US Stock MarketDetailed Quotes

CEOS CECORS INC

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  • 0.019800
  • +0.001200+6.45%
15min DelayClose Apr 26 16:00 ET
254.78KMarket Cap-50P/E (TTM)

CECORS INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2008
(Q2)Jun 30, 2008
(Q1)Mar 30, 2008
(FY)Dec 31, 2007
(Q4)Dec 31, 2007
(Q3)Sep 30, 2007
(Q2)Jun 30, 2007
(Q1)Mar 30, 2007
(FY)Dec 31, 2006
(Q4)Dec 31, 2006
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
82.19%-311.64K
76.86%-486.74K
72.68%-521.37K
7.72%-6.88M
55.16%-1.12M
1.55%-1.75M
-10.58%-2.1M
-48.89%-1.91M
-28,532.37%-7.46M
-2.49M
Net income from continuing operations
19.23%-2.28M
80.67%-515.22K
63.55%-914.61K
16.33%-9.3M
63.05%-1.3M
-45.66%-2.83M
30.51%-2.67M
-37.97%-2.51M
-43,038.86%-11.12M
---3.52M
Operating gains losses
--0
--9.01K
--13.97K
----
----
----
----
----
----
----
Depreciation and amortization
--0
-67.55%65.69K
-22.24%152.57K
51.83%790.91K
11.61%188.88K
35.24%203.37K
67.01%202.44K
145.03%196.22K
--520.91K
--169.24K
Other non cash items
67.97%1.77M
-79.55%108.65K
-44.07%154.21K
-23.23%1.92M
-77.04%63.46K
3,887.69%1.05M
--531.38K
--275.74K
--2.51M
--276.44K
Change In working capital
210.81%200.91K
9.89%-154.86K
-43.77%72.49K
-146.25%-293.33K
-111.85%-69.07K
-556.06%-181.32K
-1,436.87%-171.85K
10,421.06%128.91K
235,851.67%634.17K
--582.81K
-Change in prepaid assets
179.25%67.05K
-99.60%373
-83.58%19.44K
164.25%155.42K
112.14%29.2K
-361.12%-84.6K
1,195.40%92.41K
389.10%118.41K
---241.91K
---240.49K
-Change in payables and accrued expense
193.37%134.52K
23.54%-154.58K
155.44%44.52K
-219.92%-517.09K
-124.36%-90.55K
25.01%-144.08K
-195.37%-202.17K
-302.21%-80.3K
8,624,120.00%431.21K
--371.65K
-Change in other current liabilities
----
----
----
-87.22%57.49K
---17.52K
----
----
----
--450K
----
-Change in other working capital
97.62%-657
98.96%-647
-90.60%8.54K
311.72%10.86K
496.35%9.8K
-113.86%-27.64K
---62.1K
--90.8K
---5.13K
--1.64K
Cash from discontinued investing activities
Operating cash flow
82.19%-311.64K
76.86%-486.74K
72.68%-521.37K
7.72%-6.88M
55.16%-1.12M
1.55%-1.75M
-10.58%-2.1M
-48.89%-1.91M
-28,532.37%-7.46M
---2.49M
Investing cash flow
Cash flow from continuing investing activities
0
201.66%38.04K
149.29%13.57K
94.64%-69.48K
99.40%-1.91K
99.09%-2.62K
78.90%-37.42K
94.65%-27.53K
-1.3M
-316.22K
Net PPE purchase and sale
--0
201.66%38.04K
149.29%13.57K
94.64%-69.48K
99.39%-1.91K
99.09%-2.62K
78.90%-37.42K
94.65%-27.53K
---1.3M
---315.11K
Net business purchase and sale
----
----
----
----
----
----
----
----
---1.11K
----
Cash from discontinued investing activities
Investing cash flow
--0
201.66%38.04K
149.29%13.57K
94.64%-69.48K
99.40%-1.91K
99.09%-2.62K
78.90%-37.42K
94.65%-27.53K
---1.3M
---316.22K
Financing cash flow
Cash flow from continuing financing activities
-137.49%-363.09K
-101.97%-19.26K
-161.29%-23.75K
-69.94%2.91M
-79.62%930.48K
-72.64%968.62K
3,081.69%976.27K
-97.51%38.75K
33,326.43%9.69M
4.57M
Net issuance payments of debt
----
----
14.25%-29.37K
2.52%-118.78K
----
----
-254.49%-31.57K
49.00%-34.25K
-3,146.35%-121.85K
---60.06K
Net common stock issuance
----
----
----
-79.93%2.08M
-100.00%12
-74.72%995.17K
9,978.38%1.01M
-95.94%73K
41,269.50%10.34M
--4.6M
Net other financing activities
--86.13K
---48.63K
--5.63K
281.62%956.88K
3,283.04%1.05M
----
----
----
---526.86K
--31.02K
Cash from discontinued financing activities
Financing cash flow
-137.49%-363.09K
-101.97%-19.26K
-161.29%-23.75K
-69.94%2.91M
-79.62%930.48K
-72.64%968.62K
3,081.69%976.27K
-97.51%38.75K
33,326.43%9.69M
--4.57M
Net cash flow
Beginning cash position
-72.94%732.15K
-68.99%1.2M
-69.97%1.73M
19.50%5.77M
-52.10%1.92M
6.67%2.71M
-15.60%3.87M
19.50%5.77M
434,678.83%4.83M
--4.01M
Current changes in cash
13.96%-674.73K
59.81%-467.96K
71.98%-531.54K
-528.73%-4.04M
-110.82%-189.97K
-153.17%-784.18K
43.16%-1.16M
-687.91%-1.9M
31,701.05%941.31K
--1.76M
End cash Position
-97.01%57.42K
-72.94%732.15K
-68.99%1.2M
-69.97%1.73M
-69.97%1.73M
-52.10%1.92M
6.67%2.71M
-15.60%3.87M
141,604.08%5.77M
--5.77M
Free cash flow
82.22%-311.64K
77.26%-486.74K
73.07%-521.37K
20.58%-6.95M
60.12%-1.12M
15.15%-1.75M
-2.95%-2.14M
-7.75%-1.94M
-33,506.92%-8.75M
---2.81M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
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Audit Opinions
--
--
--
Unqualified Opinion
--
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Unqualified Opinion
--
(Q3)Sep 30, 2008(Q2)Jun 30, 2008(Q1)Mar 30, 2008(FY)Dec 31, 2007(Q4)Dec 31, 2007(Q3)Sep 30, 2007(Q2)Jun 30, 2007(Q1)Mar 30, 2007(FY)Dec 31, 2006(Q4)Dec 31, 2006
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 82.19%-311.64K76.86%-486.74K72.68%-521.37K7.72%-6.88M55.16%-1.12M1.55%-1.75M-10.58%-2.1M-48.89%-1.91M-28,532.37%-7.46M-2.49M
Net income from continuing operations 19.23%-2.28M80.67%-515.22K63.55%-914.61K16.33%-9.3M63.05%-1.3M-45.66%-2.83M30.51%-2.67M-37.97%-2.51M-43,038.86%-11.12M---3.52M
Operating gains losses --0--9.01K--13.97K----------------------------
Depreciation and amortization --0-67.55%65.69K-22.24%152.57K51.83%790.91K11.61%188.88K35.24%203.37K67.01%202.44K145.03%196.22K--520.91K--169.24K
Other non cash items 67.97%1.77M-79.55%108.65K-44.07%154.21K-23.23%1.92M-77.04%63.46K3,887.69%1.05M--531.38K--275.74K--2.51M--276.44K
Change In working capital 210.81%200.91K9.89%-154.86K-43.77%72.49K-146.25%-293.33K-111.85%-69.07K-556.06%-181.32K-1,436.87%-171.85K10,421.06%128.91K235,851.67%634.17K--582.81K
-Change in prepaid assets 179.25%67.05K-99.60%373-83.58%19.44K164.25%155.42K112.14%29.2K-361.12%-84.6K1,195.40%92.41K389.10%118.41K---241.91K---240.49K
-Change in payables and accrued expense 193.37%134.52K23.54%-154.58K155.44%44.52K-219.92%-517.09K-124.36%-90.55K25.01%-144.08K-195.37%-202.17K-302.21%-80.3K8,624,120.00%431.21K--371.65K
-Change in other current liabilities -------------87.22%57.49K---17.52K--------------450K----
-Change in other working capital 97.62%-65798.96%-647-90.60%8.54K311.72%10.86K496.35%9.8K-113.86%-27.64K---62.1K--90.8K---5.13K--1.64K
Cash from discontinued investing activities
Operating cash flow 82.19%-311.64K76.86%-486.74K72.68%-521.37K7.72%-6.88M55.16%-1.12M1.55%-1.75M-10.58%-2.1M-48.89%-1.91M-28,532.37%-7.46M---2.49M
Investing cash flow
Cash flow from continuing investing activities 0201.66%38.04K149.29%13.57K94.64%-69.48K99.40%-1.91K99.09%-2.62K78.90%-37.42K94.65%-27.53K-1.3M-316.22K
Net PPE purchase and sale --0201.66%38.04K149.29%13.57K94.64%-69.48K99.39%-1.91K99.09%-2.62K78.90%-37.42K94.65%-27.53K---1.3M---315.11K
Net business purchase and sale -----------------------------------1.11K----
Cash from discontinued investing activities
Investing cash flow --0201.66%38.04K149.29%13.57K94.64%-69.48K99.40%-1.91K99.09%-2.62K78.90%-37.42K94.65%-27.53K---1.3M---316.22K
Financing cash flow
Cash flow from continuing financing activities -137.49%-363.09K-101.97%-19.26K-161.29%-23.75K-69.94%2.91M-79.62%930.48K-72.64%968.62K3,081.69%976.27K-97.51%38.75K33,326.43%9.69M4.57M
Net issuance payments of debt --------14.25%-29.37K2.52%-118.78K---------254.49%-31.57K49.00%-34.25K-3,146.35%-121.85K---60.06K
Net common stock issuance -------------79.93%2.08M-100.00%12-74.72%995.17K9,978.38%1.01M-95.94%73K41,269.50%10.34M--4.6M
Net other financing activities --86.13K---48.63K--5.63K281.62%956.88K3,283.04%1.05M---------------526.86K--31.02K
Cash from discontinued financing activities
Financing cash flow -137.49%-363.09K-101.97%-19.26K-161.29%-23.75K-69.94%2.91M-79.62%930.48K-72.64%968.62K3,081.69%976.27K-97.51%38.75K33,326.43%9.69M--4.57M
Net cash flow
Beginning cash position -72.94%732.15K-68.99%1.2M-69.97%1.73M19.50%5.77M-52.10%1.92M6.67%2.71M-15.60%3.87M19.50%5.77M434,678.83%4.83M--4.01M
Current changes in cash 13.96%-674.73K59.81%-467.96K71.98%-531.54K-528.73%-4.04M-110.82%-189.97K-153.17%-784.18K43.16%-1.16M-687.91%-1.9M31,701.05%941.31K--1.76M
End cash Position -97.01%57.42K-72.94%732.15K-68.99%1.2M-69.97%1.73M-69.97%1.73M-52.10%1.92M6.67%2.71M-15.60%3.87M141,604.08%5.77M--5.77M
Free cash flow 82.22%-311.64K77.26%-486.74K73.07%-521.37K20.58%-6.95M60.12%-1.12M15.15%-1.75M-2.95%-2.14M-7.75%-1.94M-33,506.92%-8.75M---2.81M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

Analyst Rating

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Price Target

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