Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
ProShares Ultra Bloomberg Crude Oil ETF
UCO
5
VanEck Oil Services ETF
OIH
| (Q1)Mar 31, 2026 | (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 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Operating Cash Flow (Indirect Method) | ||||||||||
| Cash flow from continuing operating activities | 155.99%31.34B | 26.32%40.83B | -190.02%-16.89B | 2,554.02%39.21B | 505.79%6.26B | 10.77%12.24B | -32.99%32.32B | 99.38%18.76B | -85.99%1.48B | -89.67%1.03B |
| Net income from continuing operations | 196.04%2.51B | 48.12%-15.57B | 47.76%-6.14B | 84.27%-3.07B | -304.16%-3.75B | -338.89%-2.61B | -3,569.71%-30.01B | -334.28%-11.75B | -1,496.11%-19.51B | 132.78%1.84B |
| Operating gains losses | 144.91%447.03M | -134.48%-3.13B | -75.12%1.37B | -138.39%-894.57M | -335.01%-2.61B | -154.76%-995.44M | 219.49%9.06B | 162.51%5.52B | -9.56%2.33B | -163.91%-599.34M |
| Depreciation and amortization | -8.23%6.17B | -10.50%26.38B | -10.78%6.38B | -8.72%6.69B | -15.33%6.59B | -6.80%6.72B | 3.47%29.48B | -1.84%7.16B | 1.79%7.33B | 10.66%7.78B |
| Deferred tax | 276.00%994.16M | 149.42%577.19M | 147.46%646.65M | 23.10%-768.7M | -51.86%434.84M | -9.12%264.4M | -186.38%-1.17B | -213.63%-1.36B | -314.28%-999.65M | 433.32%903.24M |
| Other non cash items | -47.69%1.33B | -12.05%8.21B | 999.20%753.43M | -60.31%2.38B | 1,085.04%2.54B | -17.21%2.54B | -5.02%9.33B | -94.08%68.54M | 76.51%5.98B | -91.86%214.46M |
| Change In working capital | 73.14%11.6B | 142.73%21.98B | -212.66%-22.94B | 1,445.62%34.94B | 138.69%3.28B | 2,877.15%6.7B | -50.75%9.05B | 451.03%20.36B | 34.70%-2.6B | -258.66%-8.47B |
| -Change in receivables | -1,029.29%-21.62B | -34.88%8.14B | -48.13%2.41B | -55.47%4.89B | -153.51%-1.49B | 139.31%2.33B | 204.45%12.5B | 275.57%4.65B | 189.01%10.99B | 146.15%2.78B |
| -Change in inventory | -166.37%-5.93B | 143.02%4.46B | -105.03%-497.62M | 17.24%2.34B | 200.68%4.84B | 57.63%-2.23B | -81.40%1.84B | 34.78%9.9B | 168.45%2B | -306.17%-4.81B |
| -Change in payables and accrued expense | 389.40%42.08B | 240.45%15.17B | -6,477.30%-21.6B | 267.96%27.87B | 104.61%296.04M | -27.66%8.6B | -165.66%-10.8B | 114.86%338.72M | -249.17%-16.59B | -261.49%-6.43B |
| -Change in other current assets | -269.74%-3.82B | -152.21%-234.1M | 436.91%731.39M | -95.41%44.68M | -83.03%21.65M | -30.63%-1.03B | -85.94%448.38M | -72.92%136.22M | 379.98%974.46M | -89.67%127.57M |
| -Change in other current liabilities | 23.10%-45.59M | -191.06%-1.09B | -184.65%-1.02B | 106.26%7.48M | -123.58%-19.29M | -290.06%-59.28M | 335.93%1.19B | 922.24%1.2B | -514.82%-119.47M | -71.13%81.83M |
| -Change in other working capital | 202.63%932.77M | -215.42%-4.47B | -171.71%-2.96B | -240.09%-223.38M | -67.63%-375.26M | -366.72%-908.83M | 580.93%3.87B | 350.49%4.13B | 324.20%159.46M | -105.67%-223.86M |
| Cash from discontinued investing activities | ||||||||||
| Operating cash flow | 155.99%31.34B | 26.32%40.83B | -190.02%-16.89B | 2,554.02%39.21B | 505.79%6.26B | 10.77%12.24B | -32.99%32.32B | 99.38%18.76B | -85.99%1.48B | -89.67%1.03B |
| Investing cash flow | ||||||||||
| Cash flow from continuing investing activities | 405.54%5.68B | -200.26%-11.68B | 10.44%-4.16B | -136.59%-3.26B | -125.92%-2.4B | 73.82%-1.86B | 67.98%-3.89B | -45.89%-4.65B | 68.89%-1.38B | 8,043.02%9.24B |
| Net PPE purchase and sale | 152.91%1.23B | 15.15%-13.37B | 27.01%-3.71B | -26.65%-3.86B | -10.45%-3.48B | 48.14%-2.32B | -4.50%-15.76B | -30.82%-5.09B | 20.86%-3.05B | -32.27%-3.15B |
| Net business purchase and sale | --4.4B | -53.62%424.75M | 1,573.29%790.05M | --0 | -137.68%-365.3M | --0 | -14.60%915.75M | -104.65%-53.63M | --0 | 1,307.94%969.38M |
| Net investment purchase and sale | -58.43%86.04M | -118.47%-1.66B | -300.06%-2.01B | -101.27%-14.69M | -98.39%160.43M | 106.50%206.95M | 496.69%8.97B | 161.09%1B | 204.38%1.16B | 4,534.82%9.99B |
| Net other investing changes | ---363.03M | 108.50%63.14M | --0 | ---- | ---- | ---- | -226.54%-742.85M | -190.85%-800M | --0 | --0 |
| Cash from discontinued investing activities | ||||||||||
| Investing cash flow | 405.54%5.68B | -200.26%-11.68B | 10.44%-4.16B | -136.59%-3.26B | -125.92%-2.4B | 73.82%-1.86B | 67.98%-3.89B | -45.89%-4.65B | 68.89%-1.38B | 8,043.02%9.24B |
| Financing cash flow | ||||||||||
| Cash flow from continuing financing activities | 56.89%-2.96B | -24.02%-41.84B | 242.13%7.24B | -3,103.63%-29.49B | 48.66%-12.72B | -134.29%-6.88B | -34.29%-33.74B | 38.17%-5.1B | -117.05%-920.37M | -90.76%-24.78B |
| Net issuance payments of debt | 76.39%-1.01B | -66.62%-30.9B | 410.43%8.56B | -1,231.41%-27.33B | 58.71%-7.86B | -607.55%-4.26B | -42.18%-18.55B | 56.10%-2.76B | -72.97%2.42B | -95.55%-19.04B |
| Cash dividends paid | 9.37%-18.12M | 28.14%-2.52B | --0 | -755.15%-123.49M | 29.80%-2.37B | 53.27%-20M | -176.03%-3.5B | -6,422,307,400.00%-64.22M | 73.20%-14.44M | -180.61%-3.38B |
| Net other financing activities | ---- | --195M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Cash from discontinued financing activities | ||||||||||
| Financing cash flow | 56.89%-2.96B | -24.02%-41.84B | 242.13%7.24B | -3,103.63%-29.49B | 48.66%-12.72B | -134.29%-6.88B | -34.29%-33.74B | 38.17%-5.1B | -117.05%-920.37M | -90.76%-24.78B |
| Net cash flow | ||||||||||
| Beginning cash position | -42.20%18.93B | -12.26%32.75B | 38.08%34.11B | 0.46%27.63B | -7.70%36.73B | -12.26%32.75B | 43.87%37.32B | -38.28%24.7B | -2.93%27.5B | 29.91%39.8B |
| Current changes in cash | 871.33%34.06B | -139.21%-12.69B | -253.19%-13.81B | 888.47%6.47B | 38.96%-8.86B | 246.04%3.51B | -148.39%-5.3B | 545.51%9.01B | -107.12%-820.25M | -368.52%-14.51B |
| Effect of exchange rate changes | 175.19%1.33B | -243.43%-1.05B | -33.78%-1.3B | 100.70%13.82M | -111.09%-245.59M | -67.17%481.57M | 75.79%731.01M | -41.37%-970.51M | -1,193.12%-1.98B | 178.42%2.21B |
| End cash Position | 47.88%54.32B | -42.20%18.93B | -42.20%18.93B | 38.08%34.11B | 0.46%27.63B | -7.70%36.73B | -12.26%32.75B | -12.26%32.75B | -38.28%24.7B | -2.93%27.5B |
| Free cash flow | 198.75%27.73B | 62.53%26.81B | -251.20%-20.6B | 2,333.84%35.34B | 231.10%2.78B | 41.25%9.28B | -42.43%16.49B | 229.29%13.63B | -123.88%-1.58B | -146.34%-2.12B |
| Currency Unit | THB | THB | THB | THB | THB | THB | THB | THB | THB | THB |