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SLNG Stabilis Solutions

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  • 4.170
  • 0.0000.00%
Trading May 10 12:03 ET
77.50MMarket Cap139.00P/E (TTM)

Stabilis Solutions 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
4,124.73%3.93M
-50.78%6.71M
-53.03%1.33M
-78.17%1.48M
143.23%3.81M
-96.22%93K
188.17%13.64M
348.77%2.84M
107.67%6.77M
3,162.50%1.57M
Net income from continuing operations
35.52%1.47M
110.49%125K
552.29%1.42M
-120.21%-207K
-4.77%-2.17M
401.95%1.08M
84.38%-1.19M
109.46%218K
122.77%1.02M
-106.67%-2.08M
Operating gains losses
-1,435.71%-374K
-2.45%-2.55M
66.30%-620K
-105.60%-1.29M
-582.73%-671K
117.39%28K
23.05%-2.49M
-113.70%-1.84M
-106.95%-625K
108.43%139K
Depreciation and amortization
-10.49%1.8M
-9.07%7.88M
-9.78%1.87M
-5.30%2M
-9.33%1.99M
-11.68%2.01M
-2.59%8.66M
-7.41%2.08M
-4.30%2.12M
-0.95%2.2M
Change In working capital
113.35%483K
-143.13%-2.05M
-458.63%-2.14M
-90.61%454K
481.71%3.26M
-2,179.89%-3.62M
374.35%4.75M
142.04%597K
59.73%4.84M
16.94%-853K
-Change in receivables
-3.91%1.96M
157.31%4.02M
73.21%-1.62M
-167.45%-1.37M
332.40%4.96M
22.25%2.04M
-57.60%-7.01M
-96.68%-6.04M
-1,191.49%-513K
-196.26%-2.14M
-Change in inventory
----
-50.68%36K
----
----
----
----
152.90%73K
----
----
----
-Change in prepaid assets
-53.65%235K
2.15%1.43M
-44.92%477K
-91.47%121K
126.00%320K
48.25%507K
4.34%1.4M
-22.61%866K
111.33%1.42M
-386.56%-1.23M
-Change in payables and accrued expense
71.51%-1.81M
-173.12%-7.72M
-120.15%-1.08M
-55.12%1.75M
-168.52%-2.02M
-277.73%-6.36M
165.98%10.55M
1,407.00%5.38M
61.39%3.9M
3,346.15%2.95M
-Change in other working capital
-49.74%96K
173.05%187K
-85.03%47K
-280.77%-47K
99.09%-4K
222.44%191K
-189.82%-256K
9.03%314K
420.00%26K
-3,242.86%-440K
Cash from discontinued investing activities
0
0
0
343.91%1.06M
3,937.50%323K
179K
-134K
Operating cash flow
4,124.73%3.93M
-54.33%6.71M
-57.83%1.33M
-78.74%1.48M
165.99%3.81M
-97.05%93K
242.03%14.7M
379.06%3.16M
146.66%6.95M
2,883.33%1.43M
Investing cash flow
Cash flow from continuing investing activities
82.13%-666K
-462.86%-8.91M
103.63%72K
-384.39%-3.77M
-345.65%-1.48M
-531.69%-3.73M
78.41%-1.58M
-135.87%-1.99M
259.57%1.33M
93.79%-333K
Net PPE purchase and sale
76.58%-873K
-134.79%-9M
99.31%-15K
-421.58%-3.77M
-345.65%-1.48M
-531.69%-3.73M
47.74%-3.83M
-159.62%-2.19M
13.00%-723K
93.79%-333K
Net business purchase and sale
----
-56.50%87K
----
----
----
----
--200K
----
----
----
Net other investing changes
--207K
----
----
----
----
----
--2.05M
--0
----
----
Cash from discontinued investing activities
Investing cash flow
82.13%-666K
-364.79%-8.91M
103.63%72K
-401.68%-3.77M
-308.82%-1.48M
-355.62%-3.73M
74.51%-1.92M
-139.28%-1.99M
221.24%1.25M
93.23%-363K
Financing cash flow
Cash flow from continuing financing activities
63.06%-355K
-81.50%-3.88M
-13.24%-941K
-17.86%-904K
-299.26%-1.08M
11.27%-961K
-171.10%-2.14M
-245.28%-831K
63.13%-767K
-90.33%541K
Net issuance payments of debt
64.00%-346K
-75.86%-3.61M
-13.24%-941K
-8.80%-742K
-279.30%-970K
11.27%-961K
-153.24%-2.06M
-245.28%-831K
58.67%-682K
-91.01%541K
Net other financing activities
---9K
-217.65%-270K
--0
---162K
----
----
90.00%-85K
--0
----
----
Cash from discontinued financing activities
0
0
0
-5,750.00%-113K
0
-55K
-9K
Financing cash flow
63.06%-355K
-72.39%-3.88M
-13.24%-941K
-9.98%-904K
-302.63%-1.08M
15.11%-961K
-174.80%-2.25M
-248.13%-831K
60.23%-822K
-90.49%532K
Net cash flow
Beginning cash position
-53.07%5.37M
1,158.35%11.45M
-55.74%4.91M
115.41%8.12M
224.86%6.86M
1,158.35%11.45M
-26.61%910K
371.62%11.1M
13.79%3.77M
-31.03%2.11M
Current changes in cash
163.29%2.91M
-157.78%-6.08M
35.38%463K
-143.33%-3.2M
-22.11%1.25M
-481.33%-4.6M
5,089.10%10.53M
124.41%342K
2,735.36%7.38M
463.73%1.6M
Effect of exchange rate changes
-20.00%4K
-64.29%5K
-142.86%-3K
78.72%-10K
-77.19%13K
266.67%5K
111.76%14K
116.28%7K
55.24%-47K
272.73%57K
End cash Position
20.77%8.29M
-53.07%5.37M
-53.07%5.37M
-55.74%4.91M
115.41%8.12M
224.86%6.86M
1,158.35%11.45M
1,158.35%11.45M
371.62%11.1M
13.79%3.77M
Free cash flow
184.09%3.06M
-132.88%-3.54M
-93.63%62K
-136.82%-2.29M
111.56%2.33M
-247.42%-3.63M
423.47%10.77M
148.43%973K
213.44%6.23M
119.73%1.1M
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
--
--
--
--
--
--
--
--
(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 4,124.73%3.93M-50.78%6.71M-53.03%1.33M-78.17%1.48M143.23%3.81M-96.22%93K188.17%13.64M348.77%2.84M107.67%6.77M3,162.50%1.57M
Net income from continuing operations 35.52%1.47M110.49%125K552.29%1.42M-120.21%-207K-4.77%-2.17M401.95%1.08M84.38%-1.19M109.46%218K122.77%1.02M-106.67%-2.08M
Operating gains losses -1,435.71%-374K-2.45%-2.55M66.30%-620K-105.60%-1.29M-582.73%-671K117.39%28K23.05%-2.49M-113.70%-1.84M-106.95%-625K108.43%139K
Depreciation and amortization -10.49%1.8M-9.07%7.88M-9.78%1.87M-5.30%2M-9.33%1.99M-11.68%2.01M-2.59%8.66M-7.41%2.08M-4.30%2.12M-0.95%2.2M
Change In working capital 113.35%483K-143.13%-2.05M-458.63%-2.14M-90.61%454K481.71%3.26M-2,179.89%-3.62M374.35%4.75M142.04%597K59.73%4.84M16.94%-853K
-Change in receivables -3.91%1.96M157.31%4.02M73.21%-1.62M-167.45%-1.37M332.40%4.96M22.25%2.04M-57.60%-7.01M-96.68%-6.04M-1,191.49%-513K-196.26%-2.14M
-Change in inventory -----50.68%36K----------------152.90%73K------------
-Change in prepaid assets -53.65%235K2.15%1.43M-44.92%477K-91.47%121K126.00%320K48.25%507K4.34%1.4M-22.61%866K111.33%1.42M-386.56%-1.23M
-Change in payables and accrued expense 71.51%-1.81M-173.12%-7.72M-120.15%-1.08M-55.12%1.75M-168.52%-2.02M-277.73%-6.36M165.98%10.55M1,407.00%5.38M61.39%3.9M3,346.15%2.95M
-Change in other working capital -49.74%96K173.05%187K-85.03%47K-280.77%-47K99.09%-4K222.44%191K-189.82%-256K9.03%314K420.00%26K-3,242.86%-440K
Cash from discontinued investing activities 000343.91%1.06M3,937.50%323K179K-134K
Operating cash flow 4,124.73%3.93M-54.33%6.71M-57.83%1.33M-78.74%1.48M165.99%3.81M-97.05%93K242.03%14.7M379.06%3.16M146.66%6.95M2,883.33%1.43M
Investing cash flow
Cash flow from continuing investing activities 82.13%-666K-462.86%-8.91M103.63%72K-384.39%-3.77M-345.65%-1.48M-531.69%-3.73M78.41%-1.58M-135.87%-1.99M259.57%1.33M93.79%-333K
Net PPE purchase and sale 76.58%-873K-134.79%-9M99.31%-15K-421.58%-3.77M-345.65%-1.48M-531.69%-3.73M47.74%-3.83M-159.62%-2.19M13.00%-723K93.79%-333K
Net business purchase and sale -----56.50%87K------------------200K------------
Net other investing changes --207K----------------------2.05M--0--------
Cash from discontinued investing activities
Investing cash flow 82.13%-666K-364.79%-8.91M103.63%72K-401.68%-3.77M-308.82%-1.48M-355.62%-3.73M74.51%-1.92M-139.28%-1.99M221.24%1.25M93.23%-363K
Financing cash flow
Cash flow from continuing financing activities 63.06%-355K-81.50%-3.88M-13.24%-941K-17.86%-904K-299.26%-1.08M11.27%-961K-171.10%-2.14M-245.28%-831K63.13%-767K-90.33%541K
Net issuance payments of debt 64.00%-346K-75.86%-3.61M-13.24%-941K-8.80%-742K-279.30%-970K11.27%-961K-153.24%-2.06M-245.28%-831K58.67%-682K-91.01%541K
Net other financing activities ---9K-217.65%-270K--0---162K--------90.00%-85K--0--------
Cash from discontinued financing activities 000-5,750.00%-113K0-55K-9K
Financing cash flow 63.06%-355K-72.39%-3.88M-13.24%-941K-9.98%-904K-302.63%-1.08M15.11%-961K-174.80%-2.25M-248.13%-831K60.23%-822K-90.49%532K
Net cash flow
Beginning cash position -53.07%5.37M1,158.35%11.45M-55.74%4.91M115.41%8.12M224.86%6.86M1,158.35%11.45M-26.61%910K371.62%11.1M13.79%3.77M-31.03%2.11M
Current changes in cash 163.29%2.91M-157.78%-6.08M35.38%463K-143.33%-3.2M-22.11%1.25M-481.33%-4.6M5,089.10%10.53M124.41%342K2,735.36%7.38M463.73%1.6M
Effect of exchange rate changes -20.00%4K-64.29%5K-142.86%-3K78.72%-10K-77.19%13K266.67%5K111.76%14K116.28%7K55.24%-47K272.73%57K
End cash Position 20.77%8.29M-53.07%5.37M-53.07%5.37M-55.74%4.91M115.41%8.12M224.86%6.86M1,158.35%11.45M1,158.35%11.45M371.62%11.1M13.79%3.77M
Free cash flow 184.09%3.06M-132.88%-3.54M-93.63%62K-136.82%-2.29M111.56%2.33M-247.42%-3.63M423.47%10.77M148.43%973K213.44%6.23M119.73%1.1M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

Analysis

Analyst Rating

No Data

Price Target

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