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BQE BQE Water Inc

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  • 60.050
  • 0.0000.00%
15min DelayMarket Closed Dec 23 16:00 ET
77.01MMarket Cap19.00P/E (TTM)

BQE Water Inc 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
395.10%2.83M
-49.39%-913.49K
185.33%330.41K
339.29%870.34K
616.08%1.3M
-23.38%571.54K
17.08%-611.5K
-220.42%-387.23K
-45.59%-363.72K
-15.68%-251.42K
Net income from continuing operations
74.78%3.72M
-8.92%559.33K
-43.27%-487.05K
128.37%2.65M
201.87%248.56K
271.21%2.13M
-4.28%614.12K
-278.63%-339.96K
-55.82%1.16M
-130.48%-244.01K
Operating gains losses
-297.66%-1.58M
-218.56%-1.15M
-152.01%-347.79K
72.05%-429.56K
254.36%466.88K
-8.10%-396.37K
63.39%-362.06K
55.93%-138K
44.53%-1.54M
127.61%131.75K
Depreciation and amortization
-4.94%105.9K
-7.37%103.07K
24.45%101.5K
63.24%430.4K
56.80%126.17K
60.06%111.4K
89.22%111.28K
48.82%81.56K
56.95%263.67K
42.29%80.46K
Asset impairment expenditure
--0
----
----
5,777.17%473.11K
2,563.04%214.38K
--0
----
----
108.51%8.05K
--8.05K
Remuneration paid in stock
82.96%198.74K
1,082.43%343.38K
43.60%273.18K
-30.50%466.1K
-33.89%138.2K
-36.90%108.63K
-89.12%29.04K
744.81%190.23K
121.51%670.62K
1,808.40%209.03K
Other non cashItems
-816.33%-40.49K
-1,648.87%-88.7K
26.47%-27.23K
-661.83%-204.43K
-529.04%-178.77K
180.86%5.65K
29.57%5.73K
-990.96%-37.04K
-212.59%-26.83K
-617.39%-28.42K
Change In working capital
130.12%418.09K
47.44%-666.64K
670.22%821.23K
-178.56%-2.52M
169.10%282.11K
-556.66%-1.39M
-76.08%-1.27M
-81.13%-144.02K
-77.79%-904.11K
33.46%-408.28K
-Change in receivables
45.13%-1M
27.58%-629.29K
695.78%1.18M
-30.34%-1.57M
6,819.63%980.1K
-306.44%-1.83M
-98.80%-868.95K
145.15%148.91K
-391.96%-1.2M
162.68%14.16K
-Change in payables and accrued expense
-30.45%508.22K
85.78%-16.16K
-207.10%-254.73K
-100.87%-2.05K
-487.84%-536.29K
125.94%730.77K
-24.73%-113.58K
-187.50%-82.95K
640.21%235.94K
56.25%-91.23K
-Change in other current assets
153.69%109.79K
23.85%84.62K
285.83%51.85K
-9.24%-105.54K
124.48%58.52K
-480.94%-204.49K
333.11%68.32K
-138.24%-27.9K
---96.61K
---239.02K
-Change in other current liabilities
-181.46%-45.96K
-129.99%-159.73K
3.05%-160.28K
-343.09%-503.64K
-822.79%-252.53K
-108.36%-16.33K
13.50%-69.45K
-9,114.23%-165.32K
---113.66K
---27.37K
-Change in other working capital
1,293.81%848.48K
118.94%53.92K
96.42%-600
-224.84%-340.2K
149.84%32.31K
-118.50%-71.07K
-123.03%-284.67K
-120.77%-16.76K
270.08%272.51K
83.29%-64.82K
Tax refund paid
--0
---10.56K
---3.43K
----
----
--0
--0
--0
----
----
Cash from discontinued investing activities
Operating cash flow
395.10%2.83M
-49.39%-913.49K
185.33%330.41K
339.29%870.34K
616.08%1.3M
-23.38%571.54K
17.08%-611.5K
-220.42%-387.23K
-45.59%-363.72K
-15.68%-251.42K
Investing cash flow
Cash flow from continuing investing activities
-67.64%455.08K
158.20%83.97K
-204.85%-36.63K
-52.53%1.31M
-38.41%17.15K
-49.64%1.41M
-906.39%-144.27K
192.61%34.94K
180.24%2.77M
175.41%27.84K
Net PPE purchase and sale
-17,013.38%-372.22K
19.57%-18.94K
-677.21%-49.25K
-116.34%-176.1K
-1,622.43%-144.05K
87.95%-2.18K
-50.57%-23.54K
83.90%-6.34K
-81.33%-81.4K
78.00%-8.36K
Net intangibles purchas and sale
--0
----
----
--0
--142K
--0
----
----
33.33%-100K
--0
Net business purchase and sale
----
----
----
--0
----
----
----
----
---49
----
Dividends received (cash flow from investment activities)
----
----
----
-52.12%1.39M
--0
----
----
----
146.05%2.9M
--49
Interest received (cash flow from investment activities)
96.39%42.67K
383.62%102.9K
-69.42%12.62K
93.96%103.47K
-46.98%19.19K
53.43%21.73K
1,535.43%21.28K
2,353.75%41.27K
857.20%53.35K
3,202.92%36.2K
Cash from discontinued investing activities
Investing cash flow
-67.64%455.08K
158.20%83.97K
-204.85%-36.63K
-52.53%1.31M
-38.41%17.15K
-49.64%1.41M
-906.39%-144.27K
192.61%34.94K
180.24%2.77M
175.41%27.84K
Financing cash flow
Cash flow from continuing financing activities
50.16%-87.53K
249.52%353.6K
110.75%14.89K
-128.44%-445.24K
361.66%105.33K
-174.64%-175.63K
-223.69%-236.49K
-684.95%-138.45K
-1,282.79%-194.9K
-53.92%-40.26K
Net issuance payments of debt
11.86%-88.05K
145.72%34.27K
-11.60%-60.25K
73.11%-66.92K
304.94%161.93K
-75.14%-99.91K
-3.00%-74.95K
-34.84%-53.99K
-44.78%-248.86K
-42.20%-79.01K
Net common stock issuance
--0
--0
--0
---377.77K
---100.37K
---89.98K
---110.33K
---77.1K
--0
--0
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Proceeds from stock option exercised by employees
--48.75K
--323.26K
--78.75K
-67.37%26.25K
-43.91%26.25K
--0
--0
--0
-57.02%80.45K
30.00%46.8K
Interest paid (cash flow from financing activities)
-438.27%-48.23K
92.31%-3.94K
50.92%-3.61K
-1.14%-26.8K
317.79%17.52K
306.47%14.26K
-713.48%-51.22K
-40.19%-7.36K
9.90%-26.49K
-22.10%-8.05K
Cash from discontinued financing activities
Financing cash flow
50.16%-87.53K
249.52%353.6K
110.75%14.89K
-128.44%-445.24K
361.66%105.33K
-174.64%-175.63K
-223.69%-236.49K
-684.95%-138.45K
-1,282.79%-194.9K
-53.92%-40.26K
Net cash flow
Beginning cash position
64.65%7.79M
42.50%8.23M
27.16%7.93M
58.08%6.23M
1.35%6.53M
63.24%4.73M
53.82%5.78M
58.08%6.23M
21.73%3.94M
51.12%6.44M
Current changes in cash
77.40%3.2M
52.04%-475.93K
162.90%308.67K
-21.29%1.74M
638.21%1.42M
-48.13%1.8M
-20.30%-992.26K
-178.50%-490.74K
205.23%2.21M
5.91%-263.84K
Effect of exchange rate changes
93.94%-498
164.14%34.24K
-111.40%-3.84K
-156.84%-45.96K
-130.46%-18.08K
-112.54%-8.22K
-65.26%-53.38K
388.48%33.71K
505.49%80.87K
262.56%59.34K
End cash Position
68.37%10.99M
64.65%7.79M
42.50%8.23M
27.16%7.93M
27.16%7.93M
1.35%6.53M
63.24%4.73M
53.82%5.78M
58.08%6.23M
58.08%6.23M
Free cash from
331.61%2.46M
-20.00%-932.43K
171.44%281.16K
226.57%689.95K
597.03%1.29M
-9.33%569.37K
-3.18%-777.04K
-145.66%-393.56K
-22.58%-545.12K
-1.74%-259.78K
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 395.10%2.83M -49.39%-913.49K 185.33%330.41K 339.29%870.34K 616.08%1.3M -23.38%571.54K 17.08%-611.5K -220.42%-387.23K -45.59%-363.72K -15.68%-251.42K
Net income from continuing operations 74.78%3.72M -8.92%559.33K -43.27%-487.05K 128.37%2.65M 201.87%248.56K 271.21%2.13M -4.28%614.12K -278.63%-339.96K -55.82%1.16M -130.48%-244.01K
Operating gains losses -297.66%-1.58M -218.56%-1.15M -152.01%-347.79K 72.05%-429.56K 254.36%466.88K -8.10%-396.37K 63.39%-362.06K 55.93%-138K 44.53%-1.54M 127.61%131.75K
Depreciation and amortization -4.94%105.9K -7.37%103.07K 24.45%101.5K 63.24%430.4K 56.80%126.17K 60.06%111.4K 89.22%111.28K 48.82%81.56K 56.95%263.67K 42.29%80.46K
Asset impairment expenditure --0 ---- ---- 5,777.17%473.11K 2,563.04%214.38K --0 ---- ---- 108.51%8.05K --8.05K
Remuneration paid in stock 82.96%198.74K 1,082.43%343.38K 43.60%273.18K -30.50%466.1K -33.89%138.2K -36.90%108.63K -89.12%29.04K 744.81%190.23K 121.51%670.62K 1,808.40%209.03K
Other non cashItems -816.33%-40.49K -1,648.87%-88.7K 26.47%-27.23K -661.83%-204.43K -529.04%-178.77K 180.86%5.65K 29.57%5.73K -990.96%-37.04K -212.59%-26.83K -617.39%-28.42K
Change In working capital 130.12%418.09K 47.44%-666.64K 670.22%821.23K -178.56%-2.52M 169.10%282.11K -556.66%-1.39M -76.08%-1.27M -81.13%-144.02K -77.79%-904.11K 33.46%-408.28K
-Change in receivables 45.13%-1M 27.58%-629.29K 695.78%1.18M -30.34%-1.57M 6,819.63%980.1K -306.44%-1.83M -98.80%-868.95K 145.15%148.91K -391.96%-1.2M 162.68%14.16K
-Change in payables and accrued expense -30.45%508.22K 85.78%-16.16K -207.10%-254.73K -100.87%-2.05K -487.84%-536.29K 125.94%730.77K -24.73%-113.58K -187.50%-82.95K 640.21%235.94K 56.25%-91.23K
-Change in other current assets 153.69%109.79K 23.85%84.62K 285.83%51.85K -9.24%-105.54K 124.48%58.52K -480.94%-204.49K 333.11%68.32K -138.24%-27.9K ---96.61K ---239.02K
-Change in other current liabilities -181.46%-45.96K -129.99%-159.73K 3.05%-160.28K -343.09%-503.64K -822.79%-252.53K -108.36%-16.33K 13.50%-69.45K -9,114.23%-165.32K ---113.66K ---27.37K
-Change in other working capital 1,293.81%848.48K 118.94%53.92K 96.42%-600 -224.84%-340.2K 149.84%32.31K -118.50%-71.07K -123.03%-284.67K -120.77%-16.76K 270.08%272.51K 83.29%-64.82K
Tax refund paid --0 ---10.56K ---3.43K ---- ---- --0 --0 --0 ---- ----
Cash from discontinued investing activities
Operating cash flow 395.10%2.83M -49.39%-913.49K 185.33%330.41K 339.29%870.34K 616.08%1.3M -23.38%571.54K 17.08%-611.5K -220.42%-387.23K -45.59%-363.72K -15.68%-251.42K
Investing cash flow
Cash flow from continuing investing activities -67.64%455.08K 158.20%83.97K -204.85%-36.63K -52.53%1.31M -38.41%17.15K -49.64%1.41M -906.39%-144.27K 192.61%34.94K 180.24%2.77M 175.41%27.84K
Net PPE purchase and sale -17,013.38%-372.22K 19.57%-18.94K -677.21%-49.25K -116.34%-176.1K -1,622.43%-144.05K 87.95%-2.18K -50.57%-23.54K 83.90%-6.34K -81.33%-81.4K 78.00%-8.36K
Net intangibles purchas and sale --0 ---- ---- --0 --142K --0 ---- ---- 33.33%-100K --0
Net business purchase and sale ---- ---- ---- --0 ---- ---- ---- ---- ---49 ----
Dividends received (cash flow from investment activities) ---- ---- ---- -52.12%1.39M --0 ---- ---- ---- 146.05%2.9M --49
Interest received (cash flow from investment activities) 96.39%42.67K 383.62%102.9K -69.42%12.62K 93.96%103.47K -46.98%19.19K 53.43%21.73K 1,535.43%21.28K 2,353.75%41.27K 857.20%53.35K 3,202.92%36.2K
Cash from discontinued investing activities
Investing cash flow -67.64%455.08K 158.20%83.97K -204.85%-36.63K -52.53%1.31M -38.41%17.15K -49.64%1.41M -906.39%-144.27K 192.61%34.94K 180.24%2.77M 175.41%27.84K
Financing cash flow
Cash flow from continuing financing activities 50.16%-87.53K 249.52%353.6K 110.75%14.89K -128.44%-445.24K 361.66%105.33K -174.64%-175.63K -223.69%-236.49K -684.95%-138.45K -1,282.79%-194.9K -53.92%-40.26K
Net issuance payments of debt 11.86%-88.05K 145.72%34.27K -11.60%-60.25K 73.11%-66.92K 304.94%161.93K -75.14%-99.91K -3.00%-74.95K -34.84%-53.99K -44.78%-248.86K -42.20%-79.01K
Net common stock issuance --0 --0 --0 ---377.77K ---100.37K ---89.98K ---110.33K ---77.1K --0 --0
Cash dividends paid --0 --0 --0 --0 --0 --0 --0 --0 --0 --0
Proceeds from stock option exercised by employees --48.75K --323.26K --78.75K -67.37%26.25K -43.91%26.25K --0 --0 --0 -57.02%80.45K 30.00%46.8K
Interest paid (cash flow from financing activities) -438.27%-48.23K 92.31%-3.94K 50.92%-3.61K -1.14%-26.8K 317.79%17.52K 306.47%14.26K -713.48%-51.22K -40.19%-7.36K 9.90%-26.49K -22.10%-8.05K
Cash from discontinued financing activities
Financing cash flow 50.16%-87.53K 249.52%353.6K 110.75%14.89K -128.44%-445.24K 361.66%105.33K -174.64%-175.63K -223.69%-236.49K -684.95%-138.45K -1,282.79%-194.9K -53.92%-40.26K
Net cash flow
Beginning cash position 64.65%7.79M 42.50%8.23M 27.16%7.93M 58.08%6.23M 1.35%6.53M 63.24%4.73M 53.82%5.78M 58.08%6.23M 21.73%3.94M 51.12%6.44M
Current changes in cash 77.40%3.2M 52.04%-475.93K 162.90%308.67K -21.29%1.74M 638.21%1.42M -48.13%1.8M -20.30%-992.26K -178.50%-490.74K 205.23%2.21M 5.91%-263.84K
Effect of exchange rate changes 93.94%-498 164.14%34.24K -111.40%-3.84K -156.84%-45.96K -130.46%-18.08K -112.54%-8.22K -65.26%-53.38K 388.48%33.71K 505.49%80.87K 262.56%59.34K
End cash Position 68.37%10.99M 64.65%7.79M 42.50%8.23M 27.16%7.93M 27.16%7.93M 1.35%6.53M 63.24%4.73M 53.82%5.78M 58.08%6.23M 58.08%6.23M
Free cash from 331.61%2.46M -20.00%-932.43K 171.44%281.16K 226.57%689.95K 597.03%1.29M -9.33%569.37K -3.18%-777.04K -145.66%-393.56K -22.58%-545.12K -1.74%-259.78K
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 --

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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