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EFX Enerflex Ltd

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  • 10.080
  • -0.020-0.20%
15min DelayMarket Closed Nov 11 16:00 ET
1.25BMarket Cap-8788P/E (TTM)

Enerflex Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-4.14%126M
-43.31%110M
-43.35%105.92M
-43.35%105.92M
-11.89%128.07M
15.15%131.44M
81.84%194.03M
38.00%186.98M
38.00%186.98M
81.29%145.36M
-Cash and cash equivalents
-4.14%126M
-43.31%110M
-49.17%95.05M
-49.17%95.05M
-17.29%120.23M
15.15%131.44M
81.84%194.03M
38.00%186.98M
38.00%186.98M
81.29%145.36M
-Short term investments
--0
--0
--10.87M
--10.87M
--7.84M
----
----
--0
--0
----
Receivables
13.45%648M
23.98%651M
17.36%616.15M
17.36%616.15M
120.20%577.03M
94.54%571.15M
82.10%525.1M
113.21%524.99M
113.21%524.99M
12.67%262.05M
-Accounts receivable
12.84%390M
21.91%407M
17.49%389.73M
17.49%389.73M
107.81%359.85M
79.23%345.62M
96.06%333.84M
107.85%331.71M
107.85%331.71M
30.04%173.16M
-Taxes receivable
-21.26%5M
60.86%7M
-59.75%3.08M
-59.75%3.08M
54.46%4.63M
234.24%6.35M
53.25%4.35M
161.72%7.66M
161.72%7.66M
-83.10%3M
-Other receivables
15.43%253M
26.81%237M
20.32%223.34M
20.32%223.34M
147.48%212.56M
121.71%219.18M
62.18%186.9M
121.74%185.62M
121.74%185.62M
5.14%85.89M
Inventory
-2.04%302M
4.90%300M
-3.14%293.53M
-3.14%293.53M
36.40%306.83M
66.89%308.28M
56.64%285.98M
85.00%303.04M
85.00%303.04M
33.48%224.95M
Prepaid assets
20.86%51M
42.66%53M
9.73%57.73M
9.73%57.73M
64.04%45.48M
220.39%42.2M
--37.15M
384.19%52.61M
384.19%52.61M
--27.72M
Hedging assets-current
--0
--0
-32.55%447.76K
-32.55%447.76K
-94.92%90.49K
-41.85%138.09K
-24.51%156K
187.91%663.87K
187.91%663.87K
1,912.30%1.78M
Holding assets for sale
--0
--0
--6.95M
--6.95M
----
----
----
--0
--0
----
Total current assets
7.01%1.13B
6.87%1.11B
1.16%1.08B
1.16%1.08B
59.78%1.06B
73.83%1.05B
77.03%1.04B
91.92%1.07B
91.92%1.07B
34.94%661.87M
Non current assets
Net PPE
418.98%893M
447.96%922M
-5.08%1.03B
-5.08%1.03B
-69.59%176.5M
-70.32%172.07M
-71.41%168.26M
82.32%1.08B
82.32%1.08B
-5.20%580.39M
-Gross PPE
299.81%1.19B
311.00%1.2B
0.59%1.42B
0.59%1.42B
-46.69%309.43M
-48.49%298.64M
-50.52%291.24M
60.58%1.41B
60.58%1.41B
-5.20%580.39M
-Accumulated depreciation
-137.81%-301M
-123.61%-275M
-19.10%-395.02M
-19.10%-395.02M
---132.93M
---126.57M
---122.98M
-15.60%-331.67M
-15.60%-331.67M
----
Investments and advances
----
----
9.82%28.3M
9.82%28.3M
--27.33M
--27.1M
--26M
21.41%25.77M
21.41%25.77M
----
-Long term equity investment
----
----
9.82%28.3M
9.82%28.3M
--27.33M
--27.1M
--26M
21.41%25.77M
21.41%25.77M
----
Non current accounts receivable
0.83%387M
-11.24%357M
-18.48%295.41M
-18.48%295.41M
293.94%354.41M
318.36%383.8M
328.03%402.23M
311.47%362.36M
311.47%362.36M
102.36%89.97M
Non current prepaid assets
----
----
2.01%10.5M
2.01%10.5M
--13.48M
--12.59M
--10.4M
16,515.16%10.29M
16,515.16%10.29M
----
Goodwill and other intangible assets
-17.48%475M
-18.02%477M
-15.08%486.25M
-15.08%486.25M
37.30%551.83M
28.94%575.61M
27.08%581.86M
26.67%572.63M
26.67%572.63M
-11.49%401.9M
-Goodwill
-15.19%430M
-15.70%428M
-13.26%431.03M
-13.26%431.03M
23.61%490.84M
15.01%507.01M
12.54%507.7M
11.88%496.9M
11.88%496.9M
-10.74%397.1M
-Other intangible assets
-34.41%45M
-33.93%49M
-27.09%55.21M
-27.09%55.21M
1,170.60%60.99M
1,127.47%68.61M
1,002.35%74.16M
854.24%75.72M
854.24%75.72M
-47.73%4.8M
Non current deferred assets
170.27%21M
83.01%23M
28.81%20.74M
28.81%20.74M
178.99%20.81M
8.89%7.77M
69.42%12.57M
120.96%16.1M
120.96%16.1M
-81.49%7.46M
Other non current assets
-96.04%36M
-95.88%38M
----
----
1,649.36%888.59M
1,775.84%910.02M
1,858.54%922.81M
----
----
32.87%50.79M
Total non current assets
-13.26%1.81B
-14.46%1.82B
-9.71%1.87B
-9.71%1.87B
79.82%2.03B
78.00%2.09B
77.76%2.12B
78.04%2.07B
78.04%2.07B
-4.94%1.13B
Total assets
-6.47%2.94B
-7.44%2.93B
-6.01%2.95B
-6.01%2.95B
72.42%3.09B
76.58%3.14B
77.52%3.17B
82.54%3.14B
82.54%3.14B
6.70%1.79B
Liabilities
Current liabilities
Current debt and capital lease obligation
-62.36%21M
30.33%59M
69.79%59.07M
69.79%59.07M
303.22%57.96M
302.52%55.8M
325.38%45.27M
218.96%34.79M
218.96%34.79M
25.59%14.37M
-Current debt
----
33.26%40M
99.81%39.88M
99.81%39.88M
821.57%39.79M
987.52%39.96M
--30.02M
--19.96M
--19.96M
--4.32M
-Current capital lease obligation
32.62%21M
24.57%19M
29.39%19.19M
29.39%19.19M
80.70%18.17M
55.44%15.84M
43.33%15.25M
35.96%14.83M
35.96%14.83M
-12.13%10.06M
Payables
-3.55%500M
-0.00%498M
-6.82%472.84M
-6.82%472.84M
115.54%508.66M
132.41%518.41M
132.63%498.01M
163.25%507.44M
163.25%507.44M
53.14%235.99M
-accounts payable
-3.82%430M
-0.61%432M
-7.88%415.08M
-7.88%415.08M
91.62%442.61M
107.11%447.1M
111.72%434.64M
145.29%450.57M
145.29%450.57M
53.60%230.98M
-Total tax payable
-1.84%70M
4.15%66M
1.54%55.43M
1.54%55.43M
1,219.75%66.06M
893.37%71.31M
620.83%63.37M
646.94%54.59M
646.94%54.59M
34.66%5.01M
-Dividends payable
----
----
2.47%2.34M
2.47%2.34M
----
----
----
29.60%2.28M
29.60%2.28M
----
Current provisions
109.46%33M
124.17%38M
41.16%19.58M
41.16%19.58M
226.10%17.54M
217.44%15.75M
277.37%16.95M
166.52%13.87M
166.52%13.87M
12.95%5.38M
Pension and other retirement benefit plans
----
----
-43.95%5.57M
-43.95%5.57M
----
----
----
194.92%9.93M
194.92%9.93M
----
Current deferred liabilities
46.30%333M
40.79%362M
9.65%295.77M
9.65%295.77M
80.92%222.06M
150.81%227.61M
193.91%257.12M
306.46%269.74M
306.46%269.74M
347.10%122.74M
Other current liabilities
----
----
1,499.42%11.51M
1,499.42%11.51M
-97.73%27.22K
174.45%396.16K
-9.05%297.94K
409.91%719.86K
409.91%719.86K
6,865.51%1.2M
Current liabilities
8.44%887M
17.04%957M
3.33%864.34M
3.33%864.34M
112.35%806.25M
145.80%817.97M
157.91%817.65M
200.09%836.48M
200.09%836.48M
91.98%379.68M
Non current liabilities
Long term debt and capital lease obligation
-12.91%939M
-21.29%868M
-11.86%932.66M
-11.86%932.66M
258.45%1.06B
264.59%1.08B
262.06%1.1B
260.23%1.06B
260.23%1.06B
-3.85%294.33M
-Long term debt
-13.08%889M
-22.46%813M
-12.79%875.93M
-12.79%875.93M
274.49%992.68M
286.22%1.02B
285.99%1.05B
286.42%1B
286.42%1B
-2.08%265.07M
-Long term capital lease obligation
-9.84%50M
1.18%55M
5.61%56.73M
5.61%56.73M
113.10%62.35M
79.38%55.46M
64.89%54.36M
58.89%53.72M
58.89%53.72M
-17.35%29.26M
Non current deferred liabilities
-6.02%75M
-18.69%67M
-2.72%87.43M
-2.72%87.43M
10.53%76.94M
12.09%79.8M
13.30%82.4M
24.60%89.88M
24.60%89.88M
-0.20%69.61M
Other non current liabilities
-12.81%15M
-7.42%14M
-15.03%13.62M
-15.03%13.62M
34.35%14.16M
78.59%17.2M
4.88%15.12M
29.49%16.03M
29.49%16.03M
-20.54%10.54M
Total non current liabilities
-12.44%1.03B
-20.94%949M
-11.20%1.03B
-11.20%1.03B
206.06%1.15B
212.10%1.18B
206.41%1.2B
207.75%1.16B
207.75%1.16B
-3.76%374.48M
Total liabilities
-3.87%1.92B
-5.55%1.91B
-5.12%1.9B
-5.12%1.9B
158.88%1.95B
180.99%1.99B
184.72%2.02B
204.50%2B
204.50%2B
28.50%754.16M
Shareholders'equity
Share capital
13.36%505M
15.58%504M
2.61%445.95M
2.61%445.95M
58.43%435.06M
52.85%445.47M
44.97%436.07M
47.56%434.59M
47.56%434.59M
-6.73%274.6M
-common stock
13.36%505M
15.58%504M
2.61%445.95M
2.61%445.95M
58.43%435.06M
52.85%445.47M
44.97%436.07M
47.56%434.59M
47.56%434.59M
-6.73%274.6M
Additional paid-in capital
36.11%678M
38.89%678M
2.30%497.54M
2.30%497.54M
0.62%485.55M
-2.68%498.12M
-7.53%488.17M
-5.85%486.35M
-5.85%486.35M
-6.49%482.53M
Retained earnings
-68.56%40M
-70.57%38M
-74.52%30.82M
-74.52%30.82M
-30.61%126.04M
-42.17%127.21M
-40.82%129.11M
-43.90%120.98M
-43.90%120.98M
-25.24%181.64M
Gains losses not affecting retained earnings
-355.77%-200M
-304.88%-195M
-19.38%76.51M
-19.38%76.51M
-8.06%91.42M
66.93%78.2M
238.11%95.18M
171.00%94.91M
171.00%94.91M
151.50%99.44M
Total stockholders'equity
-10.97%1.02B
-10.76%1.03B
-7.57%1.05B
-7.57%1.05B
9.62%1.14B
7.37%1.15B
6.84%1.15B
7.07%1.14B
7.07%1.14B
-5.00%1.04B
Total equity
-10.97%1.02B
-10.76%1.03B
-7.57%1.05B
-7.57%1.05B
9.62%1.14B
7.37%1.15B
6.84%1.15B
7.07%1.14B
7.07%1.14B
-5.00%1.04B
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
--
--
--
--
--
--
--
(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 (Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -4.14%126M -43.31%110M -43.35%105.92M -43.35%105.92M -11.89%128.07M 15.15%131.44M 81.84%194.03M 38.00%186.98M 38.00%186.98M 81.29%145.36M
-Cash and cash equivalents -4.14%126M -43.31%110M -49.17%95.05M -49.17%95.05M -17.29%120.23M 15.15%131.44M 81.84%194.03M 38.00%186.98M 38.00%186.98M 81.29%145.36M
-Short term investments --0 --0 --10.87M --10.87M --7.84M ---- ---- --0 --0 ----
Receivables 13.45%648M 23.98%651M 17.36%616.15M 17.36%616.15M 120.20%577.03M 94.54%571.15M 82.10%525.1M 113.21%524.99M 113.21%524.99M 12.67%262.05M
-Accounts receivable 12.84%390M 21.91%407M 17.49%389.73M 17.49%389.73M 107.81%359.85M 79.23%345.62M 96.06%333.84M 107.85%331.71M 107.85%331.71M 30.04%173.16M
-Taxes receivable -21.26%5M 60.86%7M -59.75%3.08M -59.75%3.08M 54.46%4.63M 234.24%6.35M 53.25%4.35M 161.72%7.66M 161.72%7.66M -83.10%3M
-Other receivables 15.43%253M 26.81%237M 20.32%223.34M 20.32%223.34M 147.48%212.56M 121.71%219.18M 62.18%186.9M 121.74%185.62M 121.74%185.62M 5.14%85.89M
Inventory -2.04%302M 4.90%300M -3.14%293.53M -3.14%293.53M 36.40%306.83M 66.89%308.28M 56.64%285.98M 85.00%303.04M 85.00%303.04M 33.48%224.95M
Prepaid assets 20.86%51M 42.66%53M 9.73%57.73M 9.73%57.73M 64.04%45.48M 220.39%42.2M --37.15M 384.19%52.61M 384.19%52.61M --27.72M
Hedging assets-current --0 --0 -32.55%447.76K -32.55%447.76K -94.92%90.49K -41.85%138.09K -24.51%156K 187.91%663.87K 187.91%663.87K 1,912.30%1.78M
Holding assets for sale --0 --0 --6.95M --6.95M ---- ---- ---- --0 --0 ----
Total current assets 7.01%1.13B 6.87%1.11B 1.16%1.08B 1.16%1.08B 59.78%1.06B 73.83%1.05B 77.03%1.04B 91.92%1.07B 91.92%1.07B 34.94%661.87M
Non current assets
Net PPE 418.98%893M 447.96%922M -5.08%1.03B -5.08%1.03B -69.59%176.5M -70.32%172.07M -71.41%168.26M 82.32%1.08B 82.32%1.08B -5.20%580.39M
-Gross PPE 299.81%1.19B 311.00%1.2B 0.59%1.42B 0.59%1.42B -46.69%309.43M -48.49%298.64M -50.52%291.24M 60.58%1.41B 60.58%1.41B -5.20%580.39M
-Accumulated depreciation -137.81%-301M -123.61%-275M -19.10%-395.02M -19.10%-395.02M ---132.93M ---126.57M ---122.98M -15.60%-331.67M -15.60%-331.67M ----
Investments and advances ---- ---- 9.82%28.3M 9.82%28.3M --27.33M --27.1M --26M 21.41%25.77M 21.41%25.77M ----
-Long term equity investment ---- ---- 9.82%28.3M 9.82%28.3M --27.33M --27.1M --26M 21.41%25.77M 21.41%25.77M ----
Non current accounts receivable 0.83%387M -11.24%357M -18.48%295.41M -18.48%295.41M 293.94%354.41M 318.36%383.8M 328.03%402.23M 311.47%362.36M 311.47%362.36M 102.36%89.97M
Non current prepaid assets ---- ---- 2.01%10.5M 2.01%10.5M --13.48M --12.59M --10.4M 16,515.16%10.29M 16,515.16%10.29M ----
Goodwill and other intangible assets -17.48%475M -18.02%477M -15.08%486.25M -15.08%486.25M 37.30%551.83M 28.94%575.61M 27.08%581.86M 26.67%572.63M 26.67%572.63M -11.49%401.9M
-Goodwill -15.19%430M -15.70%428M -13.26%431.03M -13.26%431.03M 23.61%490.84M 15.01%507.01M 12.54%507.7M 11.88%496.9M 11.88%496.9M -10.74%397.1M
-Other intangible assets -34.41%45M -33.93%49M -27.09%55.21M -27.09%55.21M 1,170.60%60.99M 1,127.47%68.61M 1,002.35%74.16M 854.24%75.72M 854.24%75.72M -47.73%4.8M
Non current deferred assets 170.27%21M 83.01%23M 28.81%20.74M 28.81%20.74M 178.99%20.81M 8.89%7.77M 69.42%12.57M 120.96%16.1M 120.96%16.1M -81.49%7.46M
Other non current assets -96.04%36M -95.88%38M ---- ---- 1,649.36%888.59M 1,775.84%910.02M 1,858.54%922.81M ---- ---- 32.87%50.79M
Total non current assets -13.26%1.81B -14.46%1.82B -9.71%1.87B -9.71%1.87B 79.82%2.03B 78.00%2.09B 77.76%2.12B 78.04%2.07B 78.04%2.07B -4.94%1.13B
Total assets -6.47%2.94B -7.44%2.93B -6.01%2.95B -6.01%2.95B 72.42%3.09B 76.58%3.14B 77.52%3.17B 82.54%3.14B 82.54%3.14B 6.70%1.79B
Liabilities
Current liabilities
Current debt and capital lease obligation -62.36%21M 30.33%59M 69.79%59.07M 69.79%59.07M 303.22%57.96M 302.52%55.8M 325.38%45.27M 218.96%34.79M 218.96%34.79M 25.59%14.37M
-Current debt ---- 33.26%40M 99.81%39.88M 99.81%39.88M 821.57%39.79M 987.52%39.96M --30.02M --19.96M --19.96M --4.32M
-Current capital lease obligation 32.62%21M 24.57%19M 29.39%19.19M 29.39%19.19M 80.70%18.17M 55.44%15.84M 43.33%15.25M 35.96%14.83M 35.96%14.83M -12.13%10.06M
Payables -3.55%500M -0.00%498M -6.82%472.84M -6.82%472.84M 115.54%508.66M 132.41%518.41M 132.63%498.01M 163.25%507.44M 163.25%507.44M 53.14%235.99M
-accounts payable -3.82%430M -0.61%432M -7.88%415.08M -7.88%415.08M 91.62%442.61M 107.11%447.1M 111.72%434.64M 145.29%450.57M 145.29%450.57M 53.60%230.98M
-Total tax payable -1.84%70M 4.15%66M 1.54%55.43M 1.54%55.43M 1,219.75%66.06M 893.37%71.31M 620.83%63.37M 646.94%54.59M 646.94%54.59M 34.66%5.01M
-Dividends payable ---- ---- 2.47%2.34M 2.47%2.34M ---- ---- ---- 29.60%2.28M 29.60%2.28M ----
Current provisions 109.46%33M 124.17%38M 41.16%19.58M 41.16%19.58M 226.10%17.54M 217.44%15.75M 277.37%16.95M 166.52%13.87M 166.52%13.87M 12.95%5.38M
Pension and other retirement benefit plans ---- ---- -43.95%5.57M -43.95%5.57M ---- ---- ---- 194.92%9.93M 194.92%9.93M ----
Current deferred liabilities 46.30%333M 40.79%362M 9.65%295.77M 9.65%295.77M 80.92%222.06M 150.81%227.61M 193.91%257.12M 306.46%269.74M 306.46%269.74M 347.10%122.74M
Other current liabilities ---- ---- 1,499.42%11.51M 1,499.42%11.51M -97.73%27.22K 174.45%396.16K -9.05%297.94K 409.91%719.86K 409.91%719.86K 6,865.51%1.2M
Current liabilities 8.44%887M 17.04%957M 3.33%864.34M 3.33%864.34M 112.35%806.25M 145.80%817.97M 157.91%817.65M 200.09%836.48M 200.09%836.48M 91.98%379.68M
Non current liabilities
Long term debt and capital lease obligation -12.91%939M -21.29%868M -11.86%932.66M -11.86%932.66M 258.45%1.06B 264.59%1.08B 262.06%1.1B 260.23%1.06B 260.23%1.06B -3.85%294.33M
-Long term debt -13.08%889M -22.46%813M -12.79%875.93M -12.79%875.93M 274.49%992.68M 286.22%1.02B 285.99%1.05B 286.42%1B 286.42%1B -2.08%265.07M
-Long term capital lease obligation -9.84%50M 1.18%55M 5.61%56.73M 5.61%56.73M 113.10%62.35M 79.38%55.46M 64.89%54.36M 58.89%53.72M 58.89%53.72M -17.35%29.26M
Non current deferred liabilities -6.02%75M -18.69%67M -2.72%87.43M -2.72%87.43M 10.53%76.94M 12.09%79.8M 13.30%82.4M 24.60%89.88M 24.60%89.88M -0.20%69.61M
Other non current liabilities -12.81%15M -7.42%14M -15.03%13.62M -15.03%13.62M 34.35%14.16M 78.59%17.2M 4.88%15.12M 29.49%16.03M 29.49%16.03M -20.54%10.54M
Total non current liabilities -12.44%1.03B -20.94%949M -11.20%1.03B -11.20%1.03B 206.06%1.15B 212.10%1.18B 206.41%1.2B 207.75%1.16B 207.75%1.16B -3.76%374.48M
Total liabilities -3.87%1.92B -5.55%1.91B -5.12%1.9B -5.12%1.9B 158.88%1.95B 180.99%1.99B 184.72%2.02B 204.50%2B 204.50%2B 28.50%754.16M
Shareholders'equity
Share capital 13.36%505M 15.58%504M 2.61%445.95M 2.61%445.95M 58.43%435.06M 52.85%445.47M 44.97%436.07M 47.56%434.59M 47.56%434.59M -6.73%274.6M
-common stock 13.36%505M 15.58%504M 2.61%445.95M 2.61%445.95M 58.43%435.06M 52.85%445.47M 44.97%436.07M 47.56%434.59M 47.56%434.59M -6.73%274.6M
Additional paid-in capital 36.11%678M 38.89%678M 2.30%497.54M 2.30%497.54M 0.62%485.55M -2.68%498.12M -7.53%488.17M -5.85%486.35M -5.85%486.35M -6.49%482.53M
Retained earnings -68.56%40M -70.57%38M -74.52%30.82M -74.52%30.82M -30.61%126.04M -42.17%127.21M -40.82%129.11M -43.90%120.98M -43.90%120.98M -25.24%181.64M
Gains losses not affecting retained earnings -355.77%-200M -304.88%-195M -19.38%76.51M -19.38%76.51M -8.06%91.42M 66.93%78.2M 238.11%95.18M 171.00%94.91M 171.00%94.91M 151.50%99.44M
Total stockholders'equity -10.97%1.02B -10.76%1.03B -7.57%1.05B -7.57%1.05B 9.62%1.14B 7.37%1.15B 6.84%1.15B 7.07%1.14B 7.07%1.14B -5.00%1.04B
Total equity -10.97%1.02B -10.76%1.03B -7.57%1.05B -7.57%1.05B 9.62%1.14B 7.37%1.15B 6.84%1.15B 7.07%1.14B 7.07%1.14B -5.00%1.04B
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 -- -- -- -- -- -- --

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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