US Stock MarketDetailed Quotes

System1 (SST)

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  • 2.910
  • +0.020+0.71%
Trading May 28 10:44 ET
23.72MMarket Cap-0.24P/E (TTM)

System1 (SST) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
-63.86%-26.13M
21.08%-4.15M
-1,477.98%-10.64M
-40,940.00%-2.05M
145.78%24.49M
0.24%-15.95M
78.76%-5.26M
104.10%772K
99.93%-5K
39.31%9.97M
Net income from continuing operations
-190.04%-57.59M
16.55%-81.19M
1.28%-17.79M
28.19%-22M
38.18%-21.54M
-43.98%-19.86M
65.93%-97.3M
50.67%-18.02M
81.22%-30.64M
18.95%-34.85M
Operating gains losses
----
98.78%-275K
98.55%-304K
-100.35%-71K
103.52%68K
100.16%32K
-2,069.79%-22.5M
-362.31%-21.02M
372.56%20.39M
-195.88%-1.93M
Depreciation and amortization
-40.77%12.13M
3.44%82.86M
3.95%21.03M
3.35%20.79M
3.05%20.57M
3.40%20.48M
-23.86%80.11M
1.95%20.23M
-28.00%20.12M
-28.85%19.96M
Deferred tax
21.77%-460K
-4.14%-2.19M
-36.59%-713K
-54.55%-493K
34.65%-396K
10.37%-588K
90.58%-2.1M
82.28%-522K
93.75%-319K
90.55%-606K
Other non cash items
-13.49%1.23M
-96.94%176K
-118.59%-4M
99.03%-280K
-74.77%3.03M
45.95%1.42M
-43.35%5.74M
1,107.58%21.51M
-930.65%-28.76M
218.38%12.02M
Change In working capital
6.53%-19.53M
-549.14%-18.97M
-44.23%-11.75M
-1,464.04%-5.35M
59.48%19.03M
-228.42%-20.89M
43.38%-2.92M
54.65%-8.15M
-105.66%-342K
139.29%11.93M
-Change in receivables
248.88%4.03M
172.43%4.93M
31.65%-3.63M
265.82%15.86M
8.17%-8.46M
-65.87%1.16M
-132.61%-6.8M
-273.07%-5.32M
166.34%4.34M
-288.88%-9.21M
-Change in prepaid assets
22.68%-2.51M
-99.16%24K
487.04%2.4M
-105.93%-143K
-66.58%1.01M
-8.20%-3.25M
-45.34%2.85M
-91.03%409K
26.10%2.41M
373.51%3.03M
-Change in payables and accrued expense
-10.02%-20.67M
-917.44%-23.67M
-314.29%-10.81M
-200.27%-21.04M
44.94%26.97M
-208.05%-18.79M
111.04%2.9M
91.68%-2.61M
-170.93%-7.01M
1,532.46%18.61M
-Change in other current liabilities
-1,830.00%-386K
86.35%-254K
146.13%292K
65.85%-28K
10.91%-498K
96.59%-20K
90.82%-1.86M
-119.43%-633K
99.17%-82K
86.16%-559K
-Change in other working capital
----
----
----
----
----
253.85%100K
-102.38%-364K
-110.80%-273K
-104.37%-107K
-98.03%81K
Cash from discontinued investing activities
Operating cash flow
-63.86%-26.13M
21.08%-4.15M
-1,477.98%-10.64M
-40,940.00%-2.05M
145.78%24.49M
0.24%-15.95M
78.76%-5.26M
104.10%772K
99.93%-5K
39.31%9.97M
Investing cash flow
Cash flow from continuing investing activities
-40.50%-2.18M
-7.48%-6.72M
-25.83%-1.63M
-14.05%-1.99M
2.32%-1.56M
4.56%-1.55M
-103.08%-6.26M
-100.62%-1.29M
2.62%-1.74M
40.36%-1.6M
Capital expenditure reported
-77.26%-2.18M
-2.86%-6.4M
-25.83%-1.63M
-16.11%-1.99M
2.32%-1.56M
24.35%-1.23M
-11.00%-6.22M
-69.46%-1.29M
-26.23%-1.71M
11.77%-1.6M
Net PPE purchase and sale
--0
-48.39%-46K
--0
--0
--0
---46K
98.68%-31K
--0
92.86%-31K
--0
Net intangibles purchase and sale
--0
---275K
--0
--0
--0
---275K
--0
--0
--0
--0
Net business purchase and sale
----
----
----
----
----
----
--0
----
----
----
Cash from discontinued investing activities
Investing cash flow
-40.50%-2.18M
-7.48%-6.72M
-25.83%-1.63M
-14.05%-1.99M
2.32%-1.56M
4.56%-1.55M
-103.08%-6.26M
-100.62%-1.29M
2.62%-1.74M
40.36%-1.6M
Financing cash flow
Cash flow from continuing financing activities
-45.98%-7.74M
148.94%31.31M
986.29%44.41M
0.16%-5.01M
51.65%-2.79M
88.99%-5.3M
13.65%-63.96M
93.14%-5.01M
-160.39%-5.02M
-2,345.34%-5.77M
Net issuance payments of debt
-50.00%-7.5M
148.55%30M
1,000.00%45M
0.00%-5M
12.51%-5M
89.15%-5M
10.43%-61.79M
93.15%-5M
-155.56%-5M
---5.72M
Net common stock issuance
---202K
--1.69M
---557K
--0
--2.25M
--0
--0
--0
--0
----
Cash dividends paid
----
----
----
----
----
---12K
----
----
----
----
Net other financing activities
85.96%-41K
82.16%-388K
-68.42%-64K
233.33%20K
7.14%-52K
86.01%-292K
57.31%-2.18M
64.49%-38K
100.97%6K
80.07%-56K
Cash from discontinued financing activities
Financing cash flow
-45.98%-7.74M
148.94%31.31M
986.29%44.41M
0.16%-5.01M
51.65%-2.79M
88.99%-5.3M
13.65%-63.96M
93.14%-5.01M
-160.39%-5.02M
-2,345.34%-5.77M
Net cash flow
Beginning cash position
30.26%88.51M
-52.63%67.95M
-23.62%56.21M
-18.69%65.27M
-41.87%45.16M
-52.63%67.95M
267.11%143.45M
194.10%73.59M
206.51%80.28M
257.89%77.68M
Current changes in cash
-58.12%-36.05M
127.08%20.44M
681.11%32.15M
-33.74%-9.05M
675.33%20.14M
65.33%-22.8M
-172.31%-75.47M
-104.68%-5.53M
-818.59%-6.77M
-38.74%2.6M
Effect of exchange rate changes
-811.11%-64K
506.45%126K
235.71%152K
-105.75%-5K
-328.57%-30K
800.00%9K
-410.00%-31K
-146.47%-112K
120.23%87K
-102.88%-7K
End cash Position
16.03%52.39M
30.26%88.51M
30.26%88.51M
-23.62%56.21M
-18.69%65.27M
-41.87%45.16M
-52.63%67.95M
-52.63%67.95M
194.10%73.59M
206.51%80.28M
Free cash flow
-61.79%-28.31M
5.56%-10.87M
-2,254.13%-12.27M
-131.05%-4.04M
174.02%22.93M
0.64%-17.5M
64.80%-11.51M
97.39%-521K
80.68%-1.75M
86.93%8.37M
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
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
(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 -63.86%-26.13M21.08%-4.15M-1,477.98%-10.64M-40,940.00%-2.05M145.78%24.49M0.24%-15.95M78.76%-5.26M104.10%772K99.93%-5K39.31%9.97M
Net income from continuing operations -190.04%-57.59M16.55%-81.19M1.28%-17.79M28.19%-22M38.18%-21.54M-43.98%-19.86M65.93%-97.3M50.67%-18.02M81.22%-30.64M18.95%-34.85M
Operating gains losses ----98.78%-275K98.55%-304K-100.35%-71K103.52%68K100.16%32K-2,069.79%-22.5M-362.31%-21.02M372.56%20.39M-195.88%-1.93M
Depreciation and amortization -40.77%12.13M3.44%82.86M3.95%21.03M3.35%20.79M3.05%20.57M3.40%20.48M-23.86%80.11M1.95%20.23M-28.00%20.12M-28.85%19.96M
Deferred tax 21.77%-460K-4.14%-2.19M-36.59%-713K-54.55%-493K34.65%-396K10.37%-588K90.58%-2.1M82.28%-522K93.75%-319K90.55%-606K
Other non cash items -13.49%1.23M-96.94%176K-118.59%-4M99.03%-280K-74.77%3.03M45.95%1.42M-43.35%5.74M1,107.58%21.51M-930.65%-28.76M218.38%12.02M
Change In working capital 6.53%-19.53M-549.14%-18.97M-44.23%-11.75M-1,464.04%-5.35M59.48%19.03M-228.42%-20.89M43.38%-2.92M54.65%-8.15M-105.66%-342K139.29%11.93M
-Change in receivables 248.88%4.03M172.43%4.93M31.65%-3.63M265.82%15.86M8.17%-8.46M-65.87%1.16M-132.61%-6.8M-273.07%-5.32M166.34%4.34M-288.88%-9.21M
-Change in prepaid assets 22.68%-2.51M-99.16%24K487.04%2.4M-105.93%-143K-66.58%1.01M-8.20%-3.25M-45.34%2.85M-91.03%409K26.10%2.41M373.51%3.03M
-Change in payables and accrued expense -10.02%-20.67M-917.44%-23.67M-314.29%-10.81M-200.27%-21.04M44.94%26.97M-208.05%-18.79M111.04%2.9M91.68%-2.61M-170.93%-7.01M1,532.46%18.61M
-Change in other current liabilities -1,830.00%-386K86.35%-254K146.13%292K65.85%-28K10.91%-498K96.59%-20K90.82%-1.86M-119.43%-633K99.17%-82K86.16%-559K
-Change in other working capital --------------------253.85%100K-102.38%-364K-110.80%-273K-104.37%-107K-98.03%81K
Cash from discontinued investing activities
Operating cash flow -63.86%-26.13M21.08%-4.15M-1,477.98%-10.64M-40,940.00%-2.05M145.78%24.49M0.24%-15.95M78.76%-5.26M104.10%772K99.93%-5K39.31%9.97M
Investing cash flow
Cash flow from continuing investing activities -40.50%-2.18M-7.48%-6.72M-25.83%-1.63M-14.05%-1.99M2.32%-1.56M4.56%-1.55M-103.08%-6.26M-100.62%-1.29M2.62%-1.74M40.36%-1.6M
Capital expenditure reported -77.26%-2.18M-2.86%-6.4M-25.83%-1.63M-16.11%-1.99M2.32%-1.56M24.35%-1.23M-11.00%-6.22M-69.46%-1.29M-26.23%-1.71M11.77%-1.6M
Net PPE purchase and sale --0-48.39%-46K--0--0--0---46K98.68%-31K--092.86%-31K--0
Net intangibles purchase and sale --0---275K--0--0--0---275K--0--0--0--0
Net business purchase and sale --------------------------0------------
Cash from discontinued investing activities
Investing cash flow -40.50%-2.18M-7.48%-6.72M-25.83%-1.63M-14.05%-1.99M2.32%-1.56M4.56%-1.55M-103.08%-6.26M-100.62%-1.29M2.62%-1.74M40.36%-1.6M
Financing cash flow
Cash flow from continuing financing activities -45.98%-7.74M148.94%31.31M986.29%44.41M0.16%-5.01M51.65%-2.79M88.99%-5.3M13.65%-63.96M93.14%-5.01M-160.39%-5.02M-2,345.34%-5.77M
Net issuance payments of debt -50.00%-7.5M148.55%30M1,000.00%45M0.00%-5M12.51%-5M89.15%-5M10.43%-61.79M93.15%-5M-155.56%-5M---5.72M
Net common stock issuance ---202K--1.69M---557K--0--2.25M--0--0--0--0----
Cash dividends paid -----------------------12K----------------
Net other financing activities 85.96%-41K82.16%-388K-68.42%-64K233.33%20K7.14%-52K86.01%-292K57.31%-2.18M64.49%-38K100.97%6K80.07%-56K
Cash from discontinued financing activities
Financing cash flow -45.98%-7.74M148.94%31.31M986.29%44.41M0.16%-5.01M51.65%-2.79M88.99%-5.3M13.65%-63.96M93.14%-5.01M-160.39%-5.02M-2,345.34%-5.77M
Net cash flow
Beginning cash position 30.26%88.51M-52.63%67.95M-23.62%56.21M-18.69%65.27M-41.87%45.16M-52.63%67.95M267.11%143.45M194.10%73.59M206.51%80.28M257.89%77.68M
Current changes in cash -58.12%-36.05M127.08%20.44M681.11%32.15M-33.74%-9.05M675.33%20.14M65.33%-22.8M-172.31%-75.47M-104.68%-5.53M-818.59%-6.77M-38.74%2.6M
Effect of exchange rate changes -811.11%-64K506.45%126K235.71%152K-105.75%-5K-328.57%-30K800.00%9K-410.00%-31K-146.47%-112K120.23%87K-102.88%-7K
End cash Position 16.03%52.39M30.26%88.51M30.26%88.51M-23.62%56.21M-18.69%65.27M-41.87%45.16M-52.63%67.95M-52.63%67.95M194.10%73.59M206.51%80.28M
Free cash flow -61.79%-28.31M5.56%-10.87M-2,254.13%-12.27M-131.05%-4.04M174.02%22.93M0.64%-17.5M64.80%-11.51M97.39%-521K80.68%-1.75M86.93%8.37M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion------
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