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STAR EQUITY HOLDINGS INC. PFD PERPETUAL SER A 10.0% (STRRP)

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  • 10.099
  • +0.000+0.00%
Close Apr 24 16:00 ET
  • 10.099
  • 0.0000.00%
Post 20:01 ET
23.93MMarket Cap0.00P/E (TTM)

STAR EQUITY HOLDINGS INC. PFD PERPETUAL SER A 10.0% (STRRP) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-160.32%-7.26M
-290.79%-3.85M
-318.86%-2.74M
103.25%139K
55.07%-802K
-984.76%-2.79M
-39.45%2.02M
274.72%1.25M
-261.31%-4.27M
63.97%-1.79M
Net income from continuing operations
-24.05%-5.92M
-192.14%-1.71M
-108.51%-1.76M
-56.01%-688K
39.41%-1.76M
-317.02%-4.77M
-179.81%-585K
-258.72%-846K
-176.30%-441K
-918.64%-2.9M
Operating gains losses
79.22%-396K
-121.81%-268K
----
---5.29M
---164K
-278.93%-1.91M
13,555.56%1.23M
----
----
----
Depreciation and amortization
52.68%2.08M
177.12%884K
86.03%666K
-14.63%245K
-28.72%283K
-7.23%1.36M
-18.41%319K
-4.28%358K
-18.93%287K
14.08%397K
Deferred tax
77.07%942K
104.49%1.5M
-940.43%-395K
-632.43%-197K
110.80%31K
148.72%532K
169.73%735K
-84.69%47K
172.55%37K
2.38%-287K
Other non cash items
-2,641.67%-305K
-155.06%-212K
----
-610.68%-526K
152.00%252K
100.04%12K
135.98%385K
-143.73%-164K
100.38%103K
-73.47%100K
Change In working capital
-347.53%-5.43M
-462.81%-4.7M
-224.03%-1.5M
112.01%523K
-60.82%248K
71.16%-1.21M
-44.73%1.3M
157.53%1.21M
-414.37%-4.35M
110.85%633K
-Change in receivables
-102.98%-2.59M
-67.96%925K
-232.39%-1.17M
66.66%-1.14M
26.26%-1.2M
-118.42%-1.28M
-52.24%2.89M
-57.95%886K
-3,190.38%-3.42M
-44.28%-1.63M
-Change in inventory
--2.11M
--301K
----
-56.03%777K
-121.85%-2.88M
--0
--0
33.51%259K
272.56%1.77M
-322.60%-1.3M
-Change in prepaid assets
67.04%-175K
127.70%118K
-354.07%-625K
87.46%658K
53.56%-326K
51.95%-531K
42.43%-426K
-49.17%246K
344.30%351K
24.35%-702K
-Change in payables and accrued expense
-555.94%-2.54M
-216.24%-3.8M
-2,018.99%-1.52M
178.41%1.01M
-40.12%1.77M
105.55%556K
59.43%-1.2M
101.68%79K
-190.99%-1.28M
178.33%2.96M
-Change in other current assets
----
----
----
68.04%-503K
455.06%877K
-3,641.86%-1.52M
103.55%20K
-122.64%-127K
-328.88%-1.57M
-61.74%158K
-Change in other current liabilities
----
----
----
187.65%1.42M
101.71%10K
4.14%-1.76M
-1,103.36%-1.79M
-66.84%125K
141.30%494K
32.49%-586K
-Change in other working capital
-6,344.44%-2.25M
----
----
11.91%-747K
262.73%1.2M
106.35%36K
240.19%150K
420.62%1.76M
-257.91%-848K
173.50%330K
Cash from discontinued investing activities
Operating cash flow
-160.32%-7.26M
-290.79%-3.85M
-318.86%-2.74M
103.25%139K
55.07%-802K
-984.76%-2.79M
-39.45%2.02M
274.72%1.25M
-261.31%-4.27M
63.97%-1.79M
Investing cash flow
Cash flow from continuing investing activities
331.95%4.57M
-39,625.00%-1.58M
619,300.00%6.19M
-164.29%-37K
-100.56%-6K
149.12%1.06M
100.19%4K
104.00%1K
-1,300.00%-14K
2,907.89%1.07M
Capital expenditure reported
-9,361.11%-1.7M
-26,225.00%-1.05M
-61,600.00%-615K
-164.29%-37K
33.33%-6K
81.82%-18K
111.43%4K
104.00%1K
-1,300.00%-14K
76.32%-9K
Net PPE purchase and sale
--601K
--458K
----
-2,721.05%-536K
-7.79%-263K
--0
--0
2,097.99%7.95M
-101.59%-19K
-83.46%-244K
Net business purchase and sale
--6.84M
--0
----
--0
---4.19M
--0
--0
---575K
---19.1M
--0
Net investment purchase and sale
---1.31M
---1.14M
----
-63.41%285K
--0
--0
--0
--0
397.33%779K
-498.82%-509K
Net other investing changes
-86.15%149K
----
----
--75K
-93.12%74K
--1.08M
--0
--0
--0
--1.08M
Cash from discontinued investing activities
Investing cash flow
331.95%4.57M
-39,625.00%-1.58M
619,300.00%6.19M
-164.29%-37K
-100.56%-6K
149.12%1.06M
100.19%4K
104.00%1K
-1,300.00%-14K
2,907.89%1.07M
Financing cash flow
Cash flow from continuing financing activities
36.88%-1.96M
630.08%652K
-546.37%-2.58M
98.45%-23K
99.27%-8K
-26.46%-3.1M
40.58%-123K
-86.45%-399K
20.50%-1.49M
-567.68%-1.1M
Net issuance payments of debt
--1.87M
--1.54M
----
-73.00%2.54M
2,035.14%2.15M
--0
--0
-884.67%-3.23M
2,114.86%9.39M
96.78%-111K
Net common stock issuance
4.94%-2.64M
---66K
-554.45%-2.57M
--0
--0
-189.36%-2.78M
--0
-95.52%-393K
-152.36%-1.45M
---936K
Cash dividends paid
---740K
---673K
----
-40.50%-673K
0.00%-479K
--0
--0
-12.94%-541K
0.00%-479K
0.00%-479K
Proceeds from stock option exercised by employees
-37.92%-451K
-20.33%-148K
-4,433.33%-272K
41.03%-23K
94.97%-8K
-34.02%-327K
-459.09%-123K
53.85%-6K
13.33%-39K
3.05%-159K
Net other financing activities
----
----
----
----
----
98.24%-22K
----
----
----
---15K
Cash from discontinued financing activities
Financing cash flow
36.88%-1.96M
630.08%652K
-546.37%-2.58M
98.45%-23K
99.27%-8K
-26.46%-3.1M
40.58%-123K
-86.45%-399K
20.50%-1.49M
-567.68%-1.1M
Net cash flow
Beginning cash position
-23.75%17.67M
12.33%18.53M
14.69%17.52M
-18.02%17.21M
-23.75%17.67M
-15.67%23.17M
-24.95%16.49M
-33.58%15.28M
-5.77%21M
-15.67%23.17M
Current changes in cash
3.89%-4.64M
-351.60%-4.78M
2.81%877K
101.37%79K
54.99%-816K
-12.56%-4.83M
82.96%1.9M
189.32%853K
-840.00%-5.77M
64.84%-1.81M
Effect of exchange rate changes
157.44%386K
54.20%-333K
-65.10%126K
342.31%230K
201.40%363K
-4,380.00%-672K
-569.03%-727K
594.52%361K
183.87%52K
-922.86%-358K
End cash Position
-24.10%13.41M
-24.10%13.41M
12.33%18.53M
14.69%17.52M
-18.02%17.21M
-23.75%17.67M
-23.75%17.67M
-24.95%16.49M
-33.58%15.28M
-5.77%21M
Free cash flow
-219.36%-8.96M
-342.05%-4.9M
-367.81%-3.35M
102.38%102K
54.96%-808K
-1,398.61%-2.81M
-38.69%2.02M
268.96%1.25M
-261.90%-4.29M
64.06%-1.79M
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
--
--
--
--
Unqualified Opinion
--
--
--
--
(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(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -160.32%-7.26M-290.79%-3.85M-318.86%-2.74M103.25%139K55.07%-802K-984.76%-2.79M-39.45%2.02M274.72%1.25M-261.31%-4.27M63.97%-1.79M
Net income from continuing operations -24.05%-5.92M-192.14%-1.71M-108.51%-1.76M-56.01%-688K39.41%-1.76M-317.02%-4.77M-179.81%-585K-258.72%-846K-176.30%-441K-918.64%-2.9M
Operating gains losses 79.22%-396K-121.81%-268K-------5.29M---164K-278.93%-1.91M13,555.56%1.23M------------
Depreciation and amortization 52.68%2.08M177.12%884K86.03%666K-14.63%245K-28.72%283K-7.23%1.36M-18.41%319K-4.28%358K-18.93%287K14.08%397K
Deferred tax 77.07%942K104.49%1.5M-940.43%-395K-632.43%-197K110.80%31K148.72%532K169.73%735K-84.69%47K172.55%37K2.38%-287K
Other non cash items -2,641.67%-305K-155.06%-212K-----610.68%-526K152.00%252K100.04%12K135.98%385K-143.73%-164K100.38%103K-73.47%100K
Change In working capital -347.53%-5.43M-462.81%-4.7M-224.03%-1.5M112.01%523K-60.82%248K71.16%-1.21M-44.73%1.3M157.53%1.21M-414.37%-4.35M110.85%633K
-Change in receivables -102.98%-2.59M-67.96%925K-232.39%-1.17M66.66%-1.14M26.26%-1.2M-118.42%-1.28M-52.24%2.89M-57.95%886K-3,190.38%-3.42M-44.28%-1.63M
-Change in inventory --2.11M--301K-----56.03%777K-121.85%-2.88M--0--033.51%259K272.56%1.77M-322.60%-1.3M
-Change in prepaid assets 67.04%-175K127.70%118K-354.07%-625K87.46%658K53.56%-326K51.95%-531K42.43%-426K-49.17%246K344.30%351K24.35%-702K
-Change in payables and accrued expense -555.94%-2.54M-216.24%-3.8M-2,018.99%-1.52M178.41%1.01M-40.12%1.77M105.55%556K59.43%-1.2M101.68%79K-190.99%-1.28M178.33%2.96M
-Change in other current assets ------------68.04%-503K455.06%877K-3,641.86%-1.52M103.55%20K-122.64%-127K-328.88%-1.57M-61.74%158K
-Change in other current liabilities ------------187.65%1.42M101.71%10K4.14%-1.76M-1,103.36%-1.79M-66.84%125K141.30%494K32.49%-586K
-Change in other working capital -6,344.44%-2.25M--------11.91%-747K262.73%1.2M106.35%36K240.19%150K420.62%1.76M-257.91%-848K173.50%330K
Cash from discontinued investing activities
Operating cash flow -160.32%-7.26M-290.79%-3.85M-318.86%-2.74M103.25%139K55.07%-802K-984.76%-2.79M-39.45%2.02M274.72%1.25M-261.31%-4.27M63.97%-1.79M
Investing cash flow
Cash flow from continuing investing activities 331.95%4.57M-39,625.00%-1.58M619,300.00%6.19M-164.29%-37K-100.56%-6K149.12%1.06M100.19%4K104.00%1K-1,300.00%-14K2,907.89%1.07M
Capital expenditure reported -9,361.11%-1.7M-26,225.00%-1.05M-61,600.00%-615K-164.29%-37K33.33%-6K81.82%-18K111.43%4K104.00%1K-1,300.00%-14K76.32%-9K
Net PPE purchase and sale --601K--458K-----2,721.05%-536K-7.79%-263K--0--02,097.99%7.95M-101.59%-19K-83.46%-244K
Net business purchase and sale --6.84M--0------0---4.19M--0--0---575K---19.1M--0
Net investment purchase and sale ---1.31M---1.14M-----63.41%285K--0--0--0--0397.33%779K-498.82%-509K
Net other investing changes -86.15%149K----------75K-93.12%74K--1.08M--0--0--0--1.08M
Cash from discontinued investing activities
Investing cash flow 331.95%4.57M-39,625.00%-1.58M619,300.00%6.19M-164.29%-37K-100.56%-6K149.12%1.06M100.19%4K104.00%1K-1,300.00%-14K2,907.89%1.07M
Financing cash flow
Cash flow from continuing financing activities 36.88%-1.96M630.08%652K-546.37%-2.58M98.45%-23K99.27%-8K-26.46%-3.1M40.58%-123K-86.45%-399K20.50%-1.49M-567.68%-1.1M
Net issuance payments of debt --1.87M--1.54M-----73.00%2.54M2,035.14%2.15M--0--0-884.67%-3.23M2,114.86%9.39M96.78%-111K
Net common stock issuance 4.94%-2.64M---66K-554.45%-2.57M--0--0-189.36%-2.78M--0-95.52%-393K-152.36%-1.45M---936K
Cash dividends paid ---740K---673K-----40.50%-673K0.00%-479K--0--0-12.94%-541K0.00%-479K0.00%-479K
Proceeds from stock option exercised by employees -37.92%-451K-20.33%-148K-4,433.33%-272K41.03%-23K94.97%-8K-34.02%-327K-459.09%-123K53.85%-6K13.33%-39K3.05%-159K
Net other financing activities --------------------98.24%-22K---------------15K
Cash from discontinued financing activities
Financing cash flow 36.88%-1.96M630.08%652K-546.37%-2.58M98.45%-23K99.27%-8K-26.46%-3.1M40.58%-123K-86.45%-399K20.50%-1.49M-567.68%-1.1M
Net cash flow
Beginning cash position -23.75%17.67M12.33%18.53M14.69%17.52M-18.02%17.21M-23.75%17.67M-15.67%23.17M-24.95%16.49M-33.58%15.28M-5.77%21M-15.67%23.17M
Current changes in cash 3.89%-4.64M-351.60%-4.78M2.81%877K101.37%79K54.99%-816K-12.56%-4.83M82.96%1.9M189.32%853K-840.00%-5.77M64.84%-1.81M
Effect of exchange rate changes 157.44%386K54.20%-333K-65.10%126K342.31%230K201.40%363K-4,380.00%-672K-569.03%-727K594.52%361K183.87%52K-922.86%-358K
End cash Position -24.10%13.41M-24.10%13.41M12.33%18.53M14.69%17.52M-18.02%17.21M-23.75%17.67M-23.75%17.67M-24.95%16.49M-33.58%15.28M-5.77%21M
Free cash flow -219.36%-8.96M-342.05%-4.9M-367.81%-3.35M102.38%102K54.96%-808K-1,398.61%-2.81M-38.69%2.02M268.96%1.25M-261.90%-4.29M64.06%-1.79M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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