Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
United States Gasoline Fund Lp
UGA
5
Powershares Db Multi-Sector Commodi Powershares Db Oil Fund
DBO
| (Q3)Sep 27, 2025 | (Q2)Jun 28, 2025 | (Q1)Mar 29, 2025 | (FY)Dec 28, 2024 | (Q4)Dec 28, 2024 | (Q3)Sep 28, 2024 | (Q2)Jun 29, 2024 | (Q1)Mar 30, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Operating Cash Flow (Indirect Method) | ||||||||||
| Cash flow from continuing operating activities | -21.79%79.22M | 71.27%80.4M | 24.63%75.13M | 2.67%241.45M | 42.38%32.94M | 3.93%101.28M | -39.66%46.94M | 63.85%60.28M | 19.27%235.17M | -21.64%23.13M |
| Net income from continuing operations | 507.19%60.86M | 57.71%47.56M | 29.22%5.51M | 60.74%-292.5M | -2,272.57%-311.97M | 98.13%-14.95M | -20.11%30.16M | -85.68%4.26M | -1,825.53%-744.96M | -147.99%-13.15M |
| Operating gains losses | -98.42%317K | -756.29%-53.34M | 36.74%12.63M | 22,080.49%54.07M | 2,787.42%16.66M | 20.61%20.05M | 151.69%8.13M | 1,865.97%9.24M | 98.65%-246K | 98.15%-620K |
| Depreciation and amortization | -7.88%40.88M | -7.70%42.18M | -16.46%37.24M | 6.30%188.38M | 14.38%53.73M | -4.83%44.38M | 0.62%45.7M | 16.69%44.57M | 20.43%177.22M | 18.83%46.97M |
| Deferred tax | -555.10%-38.84M | -129.64%-2.33M | 261.74%4.54M | 47.07%-66.59M | -1,047.35%-80.17M | 105.58%8.54M | -44.62%7.84M | -160.37%-2.81M | -711.68%-125.8M | -85.60%8.46M |
| Other non cash items | -714.81%-14.63M | 6,477.99%23.47M | -130.86%-3.9M | -139.50%-12.89M | -905.38%-23.35M | -111.41%-1.8M | -104.55%-368K | 114.20%12.62M | 287.08%32.63M | 120.71%2.9M |
| Change In working capital | -79.25%3.17M | 89.56%-5.87M | 86.70%-3M | 30.25%-73.08M | 77.72%-9.61M | 187.94%15.3M | -145.04%-56.25M | 48.82%-22.51M | 35.08%-104.78M | 33.18%-43.15M |
| -Change in receivables | 493.18%27.84M | 76.44%-8.79M | -149.23%-33.33M | -374.68%-37.4M | -48.77%8.59M | -82.96%4.69M | -392.97%-37.3M | 69.20%-13.38M | 119.13%13.61M | 124.36%16.76M |
| -Change in inventory | 118.89%1.88M | -120.60%-2.54M | 429.35%3.31M | 122.32%2.62M | 60.13%1.28M | -600.84%-9.97M | 318.54%12.32M | 81.64%-1.01M | 48.35%-11.73M | 116.62%800K |
| -Change in prepaid assets | 2,633.73%8.56M | -110.14%-1.24M | -18.95%-5.08M | 150.41%3.47M | -40.87%-4.18M | -108.48%-338K | 105.19%12.26M | 69.21%-4.27M | 77.39%-6.88M | 90.51%-2.97M |
| -Change in payables and accrued expense | -146.91%-12.61M | 246.42%12.4M | 90.48%38.97M | 203.35%46.99M | 119.84%8.12M | 237.18%26.87M | 11.58%-8.47M | -16.96%20.46M | -43.26%-45.46M | -201.25%-40.94M |
| -Change in other current assets | -18.22%-18.11M | 117.22%2.48M | 92.24%-2.58M | -114.73%-85.49M | -111.96%-22.48M | -307.99%-15.32M | 20.33%-14.4M | -351.10%-33.3M | -70.31%-39.81M | 45.93%-10.6M |
| -Change in other working capital | -147.09%-4.41M | 60.38%-8.18M | -147.64%-4.28M | 77.49%-3.27M | 84.75%-946K | 744.93%9.36M | -146.63%-20.66M | 489.88%8.98M | -180.45%-14.51M | -131.80%-6.2M |
| Cash from discontinued investing activities | ||||||||||
| Operating cash flow | -21.79%79.22M | 71.27%80.4M | 24.63%75.13M | 2.67%241.45M | 42.38%32.94M | 3.93%101.28M | -39.66%46.94M | 63.85%60.28M | 19.27%235.17M | -21.64%23.13M |
| Investing cash flow | ||||||||||
| Cash flow from continuing investing activities | 8.01%92.29M | 79,255.91%201.56M | -28.39%-44.01M | 113.07%59.02M | 108.42%7.59M | 160.99%85.45M | 100.64%254K | 81.13%-34.28M | 46.28%-451.41M | -31.66%-90.2M |
| Capital expenditure reported | 37.27%-39.76M | -7.46%-71.4M | 37.16%-56.23M | 51.63%-288.5M | 39.22%-69.2M | 61.01%-63.39M | 55.98%-66.44M | 47.10%-89.48M | -36.74%-596.48M | 28.84%-113.85M |
| Net PPE purchase and sale | 103.21%12.47M | 94.46%14.11M | 91.12%8.7M | -73.61%51.37M | 49.04%33.43M | -78.55%6.14M | -94.28%7.26M | -72.87%4.55M | -41.68%194.66M | -87.79%22.43M |
| Net business purchase and sale | -95.38%6.59M | 335.52%258.85M | -93.05%3.52M | 697.24%296.15M | 3,463.11%43.36M | 2,419.24%142.7M | 487.34%59.43M | 272.84%50.65M | 93.28%-49.59M | 101.32%1.22M |
| Cash from discontinued investing activities | ||||||||||
| Investing cash flow | 8.01%92.29M | 79,255.91%201.56M | -28.39%-44.01M | 113.07%59.02M | 108.42%7.59M | 160.99%85.45M | 100.64%254K | 81.13%-34.28M | 46.28%-451.41M | -31.66%-90.2M |
| Financing cash flow | ||||||||||
| Cash flow from continuing financing activities | -38.79%-172.94M | -298.17%-274.12M | -43.79%-47.77M | -277.41%-302.84M | -433.39%-76.18M | -336.33%-124.6M | -415.14%-68.84M | -130.62%-33.22M | -50.29%170.7M | -62.41%22.85M |
| Net issuance payments of debt | -48.20%-171.61M | -420.12%-274.12M | -414.83%-43.77M | -217.55%-252.58M | -430.73%-75.58M | -218.33%-115.8M | -305.59%-52.7M | -107.94%-8.5M | -36.38%214.86M | -58.99%22.85M |
| Net common stock issuance | ---- | ---- | ---- | --0 | --0 | 100.00%2K | ---- | ---- | ---49.96M | --0 |
| Proceeds from stock option exercised by employees | ---- | ---- | ---- | --0 | --0 | --0 | --0 | --0 | 1,699.12%6.12M | --0 |
| Net other financing activities | 84.95%-1.33M | --0 | 83.83%-4M | -15,316.26%-50.26M | -14,775.00%-595K | -3,312.79%-8.81M | -50,334.38%-16.14M | -77,143.75%-24.72M | -106.14%-326K | -100.07%-4K |
| Cash from discontinued financing activities | ||||||||||
| Financing cash flow | -38.79%-172.94M | -298.17%-274.12M | -43.79%-47.77M | -277.41%-302.84M | -433.39%-76.18M | -336.33%-124.6M | -415.14%-68.84M | -130.62%-33.22M | -50.29%170.7M | -62.41%22.85M |
| Net cash flow | ||||||||||
| Beginning cash position | 11.16%205.9M | -7.39%194.14M | -3.00%209.24M | -17.28%215.72M | -4.14%249.06M | -26.34%185.24M | -7.55%209.63M | -17.28%215.72M | -53.66%260.77M | 11.25%259.81M |
| Current changes in cash | -102.29%-1.42M | 136.24%7.85M | -130.68%-16.65M | 94.79%-2.37M | 19.39%-35.64M | 517.37%62.14M | -186.53%-21.65M | 80.18%-7.22M | 84.81%-45.54M | -302.83%-44.22M |
| Effect of exchange rate changes | -144.78%-755K | 242.47%3.92M | 36.72%1.55M | -947.73%-4.1M | -3,607.56%-4.17M | 197.91%1.69M | -800.98%-2.75M | -52.63%1.13M | 121.20%484K | -97.81%119K |
| End cash Position | -18.20%203.72M | 11.16%205.9M | -7.39%194.14M | -3.00%209.24M | -3.00%209.24M | -4.14%249.06M | -26.34%185.24M | -7.55%209.63M | -17.28%215.72M | -17.28%215.72M |
| Free cash flow | 4.11%39.46M | 146.17%9M | 164.74%18.9M | 86.98%-47.06M | 60.03%-36.26M | 158.20%37.9M | 73.34%-19.5M | 77.94%-29.2M | -51.16%-361.31M | 30.47%-90.71M |
| 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 |