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OIS Oil States International

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  • 5.110
  • 0.0000.00%
Close Dec 13 16:00 ET
  • 5.110
  • 0.0000.00%
Post 20:01 ET
322.50MMarket Cap-15.48P/E (TTM)

Oil States International Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
111.24%28.8M
-77.07%10.24M
-91.96%-11.36M
72.16%56.58M
-69.73%4.2M
-53.03%13.64M
6,280.00%44.66M
44.87%-5.92M
356.80%32.86M
203.67%13.87M
Net income from continuing operations
-440.67%-14.35M
133.15%1.3M
-719.74%-13.37M
235.13%12.89M
106.69%5.96M
96.55%4.21M
110.85%558K
122.90%2.16M
85.09%-9.54M
114.52%2.89M
Operating gains losses
42.29%-1.6M
-78.06%-625K
-492.86%-1.25M
-34.40%-4.08M
50.47%-740K
-685.84%-2.77M
45.33%-351K
61.33%-210K
-158.26%-3.03M
-123.32%-1.49M
Depreciation and amortization
-11.55%13.64M
-5.40%14.7M
-6.95%14.2M
-9.74%60.78M
-8.17%14.57M
-6.07%15.42M
-9.87%15.54M
-14.37%15.26M
-16.60%67.33M
-14.96%15.87M
Deferred tax
53.06%-499K
-295.84%-1.18M
-383.33%-1.12M
-88.81%226K
-59.72%292K
17.53%-1.06M
-78.21%601K
327.59%396K
123.38%2.02M
-57.38%725K
Other non cash items
651.43%789K
56.60%249K
-54.29%213K
-79.83%797K
-95.40%67K
-81.61%105K
-82.43%159K
-54.27%466K
119.19%3.95M
503.60%1.46M
Change In working capital
472.42%15.11M
-124.67%-6.51M
14.84%-21.78M
39.53%-21M
-144.69%-17.75M
-141.06%-4.06M
264.03%26.38M
-20.26%-25.57M
-102.24%-34.72M
69.43%-7.25M
-Change in receivables
347.35%23.51M
-109.84%-3.91M
311.95%1.58M
148.34%17.13M
-61.16%-12.41M
-30.62%-9.5M
449.53%39.79M
91.80%-745K
-45.22%-35.44M
69.83%-7.7M
-Change in inventory
22.96%-1.97M
10.34%-7.53M
30.41%-8.91M
-13.99%-19.79M
200.99%3.96M
36.33%-2.56M
-433.35%-8.4M
2.20%-12.8M
-68.03%-17.36M
203.93%1.32M
-Change in payables and accrued expense
-195.73%-8.05M
229.70%9.85M
-5.60%-19.36M
-164.58%-11.74M
-38.00%5.77M
-43.44%8.41M
-427.80%-7.6M
-302.39%-18.33M
2.57%18.18M
131.65%9.31M
-Change in other working capital
500.25%1.62M
-290.10%-4.92M
-22.16%4.91M
-6,492.00%-6.59M
-48.08%-15.08M
-106.42%-405K
253.17%2.59M
15.31%6.3M
35.90%-100K
-282.78%-10.18M
Cash from discontinued investing activities
Operating cash flow
111.24%28.8M
-77.07%10.24M
-91.96%-11.36M
72.16%56.58M
-69.73%4.2M
-53.03%13.64M
6,280.00%44.66M
44.87%-5.92M
356.80%32.86M
203.67%13.87M
Investing cash flow
Cash flow from continuing investing activities
-113.61%-5.13M
144.86%4.63M
-22.45%-7.83M
-12.59%-25.59M
-91.42%-6.47M
62.08%-2.4M
5.79%-10.32M
-210.94%-6.39M
-242.97%-22.73M
-160.40%-3.38M
Capital expenditure reported
-23.14%-7.43M
46.25%-5.79M
-53.65%-10.09M
-51.25%-30.65M
-4.00%-7.28M
11.42%-6.03M
-199.58%-10.77M
-129.81%-6.57M
-15.69%-20.27M
-7.08%-7M
Net PPE purchase and sale
-27.80%2.66M
2,138.97%10.46M
929.15%2.3M
-10.62%5.25M
-76.02%879K
559.03%3.68M
-40.36%467K
-74.34%223K
-49.02%5.88M
-31.69%3.67M
Net business purchase and sale
----
----
----
--0
----
----
----
----
---8.13M
--0
Net other investing changes
-572.22%-363K
-105.56%-37K
35.42%-31K
11.85%-186K
-53.49%-66K
34.94%-54K
0.00%-18K
28.36%-48K
66.82%-211K
65.60%-43K
Cash from discontinued investing activities
Investing cash flow
-113.61%-5.13M
144.86%4.63M
-22.45%-7.83M
-12.59%-25.59M
-91.42%-6.47M
62.08%-2.4M
5.79%-10.32M
-210.94%-6.39M
-242.97%-22.73M
-160.40%-3.38M
Financing cash flow
Cash flow from continuing financing activities
-2,362.50%-2.96M
-65.10%-13.55M
74.36%-3.69M
-31.67%-26.72M
-67.57%-4.01M
98.82%-120K
-26.57%-8.21M
-1,075.63%-14.38M
-3.68%-20.29M
-1,222.10%-2.39M
Net issuance payments of debt
-42.98%-163K
-115.04%-11.01M
98.76%-154K
7.35%-17.77M
95.06%-117K
98.88%-114K
20.82%-5.12M
-7,427.88%-12.42M
-88.39%-19.18M
-1,253.71%-2.37M
Net common stock issuance
---2.78M
20.91%-2.38M
-33.16%-2.58M
-779.74%-8.82M
---3.87M
--0
-25,008.33%-3.01M
-95.56%-1.94M
37.18%-1M
--0
Net other financing activities
-33.33%-8K
-112.16%-157K
-4,442.86%-954K
-21.90%-128K
-12.50%-27K
14.29%-6K
-1,133.33%-74K
69.12%-21K
98.65%-105K
-300.00%-24K
Cash from discontinued financing activities
Financing cash flow
-2,362.50%-2.96M
-65.10%-13.55M
74.36%-3.69M
-31.67%-26.72M
-67.57%-4.01M
98.82%-120K
-26.57%-8.21M
-1,075.63%-14.38M
-3.68%-20.29M
-1,222.10%-2.39M
Net cash flow
Beginning cash position
-40.62%25.19M
52.20%24.06M
12.12%47.11M
-20.50%42.02M
59.82%52.9M
90.69%42.42M
-59.63%15.81M
-20.50%42.02M
-26.61%52.85M
-51.00%33.1M
Current changes in cash
86.41%20.72M
-94.94%1.32M
14.29%-22.87M
142.10%4.27M
-177.59%-6.28M
-11.13%11.11M
256.11%26.13M
-90.45%-26.69M
46.57%-10.15M
154.49%8.1M
Effect of exchange rate changes
112.72%80K
-140.12%-193K
-137.24%-178K
220.09%819K
-40.29%489K
61.83%-629K
378.03%481K
49.38%478K
-328.93%-682K
453.38%819K
End cash Position
-13.08%45.98M
-40.62%25.19M
52.20%24.06M
12.12%47.11M
12.12%47.11M
59.82%52.9M
90.69%42.42M
-59.63%15.81M
-20.50%42.02M
-20.50%42.02M
Free cash flow
181.13%21.37M
-86.86%4.45M
-71.81%-21.45M
105.80%25.92M
-144.93%-3.09M
-65.78%7.6M
1,270.64%33.89M
8.14%-12.49M
222.02%12.6M
134.47%6.87M
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
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024 (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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 111.24%28.8M -77.07%10.24M -91.96%-11.36M 72.16%56.58M -69.73%4.2M -53.03%13.64M 6,280.00%44.66M 44.87%-5.92M 356.80%32.86M 203.67%13.87M
Net income from continuing operations -440.67%-14.35M 133.15%1.3M -719.74%-13.37M 235.13%12.89M 106.69%5.96M 96.55%4.21M 110.85%558K 122.90%2.16M 85.09%-9.54M 114.52%2.89M
Operating gains losses 42.29%-1.6M -78.06%-625K -492.86%-1.25M -34.40%-4.08M 50.47%-740K -685.84%-2.77M 45.33%-351K 61.33%-210K -158.26%-3.03M -123.32%-1.49M
Depreciation and amortization -11.55%13.64M -5.40%14.7M -6.95%14.2M -9.74%60.78M -8.17%14.57M -6.07%15.42M -9.87%15.54M -14.37%15.26M -16.60%67.33M -14.96%15.87M
Deferred tax 53.06%-499K -295.84%-1.18M -383.33%-1.12M -88.81%226K -59.72%292K 17.53%-1.06M -78.21%601K 327.59%396K 123.38%2.02M -57.38%725K
Other non cash items 651.43%789K 56.60%249K -54.29%213K -79.83%797K -95.40%67K -81.61%105K -82.43%159K -54.27%466K 119.19%3.95M 503.60%1.46M
Change In working capital 472.42%15.11M -124.67%-6.51M 14.84%-21.78M 39.53%-21M -144.69%-17.75M -141.06%-4.06M 264.03%26.38M -20.26%-25.57M -102.24%-34.72M 69.43%-7.25M
-Change in receivables 347.35%23.51M -109.84%-3.91M 311.95%1.58M 148.34%17.13M -61.16%-12.41M -30.62%-9.5M 449.53%39.79M 91.80%-745K -45.22%-35.44M 69.83%-7.7M
-Change in inventory 22.96%-1.97M 10.34%-7.53M 30.41%-8.91M -13.99%-19.79M 200.99%3.96M 36.33%-2.56M -433.35%-8.4M 2.20%-12.8M -68.03%-17.36M 203.93%1.32M
-Change in payables and accrued expense -195.73%-8.05M 229.70%9.85M -5.60%-19.36M -164.58%-11.74M -38.00%5.77M -43.44%8.41M -427.80%-7.6M -302.39%-18.33M 2.57%18.18M 131.65%9.31M
-Change in other working capital 500.25%1.62M -290.10%-4.92M -22.16%4.91M -6,492.00%-6.59M -48.08%-15.08M -106.42%-405K 253.17%2.59M 15.31%6.3M 35.90%-100K -282.78%-10.18M
Cash from discontinued investing activities
Operating cash flow 111.24%28.8M -77.07%10.24M -91.96%-11.36M 72.16%56.58M -69.73%4.2M -53.03%13.64M 6,280.00%44.66M 44.87%-5.92M 356.80%32.86M 203.67%13.87M
Investing cash flow
Cash flow from continuing investing activities -113.61%-5.13M 144.86%4.63M -22.45%-7.83M -12.59%-25.59M -91.42%-6.47M 62.08%-2.4M 5.79%-10.32M -210.94%-6.39M -242.97%-22.73M -160.40%-3.38M
Capital expenditure reported -23.14%-7.43M 46.25%-5.79M -53.65%-10.09M -51.25%-30.65M -4.00%-7.28M 11.42%-6.03M -199.58%-10.77M -129.81%-6.57M -15.69%-20.27M -7.08%-7M
Net PPE purchase and sale -27.80%2.66M 2,138.97%10.46M 929.15%2.3M -10.62%5.25M -76.02%879K 559.03%3.68M -40.36%467K -74.34%223K -49.02%5.88M -31.69%3.67M
Net business purchase and sale ---- ---- ---- --0 ---- ---- ---- ---- ---8.13M --0
Net other investing changes -572.22%-363K -105.56%-37K 35.42%-31K 11.85%-186K -53.49%-66K 34.94%-54K 0.00%-18K 28.36%-48K 66.82%-211K 65.60%-43K
Cash from discontinued investing activities
Investing cash flow -113.61%-5.13M 144.86%4.63M -22.45%-7.83M -12.59%-25.59M -91.42%-6.47M 62.08%-2.4M 5.79%-10.32M -210.94%-6.39M -242.97%-22.73M -160.40%-3.38M
Financing cash flow
Cash flow from continuing financing activities -2,362.50%-2.96M -65.10%-13.55M 74.36%-3.69M -31.67%-26.72M -67.57%-4.01M 98.82%-120K -26.57%-8.21M -1,075.63%-14.38M -3.68%-20.29M -1,222.10%-2.39M
Net issuance payments of debt -42.98%-163K -115.04%-11.01M 98.76%-154K 7.35%-17.77M 95.06%-117K 98.88%-114K 20.82%-5.12M -7,427.88%-12.42M -88.39%-19.18M -1,253.71%-2.37M
Net common stock issuance ---2.78M 20.91%-2.38M -33.16%-2.58M -779.74%-8.82M ---3.87M --0 -25,008.33%-3.01M -95.56%-1.94M 37.18%-1M --0
Net other financing activities -33.33%-8K -112.16%-157K -4,442.86%-954K -21.90%-128K -12.50%-27K 14.29%-6K -1,133.33%-74K 69.12%-21K 98.65%-105K -300.00%-24K
Cash from discontinued financing activities
Financing cash flow -2,362.50%-2.96M -65.10%-13.55M 74.36%-3.69M -31.67%-26.72M -67.57%-4.01M 98.82%-120K -26.57%-8.21M -1,075.63%-14.38M -3.68%-20.29M -1,222.10%-2.39M
Net cash flow
Beginning cash position -40.62%25.19M 52.20%24.06M 12.12%47.11M -20.50%42.02M 59.82%52.9M 90.69%42.42M -59.63%15.81M -20.50%42.02M -26.61%52.85M -51.00%33.1M
Current changes in cash 86.41%20.72M -94.94%1.32M 14.29%-22.87M 142.10%4.27M -177.59%-6.28M -11.13%11.11M 256.11%26.13M -90.45%-26.69M 46.57%-10.15M 154.49%8.1M
Effect of exchange rate changes 112.72%80K -140.12%-193K -137.24%-178K 220.09%819K -40.29%489K 61.83%-629K 378.03%481K 49.38%478K -328.93%-682K 453.38%819K
End cash Position -13.08%45.98M -40.62%25.19M 52.20%24.06M 12.12%47.11M 12.12%47.11M 59.82%52.9M 90.69%42.42M -59.63%15.81M -20.50%42.02M -20.50%42.02M
Free cash flow 181.13%21.37M -86.86%4.45M -71.81%-21.45M 105.80%25.92M -144.93%-3.09M -65.78%7.6M 1,270.64%33.89M 8.14%-12.49M 222.02%12.6M 134.47%6.87M
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 -- -- -- -- Unqualified Opinion --
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