,437.00%-59.94M
635.87%138.19M
781.57%109.2M
-180.92%-7.34M
Effect of exchange rate changes
-157.98%-1.63M
175.16%814K
32.64%512K
1,276.77%1.36M
765.96%880K
-181.33%-633K
-279.90%-1.08M
2,157.46%386K
82.78%99K
-331.85%-132.14K
End cash Position
-43.57%39.65M
-75.82%24.16M
-75.20%39.91M
-75.20%39.91M
-1.72%51.97M
17.08%70.26M
321.94%99.91M
609.50%160.94M
609.50%160.94M
416.25%52.88M
Free cash flow
406.77%18.16M
41.37%-12.99M
-143.42%-68.23M
-177.03%-25.66M
-170.33%-14.5M
51.79%-5.92M
-1,825.46%-22.16M
-232.13%-28.03M
-148.26%-9.26M
-187.60%-5.36M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
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(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021(Q1)Mar 31, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020(Q3)Sep 30, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 709.08%19.05M43.81%-11.35M-111.87%-56.7M-149.77%-22.8M-119.74%-10.59M74.03%-3.13M-2,414.69%-20.19M-390.23%-26.76M-323.99%-9.13M-654.89%-4.82M
Net income from continuing operations -214.25%-23.55M-82.52%-18.44M26.62%-23.45M108.57%2.42M-1,086.55%-25.93M-881.02%-7.5M-1,260.03%-10.11M-1,682.03%-31.96M-5,940.24%-28.27M-308.48%-2.19M
Operating gains losses 67.21%-706K3,466.67%1.39M-5,186.05%-21.87M-9,649.03%-19.67M22,537.10%18.81M-1,159.06%-2.15M-87.50%39K267.63%430K682.02%206K171.62%83.08K
Depreciation and amortization 128.51%3.87M74.68%3.92M221.43%12.17M374.69%7.93M-262.96%-1M496.48%1.69M84.46%2.24M106.00%3.79M25.27%1.67M300.22%614.87K
Deferred tax -595.00%-417K-503.28%-368K480.00%1.63M547.04%1.82M-1,020.50%-61K-1,100.00%-60K-408.33%-61K-2,862.04%-430K-2,696.72%-406K---5.44K
Other non cash items 98.60%1.27M-92.91%30K52.02%1.32M-192.74%-396K2,904.74%716K281.55%641K151.79%423K60.51%867K191.62%427K-77.08%23.83K
Change In working capital 791.45%36.4M114.36%1.82M-4,337.48%-27.47M-196.67%-15.74M9.86%-3.13M135.24%4.08M-590.21%-12.69M93.76%-619K597.04%16.28M-80.23%-3.48M
-Change in receivables -354.87%-5.08M568.49%8.67M-608.20%-16.43M-148.27%-8.52M-5.87%-8.03M141.14%1.99M7.18%-1.85M123.26%3.23M724.96%17.66M-26.04%-7.59M
-Change in inventory -55.86%-8.74M-22.11%-6.75M-175.53%-25.63M-13.36%-5.57M-3,017.17%-8.92M-558.45%-5.61M-43.94%-5.53M-356.67%-9.3M-145.67%-4.92M241.02%305.78K
-Change in payables and accrued expense 155.21%10.76M142.78%3.02M-226.78%-4.9M-590.67%-14.09M295.33%12M744.50%4.22M-443.14%-7.05M-53.00%3.87M1.86%2.87M-12.25%3.04M
-Change in other current assets -13,315.70%-15.99M13.68%133K80.05%-77K36.81%-400K-73.37%55K-11.03%121K220.62%117K-40.58%-386K-74.58%-633K63.05%206.52K
-Change in other working capital 1,547.93%55.45M-300.80%-3.25M894.56%19.57M885.35%12.85M212.70%1.76M162.60%3.37M-70.01%1.62M201.61%1.97M243.88%1.3M35.67%564.11K
Cash from discontinued investing activities
Operating cash flow 709.08%19.05M43.81%-11.35M-111.87%-56.7M-149.77%-22.8M-119.74%-10.59M74.03%-3.13M-2,414.69%-20.19M-390.23%-26.76M-323.99%-9.13M-654.89%-4.82M
Investing cash flow
Cash flow from continuing investing activities 94.38%-1.44M97.65%-852K-9.30%-87.16M82.42%-12.48M-77.74%-12.88M-11,105.70%-25.55M-9,491.01%-36.25M-654.19%-79.75M-821.12%-71M-490.70%-7.24M
Net PPE purchase and sale 71.48%-681K18.83%-1.4M-1,847.36%-9.58M-1,612.10%-2.12M-2,195.11%-3.26M-1,374.07%-2.39M-2,596.88%-1.73M-61.50%-492K-15.67%-124K-246.79%-141.82K
Net intangibles purchase and sale 36.59%-201K-1.65%-247K-151.23%-1.95M-11,400.00%-1.04M12.39%-352K-296.25%-317K14.44%-243K71.03%-775K99.39%-9K66.11%-401.78K
Net business purchase and sale --0--0-0.93%-71.48M88.51%-7.37M-35.32%-9.07M---21.78M---33.2M-832.68%-70.83M-946.01%-64.13M---6.7M
Net other investing changes 48.18%-554K173.03%796K45.75%-4.15M70.98%-1.96M---202K-7,735.71%-1.07M-3,533.33%-1.09M---7.65M---6.74M----
Cash from discontinued investing activities
Investing cash flow 94.38%-1.44M97.65%-852K-9.30%-87.16M82.42%-12.48M-77.74%-12.88M-11,105.70%-25.55M-9,491.01%-36.25M-654.19%-79.75M-821.12%-71M-490.70%-7.24M
Financing cash flow
Cash flow from continuing financing activities -41.94%-484K-24.77%-4.36M-90.88%22.32M-88.45%21.86M-9.07%4.29M-100.70%-341K-284.00%-3.5M602.91%244.7M750.98%189.33M-56.83%4.72M
Net issuance payments of debt 125.75%302K19.17%-3.09M731.91%9.17M233.74%10.09M223.08%4.07M-112.13%-1.17M-1,818.59%-3.82M-328.27%-1.45M-6,202.75%-7.54M-4,391.51%-3.31M
Net common stock issuance --0--0-98.57%3.46M-98.99%1.96M-99.43%46K-97.22%1.1M-82.98%362K588.20%242.57M761.81%192.98M-26.96%8.06M
Net other financing activities -196.60%-786K-3,090.00%-1.28M169.98%9.69M151.98%9.82M683.33%175K-6.00%-265K-42.86%-40K3,876.84%3.59M16,333.33%3.9M-25.00%-30K
Cash from discontinued financing activities
Financing cash flow -41.94%-484K-24.77%-4.36M-90.88%22.32M-88.45%21.86M-9.07%4.29M-100.70%-341K-284.00%-3.5M602.91%244.7M750.98%189.33M-56.83%4.72M
Net cash flow
Beginning cash position -75.82%24.16M-75.20%39.91M619.82%160.94M0.63%51.97M16.42%70.26M321.94%99.91M619.82%160.94M470.05%22.36M404.20%51.64M4,932.58%60.35M
Current changes in cash 159.02%17.13M72.37%-16.56M-187.95%-121.55M-112.29%-13.43M-161.14%-19.18M-179.38%-29.02M-8,437.00%-59.94M635.87%138.19M781.57%109.2M-180.92%-7.34M
Effect of exchange rate changes -157.98%-1.63M175.16%814K32.64%512K1,276.77%1.36M765.96%880K-181.33%-633K-279.90%-1.08M2,157.46%386K82.78%99K-331.85%-132.14K
End cash Position -43.57%39.65M-75.82%24.16M-75.20%39.91M-75.20%39.91M-1.72%51.97M17.08%70.26M321.94%99.91M609.50%160.94M609.50%160.94M416.25%52.88M
Free cash flow 406.77%18.16M41.37%-12.99M-143.42%-68.23M-177.03%-25.66M-170.33%-14.5M51.79%-5.92M-1,825.46%-22.16M-232.13%-28.03M-148.26%-9.26M-187.60%-5.36M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----
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