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ARGO CORPORATION (ARGHF)

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  • 0.2403
  • +0.0053+2.23%
15min DelayClose May 12 14:44 ET
66.08MMarket Cap-3.29P/E (TTM)

ARGO CORPORATION (ARGHF) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
197.95%2.99M
-281.70%-906.19K
-147.25%-4.02M
847.80%9.49M
-139.04%-1.57M
59.40%-3.05M
-75.12%498.72K
40.06%-1.63M
56.98%-1.27M
82.98%-657.51K
Net income from continuing operations
-307.87%-15.23M
-1,236.01%-5.55M
446.24%2.96M
-1,066.47%-10.92M
-12.92%-1.72M
-507.63%-3.73M
97.95%-415.65K
83.33%-855.73K
76.31%-935.78K
-105.04%-1.53M
Operating gains losses
100.11%11.18K
102.89%373.57K
-416.39%-2.09M
-25.16%1.76M
86.46%-34.97K
-164.61%-10.19M
---12.94M
--659.91K
1,894.64%2.35M
99.27%-258.28K
Depreciation and amortization
7.95%419.68K
-2.71%254.6K
138.45%66.88K
-58.23%53.73K
-74.20%44.48K
-71.98%388.77K
55.00%261.69K
89.68%-173.94K
-89.83%128.62K
-89.48%172.4K
Deferred tax
--0
--0
----
----
----
287.99%125.13K
292.24%127.76K
----
----
---3.29K
Other non cash items
-178.14%-2.32M
-152.22%-1.64M
-247.95%-5.07M
180.56%2.98M
1,310.36%1.41M
109.20%2.97M
354.78%3.14M
111.12%3.42M
---3.69M
142.54%99.9K
Change In working capital
86.99%13.34M
-93.71%638.22K
85.10%-696.84K
1,433.96%13.27M
-83.40%133.5K
78.99%7.13M
83.14%10.14M
-484.32%-4.68M
373.19%864.84K
285.10%804.4K
-Change in receivables
-35.70%-725.98K
26.77%-96.3K
5.95%-113.86K
-2,501.76%-403.69K
62.53%-112.13K
59.62%-534.97K
88.72%-131.51K
-115.13%-121.06K
102.95%16.81K
23.29%-299.21K
-Change in inventory
----
----
----
----
----
--0
--0
--0
--0
--0
-Change in prepaid assets
-2,130.29%-646.36K
565.65%180.68K
-99.71%-687.71K
-151.64%-7.62K
-148.16%-131.71K
-106.89%-28.98K
-92.43%27.14K
-62.74%-344.36K
-85.02%14.76K
56.39%273.47K
-Change in payables and accrued expense
-23.17%4.97M
-81.40%1.65M
103.69%150.64K
227.21%2.83M
-59.39%344.61K
13.11%6.47M
-15.94%8.85M
-120.91%-4.09M
468.95%865.7K
127.35%848.63K
-Change in other current liabilities
--0
----
----
----
---497
--1.14M
----
----
----
--0
-Change in other working capital
10,766.42%9.74M
-513.35%-1.09M
62.81%-45.91K
33,543.87%10.84M
279.57%33.22K
133.22%89.64K
125.44%264.01K
70.83%-123.44K
-1,902.45%-32.43K
-153.81%-18.5K
Cash from discontinued investing activities
Operating cash flow
197.95%2.99M
-281.70%-906.19K
-147.25%-4.02M
847.80%9.49M
-139.04%-1.57M
59.40%-3.05M
-75.12%498.72K
40.06%-1.63M
56.98%-1.27M
82.98%-657.51K
Investing cash flow
Cash flow from continuing investing activities
-2,067.36%-2.56M
-289.42%-1.24M
-95.42%-955.42K
-9,626.17%-2.6M
25,921.90%2.24M
-98.06%129.95K
129.08%654.3K
-120.60%-488.89K
-262.22%-26.77K
-100.13%-8.68K
Net PPE purchase and sale
-929.85%-4.68M
-1,753.88%-1.22M
-132.77%-822.2K
-9,751.41%-2.64M
--0
-482.25%-454.64K
99.25%-65.96K
-104.21%-353.23K
---26.77K
-101.58%-8.68K
Net intangibles purchase and sale
-126.55%-374.72K
44.62%-16.47K
1.80%-133.22K
--33.45K
---258.49K
---165.41K
---29.74K
---135.67K
--0
--0
Net business purchase and sale
233.35%2.5M
-99.99%75
--0
---1
--2.5M
--750K
--750K
--0
--0
--0
Net other investing changes
----
----
--0
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-2,067.36%-2.56M
-289.42%-1.24M
-95.42%-955.42K
-9,626.17%-2.6M
25,921.90%2.24M
-98.06%129.95K
129.08%654.3K
-120.60%-488.89K
-262.22%-26.77K
-100.13%-8.68K
Financing cash flow
Cash flow from continuing financing activities
-68.41%898.22K
193.22%1.36M
-106.77%-99.75K
-195.51%-340.79K
-100.96%-23.74K
357.22%2.84M
-950.98%-1.46M
872.40%1.47M
165.41%356.81K
380.30%2.48M
Net issuance payments of debt
-101.41%-43.05K
-105.16%-21.01K
-102.30%-17.04K
55.80%-250K
-90.10%245K
376.70%3.06M
137.13%407.29K
389.65%741.62K
-3.68%-565.58K
380.30%2.48M
Net common stock issuance
--1.4M
----
----
----
----
--0
----
----
----
----
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Net other financing activities
---15K
----
----
----
----
----
----
--0
----
----
Cash from discontinued financing activities
Financing cash flow
-68.41%898.22K
193.22%1.36M
-106.77%-99.75K
-195.51%-340.79K
-100.96%-23.74K
357.22%2.84M
-950.98%-1.46M
872.40%1.47M
165.41%356.81K
380.30%2.48M
Net cash flow
Beginning cash position
-54.69%66.24K
2,012.93%2.18M
933.37%7.26M
-60.12%712.37K
-54.69%66.24K
-92.92%146.17K
-27.29%103.25K
105.14%702.24K
-53.50%1.79M
-92.92%146.17K
Current changes in cash
1,766.81%1.33M
-153.76%-783.03K
-690.58%-5.08M
797.08%6.54M
-64.29%646.14K
95.88%-79.93K
-316.76%-308.57K
-241.28%-641.95K
73.01%-938.83K
0.40%1.81M
Effect of exchange rate changes
----
----
--0
--0
--0
--0
247.25%271.56K
451.74%42.96K
-625.89%-145.08K
-577.56%-169.45K
End cash Position
2,011.50%1.4M
2,011.50%1.4M
2,012.93%2.18M
933.37%7.26M
-60.12%712.37K
-54.69%66.24K
-54.69%66.24K
-27.29%103.25K
105.14%702.24K
-53.50%1.79M
Free cash flow
43.73%-2.07M
-605.24%-2.15M
-132.93%-4.98M
631.40%6.89M
-174.73%-1.83M
51.33%-3.67M
-78.67%424.66K
18.38%-2.14M
56.07%-1.3M
83.22%-666.19K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
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 with Explanatory Notes
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 197.95%2.99M-281.70%-906.19K-147.25%-4.02M847.80%9.49M-139.04%-1.57M59.40%-3.05M-75.12%498.72K40.06%-1.63M56.98%-1.27M82.98%-657.51K
Net income from continuing operations -307.87%-15.23M-1,236.01%-5.55M446.24%2.96M-1,066.47%-10.92M-12.92%-1.72M-507.63%-3.73M97.95%-415.65K83.33%-855.73K76.31%-935.78K-105.04%-1.53M
Operating gains losses 100.11%11.18K102.89%373.57K-416.39%-2.09M-25.16%1.76M86.46%-34.97K-164.61%-10.19M---12.94M--659.91K1,894.64%2.35M99.27%-258.28K
Depreciation and amortization 7.95%419.68K-2.71%254.6K138.45%66.88K-58.23%53.73K-74.20%44.48K-71.98%388.77K55.00%261.69K89.68%-173.94K-89.83%128.62K-89.48%172.4K
Deferred tax --0--0------------287.99%125.13K292.24%127.76K-----------3.29K
Other non cash items -178.14%-2.32M-152.22%-1.64M-247.95%-5.07M180.56%2.98M1,310.36%1.41M109.20%2.97M354.78%3.14M111.12%3.42M---3.69M142.54%99.9K
Change In working capital 86.99%13.34M-93.71%638.22K85.10%-696.84K1,433.96%13.27M-83.40%133.5K78.99%7.13M83.14%10.14M-484.32%-4.68M373.19%864.84K285.10%804.4K
-Change in receivables -35.70%-725.98K26.77%-96.3K5.95%-113.86K-2,501.76%-403.69K62.53%-112.13K59.62%-534.97K88.72%-131.51K-115.13%-121.06K102.95%16.81K23.29%-299.21K
-Change in inventory ----------------------0--0--0--0--0
-Change in prepaid assets -2,130.29%-646.36K565.65%180.68K-99.71%-687.71K-151.64%-7.62K-148.16%-131.71K-106.89%-28.98K-92.43%27.14K-62.74%-344.36K-85.02%14.76K56.39%273.47K
-Change in payables and accrued expense -23.17%4.97M-81.40%1.65M103.69%150.64K227.21%2.83M-59.39%344.61K13.11%6.47M-15.94%8.85M-120.91%-4.09M468.95%865.7K127.35%848.63K
-Change in other current liabilities --0---------------497--1.14M--------------0
-Change in other working capital 10,766.42%9.74M-513.35%-1.09M62.81%-45.91K33,543.87%10.84M279.57%33.22K133.22%89.64K125.44%264.01K70.83%-123.44K-1,902.45%-32.43K-153.81%-18.5K
Cash from discontinued investing activities
Operating cash flow 197.95%2.99M-281.70%-906.19K-147.25%-4.02M847.80%9.49M-139.04%-1.57M59.40%-3.05M-75.12%498.72K40.06%-1.63M56.98%-1.27M82.98%-657.51K
Investing cash flow
Cash flow from continuing investing activities -2,067.36%-2.56M-289.42%-1.24M-95.42%-955.42K-9,626.17%-2.6M25,921.90%2.24M-98.06%129.95K129.08%654.3K-120.60%-488.89K-262.22%-26.77K-100.13%-8.68K
Net PPE purchase and sale -929.85%-4.68M-1,753.88%-1.22M-132.77%-822.2K-9,751.41%-2.64M--0-482.25%-454.64K99.25%-65.96K-104.21%-353.23K---26.77K-101.58%-8.68K
Net intangibles purchase and sale -126.55%-374.72K44.62%-16.47K1.80%-133.22K--33.45K---258.49K---165.41K---29.74K---135.67K--0--0
Net business purchase and sale 233.35%2.5M-99.99%75--0---1--2.5M--750K--750K--0--0--0
Net other investing changes ----------0----------------------------
Cash from discontinued investing activities
Investing cash flow -2,067.36%-2.56M-289.42%-1.24M-95.42%-955.42K-9,626.17%-2.6M25,921.90%2.24M-98.06%129.95K129.08%654.3K-120.60%-488.89K-262.22%-26.77K-100.13%-8.68K
Financing cash flow
Cash flow from continuing financing activities -68.41%898.22K193.22%1.36M-106.77%-99.75K-195.51%-340.79K-100.96%-23.74K357.22%2.84M-950.98%-1.46M872.40%1.47M165.41%356.81K380.30%2.48M
Net issuance payments of debt -101.41%-43.05K-105.16%-21.01K-102.30%-17.04K55.80%-250K-90.10%245K376.70%3.06M137.13%407.29K389.65%741.62K-3.68%-565.58K380.30%2.48M
Net common stock issuance --1.4M------------------0----------------
Cash dividends paid --0--0--0--0--0--0--0--0--0--0
Net other financing activities ---15K--------------------------0--------
Cash from discontinued financing activities
Financing cash flow -68.41%898.22K193.22%1.36M-106.77%-99.75K-195.51%-340.79K-100.96%-23.74K357.22%2.84M-950.98%-1.46M872.40%1.47M165.41%356.81K380.30%2.48M
Net cash flow
Beginning cash position -54.69%66.24K2,012.93%2.18M933.37%7.26M-60.12%712.37K-54.69%66.24K-92.92%146.17K-27.29%103.25K105.14%702.24K-53.50%1.79M-92.92%146.17K
Current changes in cash 1,766.81%1.33M-153.76%-783.03K-690.58%-5.08M797.08%6.54M-64.29%646.14K95.88%-79.93K-316.76%-308.57K-241.28%-641.95K73.01%-938.83K0.40%1.81M
Effect of exchange rate changes ----------0--0--0--0247.25%271.56K451.74%42.96K-625.89%-145.08K-577.56%-169.45K
End cash Position 2,011.50%1.4M2,011.50%1.4M2,012.93%2.18M933.37%7.26M-60.12%712.37K-54.69%66.24K-54.69%66.24K-27.29%103.25K105.14%702.24K-53.50%1.79M
Free cash flow 43.73%-2.07M-605.24%-2.15M-132.93%-4.98M631.40%6.89M-174.73%-1.83M51.33%-3.67M-78.67%424.66K18.38%-2.14M56.07%-1.3M83.22%-666.19K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion with Explanatory Notes--------
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