US Stock MarketDetailed Quotes

HPCO Hempacco

Watchlist
  • 1.0000
  • -0.0200-1.96%
Close Apr 26 16:00 ET
  • 0.9852
  • -0.0148-1.48%
Post 19:15 ET
3.14MMarket Cap-259P/E (TTM)

Hempacco Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
45.09%-1.15M
-15,651.22%-1.87M
-72.46%-1.96M
-497.91%-4.37M
-589.96%-1.15M
-653.02%-2.1M
103.43%11.99K
-235.16%-1.13M
-948.94%-730.96K
235.28K
Net income from continuing operations
-115.49%-2.26M
-1,555.18%-1.61M
-171.15%-2.38M
-281.41%-7.13M
-658.33%-5.11M
-185.72%-1.05M
80.33%-97.35K
-162.29%-877.22K
-27.65%-1.87M
---673.97K
Operating gains losses
--73.66K
--18.72K
-97.21%12.48K
168.47%478.72K
1,648.96%30.65K
--0
--0
1,409.60%448.07K
15.67%178.32K
---1.98K
Depreciation and amortization
-57.93%52.96K
45.51%33.2K
36.81%30.65K
12.05%96.92K
-650.72%-74.18K
239.90%125.88K
94.10%22.81K
-7.59%22.4K
24.43%86.5K
--13.47K
Other non cash items
--450.2K
--195.78K
--1.14M
513.15%1.72M
--1.62M
----
----
----
--280.3K
----
Change In working capital
142.01%534.17K
-679.66%-501.59K
-4.29%-758.95K
-310.47%-1.25M
-7.82%661.36K
-2,544.16%-1.27M
174.01%86.53K
-1,155.29%-727.72K
-49.27%594.6K
--717.47K
-Change in receivables
-99.62%-324.17K
-80.62%41.25K
84.52%-35.06K
115.41%45.17K
406.75%221.18K
-164.02%-162.39K
259.32%212.81K
-771.20%-226.43K
-5,055.18%-293.18K
---72.1K
-Change in inventory
197.70%271.78K
-473.67%-368.88K
60.13%-167.52K
-320.00%-446.2K
643.69%153.38K
-303.84%-278.18K
178.86%98.72K
-370.37%-420.11K
-119.42%-106.24K
---28.21K
-Change in prepaid assets
93.19%-46.7K
-185.81%-485.19K
-294.95%-325.71K
132.19%225.72K
160.90%428.53K
-3,575.90%-685.76K
3,831.39%565.42K
-4,023.45%-82.47K
-2,337,146.67%-701.11K
---703.69K
-Change in payables and accrued expense
995.46%688.98K
188.07%185.13K
-127.10%-126.83K
-34.18%213.06K
-53.29%32.21K
-377.43%-76.94K
-211.14%-210.2K
472.59%467.99K
-34.89%323.7K
--68.95K
-Change in other working capital
18.47%-55.72K
121.73%126.11K
77.75%-103.83K
-194.00%-1.29M
-111.97%-173.94K
-157.42%-68.35K
-1,704.95%-580.22K
-1,983.49%-466.7K
926.54%1.37M
--1.45M
Cash from discontinued investing activities
Operating cash flow
45.09%-1.15M
-15,651.22%-1.87M
-72.46%-1.96M
-497.91%-4.37M
-589.96%-1.15M
-653.02%-2.1M
103.43%11.99K
-235.16%-1.13M
-948.94%-730.96K
--235.28K
Investing cash flow
Cash flow from continuing investing activities
95.24%-15K
-3,634.54%-112K
-200.55%-36.19K
20.13%-63.87K
448.05%218.14K
-1,473.01%-315K
-146.24%-3K
1,059.68%35.99K
-55.48%-79.96K
-62.67K
Net PPE purchase and sale
90.76%-15K
-3,634.54%-112K
-200.55%-36.19K
20.13%-63.87K
204.56%65.53K
-710.92%-162.39K
-146.24%-3K
1,059.68%35.99K
-55.48%-79.96K
---62.67K
Cash from discontinued investing activities
Investing cash flow
95.24%-15K
-3,634.54%-112K
-200.55%-36.19K
20.13%-63.87K
448.05%218.14K
-1,473.01%-315K
-146.24%-3K
1,059.68%35.99K
-55.48%-79.96K
---62.67K
Financing cash flow
Cash flow from continuing financing activities
-103.83%-203.52K
-1,403.58%-673.21K
3,085.54%5.48M
132.19%4.05M
-308.20%-1.49M
1,451.70%5.32M
-66.01%51.64K
-67.74%172.06K
1,335.30%1.74M
716.01K
Net issuance payments of debt
-462.37%-1.8M
--100K
---4.52K
-134.21%-250.9K
--69.48K
---320.38K
--0
--0
659.93%733.33K
--0
Net common stock issuance
-99.76%14.25K
-103.43%-14.25K
--7.25M
393.54%6.42M
-104.00%-52K
--6.05M
--416K
--0
--1.3M
--1.3M
Net other financing activities
481.30%1.58M
-108.30%-758.96K
-1,122.70%-1.76M
-631.04%-2.12M
-158.25%-1.51M
-221.25%-415.41K
---364.36K
--172.06K
-1,257.74%-289.44K
---583.99K
Cash from discontinued financing activities
Financing cash flow
-103.83%-203.52K
-1,403.58%-673.21K
3,085.54%5.48M
132.19%4.05M
-308.20%-1.49M
1,451.70%5.32M
-66.01%51.64K
-67.74%172.06K
1,335.30%1.74M
--716.01K
Net cash flow
Beginning cash position
1,947.85%1.39M
57,171.99%4.04M
-41.26%548.33K
186,593.80%933.47K
6,529.70%2.97M
13,068.48%67.69K
-96.32%7.05K
186,593.80%933.47K
327.35%500
--44.85K
Current changes in cash
-147.11%-1.37M
-4,470.89%-2.65M
476.52%3.49M
-141.28%-385.14K
-372.94%-2.43M
6,453.90%2.91M
131.73%60.64K
-584.80%-926.42K
243,495.04%932.97K
--888.62K
End cash Position
-99.43%17.08K
1,947.85%1.39M
57,171.99%4.04M
-41.26%548.33K
-41.26%548.33K
6,529.70%2.97M
13,068.48%67.69K
-96.32%7.05K
186,593.80%933.47K
--933.47K
Free cash flow
48.37%-1.17M
-22,081.23%-1.98M
-75.03%-1.99M
-451.76%-4.47M
-729.90%-1.09M
-663.92%-2.26M
102.60%9K
-232.66%-1.14M
-569.54%-810.92K
--172.61K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
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Unqualified Opinion with Explanatory Notes
--
(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 45.09%-1.15M-15,651.22%-1.87M-72.46%-1.96M-497.91%-4.37M-589.96%-1.15M-653.02%-2.1M103.43%11.99K-235.16%-1.13M-948.94%-730.96K235.28K
Net income from continuing operations -115.49%-2.26M-1,555.18%-1.61M-171.15%-2.38M-281.41%-7.13M-658.33%-5.11M-185.72%-1.05M80.33%-97.35K-162.29%-877.22K-27.65%-1.87M---673.97K
Operating gains losses --73.66K--18.72K-97.21%12.48K168.47%478.72K1,648.96%30.65K--0--01,409.60%448.07K15.67%178.32K---1.98K
Depreciation and amortization -57.93%52.96K45.51%33.2K36.81%30.65K12.05%96.92K-650.72%-74.18K239.90%125.88K94.10%22.81K-7.59%22.4K24.43%86.5K--13.47K
Other non cash items --450.2K--195.78K--1.14M513.15%1.72M--1.62M--------------280.3K----
Change In working capital 142.01%534.17K-679.66%-501.59K-4.29%-758.95K-310.47%-1.25M-7.82%661.36K-2,544.16%-1.27M174.01%86.53K-1,155.29%-727.72K-49.27%594.6K--717.47K
-Change in receivables -99.62%-324.17K-80.62%41.25K84.52%-35.06K115.41%45.17K406.75%221.18K-164.02%-162.39K259.32%212.81K-771.20%-226.43K-5,055.18%-293.18K---72.1K
-Change in inventory 197.70%271.78K-473.67%-368.88K60.13%-167.52K-320.00%-446.2K643.69%153.38K-303.84%-278.18K178.86%98.72K-370.37%-420.11K-119.42%-106.24K---28.21K
-Change in prepaid assets 93.19%-46.7K-185.81%-485.19K-294.95%-325.71K132.19%225.72K160.90%428.53K-3,575.90%-685.76K3,831.39%565.42K-4,023.45%-82.47K-2,337,146.67%-701.11K---703.69K
-Change in payables and accrued expense 995.46%688.98K188.07%185.13K-127.10%-126.83K-34.18%213.06K-53.29%32.21K-377.43%-76.94K-211.14%-210.2K472.59%467.99K-34.89%323.7K--68.95K
-Change in other working capital 18.47%-55.72K121.73%126.11K77.75%-103.83K-194.00%-1.29M-111.97%-173.94K-157.42%-68.35K-1,704.95%-580.22K-1,983.49%-466.7K926.54%1.37M--1.45M
Cash from discontinued investing activities
Operating cash flow 45.09%-1.15M-15,651.22%-1.87M-72.46%-1.96M-497.91%-4.37M-589.96%-1.15M-653.02%-2.1M103.43%11.99K-235.16%-1.13M-948.94%-730.96K--235.28K
Investing cash flow
Cash flow from continuing investing activities 95.24%-15K-3,634.54%-112K-200.55%-36.19K20.13%-63.87K448.05%218.14K-1,473.01%-315K-146.24%-3K1,059.68%35.99K-55.48%-79.96K-62.67K
Net PPE purchase and sale 90.76%-15K-3,634.54%-112K-200.55%-36.19K20.13%-63.87K204.56%65.53K-710.92%-162.39K-146.24%-3K1,059.68%35.99K-55.48%-79.96K---62.67K
Cash from discontinued investing activities
Investing cash flow 95.24%-15K-3,634.54%-112K-200.55%-36.19K20.13%-63.87K448.05%218.14K-1,473.01%-315K-146.24%-3K1,059.68%35.99K-55.48%-79.96K---62.67K
Financing cash flow
Cash flow from continuing financing activities -103.83%-203.52K-1,403.58%-673.21K3,085.54%5.48M132.19%4.05M-308.20%-1.49M1,451.70%5.32M-66.01%51.64K-67.74%172.06K1,335.30%1.74M716.01K
Net issuance payments of debt -462.37%-1.8M--100K---4.52K-134.21%-250.9K--69.48K---320.38K--0--0659.93%733.33K--0
Net common stock issuance -99.76%14.25K-103.43%-14.25K--7.25M393.54%6.42M-104.00%-52K--6.05M--416K--0--1.3M--1.3M
Net other financing activities 481.30%1.58M-108.30%-758.96K-1,122.70%-1.76M-631.04%-2.12M-158.25%-1.51M-221.25%-415.41K---364.36K--172.06K-1,257.74%-289.44K---583.99K
Cash from discontinued financing activities
Financing cash flow -103.83%-203.52K-1,403.58%-673.21K3,085.54%5.48M132.19%4.05M-308.20%-1.49M1,451.70%5.32M-66.01%51.64K-67.74%172.06K1,335.30%1.74M--716.01K
Net cash flow
Beginning cash position 1,947.85%1.39M57,171.99%4.04M-41.26%548.33K186,593.80%933.47K6,529.70%2.97M13,068.48%67.69K-96.32%7.05K186,593.80%933.47K327.35%500--44.85K
Current changes in cash -147.11%-1.37M-4,470.89%-2.65M476.52%3.49M-141.28%-385.14K-372.94%-2.43M6,453.90%2.91M131.73%60.64K-584.80%-926.42K243,495.04%932.97K--888.62K
End cash Position -99.43%17.08K1,947.85%1.39M57,171.99%4.04M-41.26%548.33K-41.26%548.33K6,529.70%2.97M13,068.48%67.69K-96.32%7.05K186,593.80%933.47K--933.47K
Free cash flow 48.37%-1.17M-22,081.23%-1.98M-75.03%-1.99M-451.76%-4.47M-729.90%-1.09M-663.92%-2.26M102.60%9K-232.66%-1.14M-569.54%-810.92K--172.61K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

No Data

Price Target

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