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INVU INVESTVIEW INC

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  • 0.012500
  • -0.001400-10.07%
15min DelayClose Jun 7 16:00 ET
23.26MMarket Cap12.50P/E (TTM)

INVESTVIEW INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
1,303.96%4.8M
-35.20%6.07M
-86.93%264.87K
-36.35%1.81M
945.33%4.39M
-109.79%-398.65K
-66.15%9.36M
-61.17%2.03M
2.84M
-93.79%419.93K
Net income from continuing operations
309.41%1.67M
121.88%2.83M
98.77%-181.69K
577.40%2.01M
699.15%597.41K
-82.85%407.89K
55.63%-12.94M
-399.57%-14.8M
---420.68K
-101.14%-99.71K
Operating gains losses
-19.58%-276.3K
-103.99%-50.33K
-113.68%-48.51K
-114.97%-182.38K
183.64%411.62K
-226.72%-231.06K
-97.51%1.26M
258.92%354.49K
--1.22M
-104.50%-492.13K
Depreciation and amortization
21.30%1.18M
-28.54%4.45M
-39.71%1.19M
-34.63%1.18M
-27.90%1.11M
6.77%971.53K
174.21%6.23M
187.67%1.98M
--1.81M
120.84%1.53M
Other non cash items
-6.92%98.43K
-80.04%339.05K
0.97%78.77K
132.62%307.57K
-118.18%-153.04K
-93.86%105.75K
562.94%1.7M
109.16%78.01K
---942.87K
58.96%841.64K
Change In working capital
170.14%1.7M
-42.59%-6.14M
-175.07%-3.36M
-2,157.19%-2.16M
196.45%1.8M
-115.97%-2.42M
-501.51%-4.3M
-32.60%-1.22M
---95.5K
64.55%-1.87M
-Change in receivables
68.93%-108.31K
-247.93%-977.18K
-142.09%-306.97K
-345.91%-764.15K
187.52%442.54K
-376.48%-348.61K
168.30%660.55K
222.43%729.38K
--310.74K
-29.71%-505.66K
-Change in inventory
--0
124.50%74.65K
--0
--0
119.21%23.2K
192.58%51.45K
---304.66K
--67.14K
---195.46K
---120.77K
-Change in prepaid assets
94.50%-152.13K
-130.91%-1.7M
1,564.85%623.8K
-258.92%-907.6K
373.07%1.35M
-9,054.27%-2.77M
-578.83%-738.24K
-91.48%37.47K
---252.87K
-662.11%-492.63K
-Change in payables and accrued expense
1,471.91%1.4M
21.44%1.33M
643.75%677.18K
136.11%269.19K
-80.33%298.03K
121.97%89.36K
-61.77%1.1M
-114.01%-124.54K
--114.01K
1,011.72%1.52M
-Change in other current assets
2,186.91%550.09K
-40.99%-5.4M
-362.63%-4.25M
-313.51%-720.51K
82.89%-395.6K
97.18%-26.36K
-731.72%-3.83M
78.68%-919.53K
--337.47K
41.96%-2.31M
-Change in other working capital
-99.31%4.02K
144.61%532.22K
90.06%-100.58K
92.04%-32.6K
75.63%86.56K
223.76%578.84K
-351.27%-1.19M
-138.05%-1.01M
---409.39K
105.12%49.28K
Cash from discontinued investing activities
Operating cash flow
1,303.96%4.8M
-35.20%6.07M
-86.93%264.87K
-36.35%1.81M
945.33%4.39M
-109.79%-398.65K
-66.15%9.36M
-61.17%2.03M
--2.84M
-93.79%419.93K
Investing cash flow
Cash flow from continuing investing activities
99.53%-2.9K
82.10%-2.54M
-168.32%-31.76K
96.72%-120.58K
61.17%-1.77M
89.68%-617.76K
-608.43%-14.17M
107.41%46.49K
-3.68M
-7,293.29%-4.55M
Net PPE purchase and sale
99.53%-2.9K
82.10%-2.54M
-168.32%-31.76K
96.72%-120.58K
61.17%-1.77M
89.68%-617.76K
-608.43%-14.17M
107.41%46.49K
---3.68M
-7,293.29%-4.55M
Cash from discontinued investing activities
Investing cash flow
99.53%-2.9K
82.10%-2.54M
-168.32%-31.76K
96.72%-120.58K
61.17%-1.77M
89.68%-617.76K
-608.43%-14.17M
107.41%46.49K
---3.68M
-7,293.29%-4.55M
Financing cash flow
Cash flow from continuing financing activities
-116.71%-1.36M
38.65%-3.87M
-196.49%-1.99M
0.98%-625.18K
-6.22%-629.16K
85.83%-626.23K
-2,146.63%-6.31M
-230.33%-672.27K
-631.36K
-125.86%-592.29K
Net issuance payments of debt
27.12%-339.39K
27.25%-2.85M
33.32%-2.13M
-90.65%209.69K
82.68%-468.13K
-72.89%-465.69K
-618.72%-3.92M
-1,544.29%-3.19M
--2.24M
-674.73%-2.7M
Net common stock issuance
---842.94K
77.61%-396.55K
-748.76%-396.55K
--0
--0
--0
-48.29%-1.77M
96.64%-46.72K
--0
--0
Cash dividends paid
-8.85%-174.76K
-0.17%-627.86K
6.04%-146.78K
-1.64%-159.49K
-2.68%-161.03K
-2.38%-160.56K
-55.75%-626.78K
-11,163.81%-156.22K
---156.92K
-91.00%-156.82K
Proceeds from stock option exercised by employees
--0
--23
--0
--0
--0
--23
--0
--0
--0
--0
Cash from discontinued financing activities
Financing cash flow
-116.71%-1.36M
38.65%-3.87M
-196.49%-1.99M
0.98%-625.18K
-6.22%-629.16K
85.83%-626.23K
-2,146.63%-6.31M
-230.33%-672.27K
---631.36K
-125.86%-592.29K
Net cash flow
Beginning cash position
-1.61%21.14M
-34.12%21.49M
14.01%22.9M
1.31%21.84M
-24.49%19.85M
-34.12%21.49M
389.61%32.62M
1,192.33%20.09M
--21.56M
294.53%26.28M
Current changes in cash
309.40%3.44M
96.89%-346.27K
-225.69%-1.76M
172.41%1.06M
142.18%1.99M
74.07%-1.64M
-142.87%-11.13M
-72.58%1.4M
---1.47M
-152.54%-4.73M
Effect of exchange rate changes
--0
--0
--0
--0
--0
--0
94.47%-218
--0
--0
25.99%-598
End cash Position
23.86%24.58M
-1.61%21.14M
-1.61%21.14M
14.01%22.9M
1.31%21.84M
-24.49%19.85M
-34.12%21.49M
222.57%21.49M
--20.09M
37.72%21.56M
Free cash flow
571.93%4.8M
159.32%3.5M
-88.48%233.11K
236.70%1.69M
154.70%2.6M
47.73%-1.02M
-123.04%-5.91M
-55.92%2.02M
---1.24M
-170.88%-4.75M
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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(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(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 1,303.96%4.8M-35.20%6.07M-86.93%264.87K-36.35%1.81M945.33%4.39M-109.79%-398.65K-66.15%9.36M-61.17%2.03M2.84M-93.79%419.93K
Net income from continuing operations 309.41%1.67M121.88%2.83M98.77%-181.69K577.40%2.01M699.15%597.41K-82.85%407.89K55.63%-12.94M-399.57%-14.8M---420.68K-101.14%-99.71K
Operating gains losses -19.58%-276.3K-103.99%-50.33K-113.68%-48.51K-114.97%-182.38K183.64%411.62K-226.72%-231.06K-97.51%1.26M258.92%354.49K--1.22M-104.50%-492.13K
Depreciation and amortization 21.30%1.18M-28.54%4.45M-39.71%1.19M-34.63%1.18M-27.90%1.11M6.77%971.53K174.21%6.23M187.67%1.98M--1.81M120.84%1.53M
Other non cash items -6.92%98.43K-80.04%339.05K0.97%78.77K132.62%307.57K-118.18%-153.04K-93.86%105.75K562.94%1.7M109.16%78.01K---942.87K58.96%841.64K
Change In working capital 170.14%1.7M-42.59%-6.14M-175.07%-3.36M-2,157.19%-2.16M196.45%1.8M-115.97%-2.42M-501.51%-4.3M-32.60%-1.22M---95.5K64.55%-1.87M
-Change in receivables 68.93%-108.31K-247.93%-977.18K-142.09%-306.97K-345.91%-764.15K187.52%442.54K-376.48%-348.61K168.30%660.55K222.43%729.38K--310.74K-29.71%-505.66K
-Change in inventory --0124.50%74.65K--0--0119.21%23.2K192.58%51.45K---304.66K--67.14K---195.46K---120.77K
-Change in prepaid assets 94.50%-152.13K-130.91%-1.7M1,564.85%623.8K-258.92%-907.6K373.07%1.35M-9,054.27%-2.77M-578.83%-738.24K-91.48%37.47K---252.87K-662.11%-492.63K
-Change in payables and accrued expense 1,471.91%1.4M21.44%1.33M643.75%677.18K136.11%269.19K-80.33%298.03K121.97%89.36K-61.77%1.1M-114.01%-124.54K--114.01K1,011.72%1.52M
-Change in other current assets 2,186.91%550.09K-40.99%-5.4M-362.63%-4.25M-313.51%-720.51K82.89%-395.6K97.18%-26.36K-731.72%-3.83M78.68%-919.53K--337.47K41.96%-2.31M
-Change in other working capital -99.31%4.02K144.61%532.22K90.06%-100.58K92.04%-32.6K75.63%86.56K223.76%578.84K-351.27%-1.19M-138.05%-1.01M---409.39K105.12%49.28K
Cash from discontinued investing activities
Operating cash flow 1,303.96%4.8M-35.20%6.07M-86.93%264.87K-36.35%1.81M945.33%4.39M-109.79%-398.65K-66.15%9.36M-61.17%2.03M--2.84M-93.79%419.93K
Investing cash flow
Cash flow from continuing investing activities 99.53%-2.9K82.10%-2.54M-168.32%-31.76K96.72%-120.58K61.17%-1.77M89.68%-617.76K-608.43%-14.17M107.41%46.49K-3.68M-7,293.29%-4.55M
Net PPE purchase and sale 99.53%-2.9K82.10%-2.54M-168.32%-31.76K96.72%-120.58K61.17%-1.77M89.68%-617.76K-608.43%-14.17M107.41%46.49K---3.68M-7,293.29%-4.55M
Cash from discontinued investing activities
Investing cash flow 99.53%-2.9K82.10%-2.54M-168.32%-31.76K96.72%-120.58K61.17%-1.77M89.68%-617.76K-608.43%-14.17M107.41%46.49K---3.68M-7,293.29%-4.55M
Financing cash flow
Cash flow from continuing financing activities -116.71%-1.36M38.65%-3.87M-196.49%-1.99M0.98%-625.18K-6.22%-629.16K85.83%-626.23K-2,146.63%-6.31M-230.33%-672.27K-631.36K-125.86%-592.29K
Net issuance payments of debt 27.12%-339.39K27.25%-2.85M33.32%-2.13M-90.65%209.69K82.68%-468.13K-72.89%-465.69K-618.72%-3.92M-1,544.29%-3.19M--2.24M-674.73%-2.7M
Net common stock issuance ---842.94K77.61%-396.55K-748.76%-396.55K--0--0--0-48.29%-1.77M96.64%-46.72K--0--0
Cash dividends paid -8.85%-174.76K-0.17%-627.86K6.04%-146.78K-1.64%-159.49K-2.68%-161.03K-2.38%-160.56K-55.75%-626.78K-11,163.81%-156.22K---156.92K-91.00%-156.82K
Proceeds from stock option exercised by employees --0--23--0--0--0--23--0--0--0--0
Cash from discontinued financing activities
Financing cash flow -116.71%-1.36M38.65%-3.87M-196.49%-1.99M0.98%-625.18K-6.22%-629.16K85.83%-626.23K-2,146.63%-6.31M-230.33%-672.27K---631.36K-125.86%-592.29K
Net cash flow
Beginning cash position -1.61%21.14M-34.12%21.49M14.01%22.9M1.31%21.84M-24.49%19.85M-34.12%21.49M389.61%32.62M1,192.33%20.09M--21.56M294.53%26.28M
Current changes in cash 309.40%3.44M96.89%-346.27K-225.69%-1.76M172.41%1.06M142.18%1.99M74.07%-1.64M-142.87%-11.13M-72.58%1.4M---1.47M-152.54%-4.73M
Effect of exchange rate changes --0--0--0--0--0--094.47%-218--0--025.99%-598
End cash Position 23.86%24.58M-1.61%21.14M-1.61%21.14M14.01%22.9M1.31%21.84M-24.49%19.85M-34.12%21.49M222.57%21.49M--20.09M37.72%21.56M
Free cash flow 571.93%4.8M159.32%3.5M-88.48%233.11K236.70%1.69M154.70%2.6M47.73%-1.02M-123.04%-5.91M-55.92%2.02M---1.24M-170.88%-4.75M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

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Price Target

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