US Stock MarketDetailed Quotes

ROLR High Roller Technologies

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  • 4.080
  • +0.090+2.26%
Close Jan 3 16:00 ET
33.73MMarket Cap-6.05P/E (TTM)

High Roller Technologies 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
-138.74%-224.28K
-187.38%-870.85K
19.73%-259.87K
-57.68%763.01K
-86.05%184.01K
-93.95K
996.67K
-323.72K
184.65%1.8M
1.32M
Net income from continuing operations
-140.92%-501.17K
-121.45%-1.5M
-784.92%-1.85M
7.86%-2.82M
-117.91%-1.72M
---208.02K
---679.02K
---208.97K
-412.57%-3.06M
---790.16K
Operating gains losses
54.61%-561
-111.54%-15
605.60%9.58K
-213.37%-1.38K
86.84%1.62K
---1.24K
--130
---1.89K
--1.22K
--866
Depreciation and amortization
3,267.75%65.47K
2,972.17%56.41K
4,008.69%50.13K
1,404.86%59.73K
5,286.61%54.73K
--1.94K
--1.84K
--1.22K
753.55%3.97K
--1.02K
Deferred tax
----
----
----
200.00%12.93K
214.81%11.93K
----
----
----
---12.93K
---10.39K
Other non cash items
-65.68%46.43K
183.29%21.03K
93.34%67.54K
-9.25%135.83K
-121.51%-9.17K
--135.31K
---25.24K
--34.93K
659.01%149.67K
--42.64K
Change In working capital
203.09%85.6K
-75.26%406.95K
568.30%937.46K
-14.04%3.16M
65.24%1.79M
---83.03K
--1.65M
---200.18K
1,105.04%3.67M
--1.09M
-Change in receivables
----
38.34%4.22M
155.33%264.68K
114.16%2.36M
----
----
--3.05M
---478.35K
--1.1M
----
-Change in prepaid assets
119.69%36.89K
-3,830.28%-198.09K
-100.12%-800
149.39%470.87K
97.71%-10.13K
---187.33K
---5.04K
--673.37K
-1,339.15%-953.38K
---441.92K
-Change in payables and accrued expense
147.93%4.11M
-191.01%-4.12M
496.43%591.2K
-91.14%393.21K
-89.97%300.21K
--1.66M
---1.42M
---149.13K
413.49%4.44M
--2.99M
-Change in other current assets
105.28%1.42K
3,685.19%146.22K
1,630.71%60.36K
105.43%13.96K
115.93%40.96K
---26.92K
--3.86K
---3.94K
---257.18K
---257.18K
-Change in other current liabilities
-181.05%-107.78K
2,315.15%365.75K
109.10%22.03K
87.01%-85.68K
-84.98%8.33K
--132.98K
--15.14K
---242.13K
-4,994.20%-659.7K
--55.42K
Cash from discontinued investing activities
Operating cash flow
-138.74%-224.28K
-187.38%-870.85K
19.73%-259.87K
-57.68%763.02K
-86.05%184.02K
---93.95K
--996.67K
---323.72K
184.65%1.8M
--1.32M
Investing cash flow
Cash flow from continuing investing activities
51.45%-83.49K
26.77%-89.52K
-52.34%-151.99K
-382.83%-629.43K
-256.16%-235.43K
-171.98K
-122.26K
-99.77K
128.94%222.55K
-66.1K
Capital expenditure reported
95.13%-6.21K
27.59%-63.49K
12.48%-80.29K
-281.13%-380.49K
-11.18%-73.49K
---127.57K
---87.68K
---91.75K
---99.83K
---66.1K
Net PPE purchase and sale
-74.02%-77.27K
24.71%-26.03K
-793.54%-71.7K
---248.94K
---161.94K
---44.4K
---34.57K
---8.02K
--0
--0
Net business purchase and sale
----
----
----
--0
----
----
----
----
--322.38K
--0
Cash from discontinued investing activities
Investing cash flow
51.45%-83.49K
26.77%-89.52K
-52.34%-151.99K
-382.83%-629.43K
-256.16%-235.43K
---171.98K
---122.26K
---99.77K
128.94%222.55K
---66.1K
Financing cash flow
Cash flow from continuing financing activities
97.39%-3.47K
705.88%482.87K
-36.85%-145.4K
-184.01%-336.04K
-17.04K
-133.05K
-79.7K
-106.25K
1,233.98%400K
0
Net issuance payments of debt
--0
----
----
----
----
--0
----
----
----
----
Net common stock issuance
----
----
----
--0
----
----
----
----
--400K
--0
Net other financing activities
97.39%-3.47K
78.51%-17.13K
-36.85%-145.4K
---336.04K
---17.04K
---133.05K
---79.7K
---106.25K
----
----
Cash from discontinued financing activities
Financing cash flow
97.39%-3.47K
705.88%482.87K
-36.85%-145.4K
-184.01%-336.04K
---17.04K
---133.05K
---79.7K
---106.25K
1,233.98%400K
--0
Net cash flow
Beginning cash position
-28.23%3.22M
-7.04%3.41M
-2.52%4.05M
150.41%4.15M
58.70%3.99M
--4.49M
--3.67M
--4.15M
-17.29%1.66M
--2.52M
Current changes in cash
21.99%-311.24K
-160.08%-477.5K
-5.19%-557.26K
-108.35%-202.46K
-105.46%-68.46K
---398.97K
--794.72K
---529.74K
1,520.27%2.43M
--1.25M
Effect of exchange rate changes
111.39%10.94K
950.83%290.72K
-271.70%-79.67K
46.31%98.03K
-69.31%120.03K
---96.07K
--27.67K
--46.4K
138.17%67K
--391.09K
End cash Position
-26.87%2.92M
-28.23%3.22M
-7.04%3.41M
-2.52%4.05M
-2.52%4.05M
--3.99M
--4.49M
--3.67M
150.41%4.15M
--4.15M
Free cash flow
-15.74%-307.77K
-209.83%-960.37K
2.75%-411.86K
-92.16%133.59K
-104.10%-51.41K
---265.92K
--874.42K
---423.49K
1,356.88%1.7M
--1.25M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(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 -138.74%-224.28K -187.38%-870.85K 19.73%-259.87K -57.68%763.01K -86.05%184.01K -93.95K 996.67K -323.72K 184.65%1.8M 1.32M
Net income from continuing operations -140.92%-501.17K -121.45%-1.5M -784.92%-1.85M 7.86%-2.82M -117.91%-1.72M ---208.02K ---679.02K ---208.97K -412.57%-3.06M ---790.16K
Operating gains losses 54.61%-561 -111.54%-15 605.60%9.58K -213.37%-1.38K 86.84%1.62K ---1.24K --130 ---1.89K --1.22K --866
Depreciation and amortization 3,267.75%65.47K 2,972.17%56.41K 4,008.69%50.13K 1,404.86%59.73K 5,286.61%54.73K --1.94K --1.84K --1.22K 753.55%3.97K --1.02K
Deferred tax ---- ---- ---- 200.00%12.93K 214.81%11.93K ---- ---- ---- ---12.93K ---10.39K
Other non cash items -65.68%46.43K 183.29%21.03K 93.34%67.54K -9.25%135.83K -121.51%-9.17K --135.31K ---25.24K --34.93K 659.01%149.67K --42.64K
Change In working capital 203.09%85.6K -75.26%406.95K 568.30%937.46K -14.04%3.16M 65.24%1.79M ---83.03K --1.65M ---200.18K 1,105.04%3.67M --1.09M
-Change in receivables ---- 38.34%4.22M 155.33%264.68K 114.16%2.36M ---- ---- --3.05M ---478.35K --1.1M ----
-Change in prepaid assets 119.69%36.89K -3,830.28%-198.09K -100.12%-800 149.39%470.87K 97.71%-10.13K ---187.33K ---5.04K --673.37K -1,339.15%-953.38K ---441.92K
-Change in payables and accrued expense 147.93%4.11M -191.01%-4.12M 496.43%591.2K -91.14%393.21K -89.97%300.21K --1.66M ---1.42M ---149.13K 413.49%4.44M --2.99M
-Change in other current assets 105.28%1.42K 3,685.19%146.22K 1,630.71%60.36K 105.43%13.96K 115.93%40.96K ---26.92K --3.86K ---3.94K ---257.18K ---257.18K
-Change in other current liabilities -181.05%-107.78K 2,315.15%365.75K 109.10%22.03K 87.01%-85.68K -84.98%8.33K --132.98K --15.14K ---242.13K -4,994.20%-659.7K --55.42K
Cash from discontinued investing activities
Operating cash flow -138.74%-224.28K -187.38%-870.85K 19.73%-259.87K -57.68%763.02K -86.05%184.02K ---93.95K --996.67K ---323.72K 184.65%1.8M --1.32M
Investing cash flow
Cash flow from continuing investing activities 51.45%-83.49K 26.77%-89.52K -52.34%-151.99K -382.83%-629.43K -256.16%-235.43K -171.98K -122.26K -99.77K 128.94%222.55K -66.1K
Capital expenditure reported 95.13%-6.21K 27.59%-63.49K 12.48%-80.29K -281.13%-380.49K -11.18%-73.49K ---127.57K ---87.68K ---91.75K ---99.83K ---66.1K
Net PPE purchase and sale -74.02%-77.27K 24.71%-26.03K -793.54%-71.7K ---248.94K ---161.94K ---44.4K ---34.57K ---8.02K --0 --0
Net business purchase and sale ---- ---- ---- --0 ---- ---- ---- ---- --322.38K --0
Cash from discontinued investing activities
Investing cash flow 51.45%-83.49K 26.77%-89.52K -52.34%-151.99K -382.83%-629.43K -256.16%-235.43K ---171.98K ---122.26K ---99.77K 128.94%222.55K ---66.1K
Financing cash flow
Cash flow from continuing financing activities 97.39%-3.47K 705.88%482.87K -36.85%-145.4K -184.01%-336.04K -17.04K -133.05K -79.7K -106.25K 1,233.98%400K 0
Net issuance payments of debt --0 ---- ---- ---- ---- --0 ---- ---- ---- ----
Net common stock issuance ---- ---- ---- --0 ---- ---- ---- ---- --400K --0
Net other financing activities 97.39%-3.47K 78.51%-17.13K -36.85%-145.4K ---336.04K ---17.04K ---133.05K ---79.7K ---106.25K ---- ----
Cash from discontinued financing activities
Financing cash flow 97.39%-3.47K 705.88%482.87K -36.85%-145.4K -184.01%-336.04K ---17.04K ---133.05K ---79.7K ---106.25K 1,233.98%400K --0
Net cash flow
Beginning cash position -28.23%3.22M -7.04%3.41M -2.52%4.05M 150.41%4.15M 58.70%3.99M --4.49M --3.67M --4.15M -17.29%1.66M --2.52M
Current changes in cash 21.99%-311.24K -160.08%-477.5K -5.19%-557.26K -108.35%-202.46K -105.46%-68.46K ---398.97K --794.72K ---529.74K 1,520.27%2.43M --1.25M
Effect of exchange rate changes 111.39%10.94K 950.83%290.72K -271.70%-79.67K 46.31%98.03K -69.31%120.03K ---96.07K --27.67K --46.4K 138.17%67K --391.09K
End cash Position -26.87%2.92M -28.23%3.22M -7.04%3.41M -2.52%4.05M -2.52%4.05M --3.99M --4.49M --3.67M 150.41%4.15M --4.15M
Free cash flow -15.74%-307.77K -209.83%-960.37K 2.75%-411.86K -92.16%133.59K -104.10%-51.41K ---265.92K --874.42K ---423.49K 1,356.88%1.7M --1.25M
Currency Unit USD USD USD USD USD USD USD USD USD USD
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