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ICLD InterCloud Systems Inc

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  • 0.000001
  • 0.0000000.00%
15min DelayClose May 31 16:00 ET
942.99Market Cap0.00P/E (TTM)

InterCloud Systems Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2018
(Q2)Jun 30, 2018
(Q1)Mar 31, 2018
(FY)Dec 31, 2017
(Q4)Dec 31, 2017
(Q3)Sep 30, 2017
(Q2)Jun 30, 2017
(Q1)Mar 31, 2017
(FY)Dec 31, 2016
(Q4)Dec 31, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-17.67%-586K
112.09%846K
-172.60%-2.7M
-7.68%-14.97M
-1,029.67%-11.2M
48.07%-498K
39.38%-7M
1,012.50%3.72M
-314.65%-13.9M
-504.49%-991K
Net income from continuing operations
125.69%1.42M
76.26%-2.87M
120.09%2.86M
-108.33%-43.33M
-144.39%-11.49M
-373.07%-5.53M
21.88%-12.08M
-435.23%-14.24M
58.84%-20.8M
80.27%-4.7M
Operating gains losses
-237.78%-1.79M
-58.20%1.93M
-137.61%-4M
214.64%9.95M
62.76%-6.6M
-16.65%1.3M
-33.92%4.61M
1,931.87%10.65M
-232.37%-8.68M
-686.77%-17.73M
Depreciation and amortization
55.32%73K
47.92%71K
-68.62%59K
-57.84%559K
178.63%276K
-91.68%47K
-91.37%48K
-66.19%188K
-60.83%1.33M
-159.69%-351K
Deferred tax
--0
97.32%-4K
28.11%-179K
-2,080.00%-763K
---299K
-512.50%-66K
-96.05%-149K
-1,096.00%-249K
97.14%-35K
--0
Other non cash items
-97.48%24K
-107.69%-45K
-97.82%67K
-63.09%2.92M
-121.99%-1.7M
708.47%954K
--585K
4,225.35%3.07M
593.93%7.9M
3,312.08%7.71M
Change In working capital
-116.39%-319K
235.79%1.73M
-141.20%-1.58M
122.39%4.89M
-77.38%392K
-43.33%1.95M
71.65%-1.28M
149.19%3.83M
-60.09%2.2M
3.65%1.73M
-Change in receivables
66.21%-196K
112.16%278K
-34.43%1.89M
-75.25%75K
104.57%60K
-119.67%-580K
54.71%-2.29M
-22.43%2.88M
-87.78%303K
-288.78%-1.31M
-Change in payables and accrued expense
-106.88%-188K
-22.83%977K
-168.86%-933K
250.99%3.91M
37.90%-1.45M
9.36%2.73M
727.45%1.27M
71.95%1.36M
-55.55%1.11M
-1,811.03%-2.33M
-Change in other current assets
-90.97%111K
103.93%100K
268.24%143K
-83.76%132K
--1.54M
--1.23M
---2.55M
---85K
--813K
----
-Change in other working capital
96.80%-46K
-83.45%379K
-720.55%-2.68M
2,430.30%769K
-95.51%242K
29.18%-1.44M
1,231.40%2.29M
90.86%-326K
-104.93%-33K
3,127.54%5.39M
Cash from discontinued investing activities
-86.38%244K
-111.16%-584K
115.73%681K
360.21%13.21M
327.72%10.51M
179,300.00%1.79M
61.47%5.24M
-53.04%-4.33M
88.44%2.87M
3,713.24%2.46M
Operating cash flow
-126.43%-342K
114.88%262K
-234.21%-2.02M
84.06%-1.76M
-146.79%-686K
234.79%1.29M
78.78%-1.76M
81.30%-605K
-503.01%-11.03M
728.25%1.47M
Investing cash flow
Cash flow from continuing investing activities
92.57%-41K
-101.70%-24K
-25.05%2.95M
741.33%5.48M
252.85%681K
-104.31%-552K
193.63%1.41M
131.90%3.94M
23.41%-854K
904.17%193K
Net PPE purchase and sale
---41K
---62K
--0
69.89%-28K
-112.90%-4K
--0
--0
-20.00%-24K
56.74%-93K
124.41%31K
Net business purchase and sale
--0
--0
-31.25%2.75M
--5.02M
--0
---288K
1,477.89%1.31M
4,110.53%4M
--0
--0
Net other investing changes
--0
-63.11%38K
600.00%200K
163.60%484K
322.84%685K
-102.06%-264K
107.77%103K
99.68%-40K
15.44%-761K
182.23%162K
Cash from discontinued investing activities
Investing cash flow
92.57%-41K
-101.70%-24K
-24.96%2.95M
-73.92%5.48M
334.18%686K
-104.31%-552K
193.63%1.41M
-58.83%3.93M
1,514.96%21M
-27.52%158K
Financing cash flow
Cash flow from continuing financing activities
111.18%36K
-60.00%-96K
78.14%-940K
70.11%-4.82M
94.42%-137K
97.24%-322K
92.97%-60K
-269.42%-4.3M
-378.61%-16.12M
-166.52%-2.46M
Net issuance payments of debt
111.18%36K
-4,700.00%-96K
75.44%-940K
69.29%-4.34M
59.30%-186K
97.24%-322K
99.77%-2K
-228.78%-3.83M
-344.06%-14.12M
-112.38%-457K
Net common stock issuance
----
----
----
----
----
----
----
----
--1K
----
Net other financing activities
----
----
----
75.90%-482K
--49K
--0
---58K
---473K
---2M
----
Cash from discontinued financing activities
Financing cash flow
111.18%36K
-60.00%-96K
78.14%-940K
70.11%-4.82M
94.42%-137K
97.24%-322K
92.97%-60K
-269.42%-4.3M
-378.61%-16.12M
-166.52%-2.46M
Net cash flow
Beginning cash position
24.32%506K
-55.39%364K
-78.99%376K
-77.56%1.78M
-68.46%827K
-83.26%407K
-93.77%816K
-77.47%1.79M
45.06%7.94M
-32.02%2.62M
Current changes in cash
-182.62%-347K
134.72%142K
98.77%-12K
82.13%-1.1M
83.53%-137K
121.05%420K
96.16%-409K
-118.92%-974K
-348.75%-6.15M
-120.36%-832K
End cash Position
-80.77%159K
24.32%506K
-55.39%364K
-61.76%681K
-61.76%681K
-68.46%827K
-83.26%407K
-93.77%816K
-77.58%1.78M
-77.58%1.78M
Free cash flow
-129.60%-383K
111.36%200K
-221.46%-2.02M
83.93%-1.79M
-146.16%-691K
232.45%1.29M
79.00%-1.76M
80.68%-629K
-444.13%-11.12M
327.71%1.5M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
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--
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Unqualified Opinion with Explanatory Notes
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(Q3)Sep 30, 2018(Q2)Jun 30, 2018(Q1)Mar 31, 2018(FY)Dec 31, 2017(Q4)Dec 31, 2017(Q3)Sep 30, 2017(Q2)Jun 30, 2017(Q1)Mar 31, 2017(FY)Dec 31, 2016(Q4)Dec 31, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -17.67%-586K112.09%846K-172.60%-2.7M-7.68%-14.97M-1,029.67%-11.2M48.07%-498K39.38%-7M1,012.50%3.72M-314.65%-13.9M-504.49%-991K
Net income from continuing operations 125.69%1.42M76.26%-2.87M120.09%2.86M-108.33%-43.33M-144.39%-11.49M-373.07%-5.53M21.88%-12.08M-435.23%-14.24M58.84%-20.8M80.27%-4.7M
Operating gains losses -237.78%-1.79M-58.20%1.93M-137.61%-4M214.64%9.95M62.76%-6.6M-16.65%1.3M-33.92%4.61M1,931.87%10.65M-232.37%-8.68M-686.77%-17.73M
Depreciation and amortization 55.32%73K47.92%71K-68.62%59K-57.84%559K178.63%276K-91.68%47K-91.37%48K-66.19%188K-60.83%1.33M-159.69%-351K
Deferred tax --097.32%-4K28.11%-179K-2,080.00%-763K---299K-512.50%-66K-96.05%-149K-1,096.00%-249K97.14%-35K--0
Other non cash items -97.48%24K-107.69%-45K-97.82%67K-63.09%2.92M-121.99%-1.7M708.47%954K--585K4,225.35%3.07M593.93%7.9M3,312.08%7.71M
Change In working capital -116.39%-319K235.79%1.73M-141.20%-1.58M122.39%4.89M-77.38%392K-43.33%1.95M71.65%-1.28M149.19%3.83M-60.09%2.2M3.65%1.73M
-Change in receivables 66.21%-196K112.16%278K-34.43%1.89M-75.25%75K104.57%60K-119.67%-580K54.71%-2.29M-22.43%2.88M-87.78%303K-288.78%-1.31M
-Change in payables and accrued expense -106.88%-188K-22.83%977K-168.86%-933K250.99%3.91M37.90%-1.45M9.36%2.73M727.45%1.27M71.95%1.36M-55.55%1.11M-1,811.03%-2.33M
-Change in other current assets -90.97%111K103.93%100K268.24%143K-83.76%132K--1.54M--1.23M---2.55M---85K--813K----
-Change in other working capital 96.80%-46K-83.45%379K-720.55%-2.68M2,430.30%769K-95.51%242K29.18%-1.44M1,231.40%2.29M90.86%-326K-104.93%-33K3,127.54%5.39M
Cash from discontinued investing activities -86.38%244K-111.16%-584K115.73%681K360.21%13.21M327.72%10.51M179,300.00%1.79M61.47%5.24M-53.04%-4.33M88.44%2.87M3,713.24%2.46M
Operating cash flow -126.43%-342K114.88%262K-234.21%-2.02M84.06%-1.76M-146.79%-686K234.79%1.29M78.78%-1.76M81.30%-605K-503.01%-11.03M728.25%1.47M
Investing cash flow
Cash flow from continuing investing activities 92.57%-41K-101.70%-24K-25.05%2.95M741.33%5.48M252.85%681K-104.31%-552K193.63%1.41M131.90%3.94M23.41%-854K904.17%193K
Net PPE purchase and sale ---41K---62K--069.89%-28K-112.90%-4K--0--0-20.00%-24K56.74%-93K124.41%31K
Net business purchase and sale --0--0-31.25%2.75M--5.02M--0---288K1,477.89%1.31M4,110.53%4M--0--0
Net other investing changes --0-63.11%38K600.00%200K163.60%484K322.84%685K-102.06%-264K107.77%103K99.68%-40K15.44%-761K182.23%162K
Cash from discontinued investing activities
Investing cash flow 92.57%-41K-101.70%-24K-24.96%2.95M-73.92%5.48M334.18%686K-104.31%-552K193.63%1.41M-58.83%3.93M1,514.96%21M-27.52%158K
Financing cash flow
Cash flow from continuing financing activities 111.18%36K-60.00%-96K78.14%-940K70.11%-4.82M94.42%-137K97.24%-322K92.97%-60K-269.42%-4.3M-378.61%-16.12M-166.52%-2.46M
Net issuance payments of debt 111.18%36K-4,700.00%-96K75.44%-940K69.29%-4.34M59.30%-186K97.24%-322K99.77%-2K-228.78%-3.83M-344.06%-14.12M-112.38%-457K
Net common stock issuance ----------------------------------1K----
Net other financing activities ------------75.90%-482K--49K--0---58K---473K---2M----
Cash from discontinued financing activities
Financing cash flow 111.18%36K-60.00%-96K78.14%-940K70.11%-4.82M94.42%-137K97.24%-322K92.97%-60K-269.42%-4.3M-378.61%-16.12M-166.52%-2.46M
Net cash flow
Beginning cash position 24.32%506K-55.39%364K-78.99%376K-77.56%1.78M-68.46%827K-83.26%407K-93.77%816K-77.47%1.79M45.06%7.94M-32.02%2.62M
Current changes in cash -182.62%-347K134.72%142K98.77%-12K82.13%-1.1M83.53%-137K121.05%420K96.16%-409K-118.92%-974K-348.75%-6.15M-120.36%-832K
End cash Position -80.77%159K24.32%506K-55.39%364K-61.76%681K-61.76%681K-68.46%827K-83.26%407K-93.77%816K-77.58%1.78M-77.58%1.78M
Free cash flow -129.60%-383K111.36%200K-221.46%-2.02M83.93%-1.79M-146.16%-691K232.45%1.29M79.00%-1.76M80.68%-629K-444.13%-11.12M327.71%1.5M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

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Price Target

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