Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
VanEck Oil Services ETF
OIH
5
ProShares Ultra Bloomberg Crude Oil ETF
UCO
| (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 | -26.90%40.38B | -42.84%10.22B | -125.51%-1.64B | 1.72%15.21B | 3.95%16.59B | 25.81%55.23B | 139.68%17.88B | -45.54%6.44B | 29.08%14.96B | 22.47%15.96B |
| Net income from continuing operations | 215.02%30.94B | 110.79%4.55B | -64.58%4.42B | 3,758.36%12.13B | 306.02%9.84B | -195.65%-26.9B | -457.52%-42.12B | 707.38%12.48B | -86.16%314.48M | -80.65%2.42B |
| Operating gains losses | -103.33%-1.53B | -98.70%684.47M | 93.51%-761.59M | -149.17%-520.42M | -124.70%-928.32M | 955.74%45.82B | 1,282.21%52.75B | -748.80%-11.74B | -9.36%1.06B | 197.09%3.76B |
| Depreciation and amortization | 7.41%13.99B | 10.86%3.85B | 15.18%3.84B | -0.86%3.23B | 3.70%3.08B | 14.38%13.03B | 11.07%3.48B | 12.60%3.33B | 17.73%3.25B | 16.87%2.97B |
| Deferred tax | -760.42%-2.47B | -784.35%-2.48B | 511.38%5.59M | -85.82%824.63K | -80.90%1.43M | 128.33%374.5M | 153.05%362.55M | 99.52%-1.36M | 101.90%5.81M | 114.67%7.49M |
| Other non cash items | -70.09%3.96B | 43.49%-4.67B | -38.58%8.35B | -170.28%-2.81B | -20.88%3.09B | -5.33%13.25B | -328.99%-8.26B | 175.81%13.6B | 93.83%4B | 15.14%3.91B |
| Change In working capital | -71.81%-14.1B | 29.00%-8.68B | -453.99%-9.64B | 6.67%3.56B | 132.65%664.63M | -60.96%-8.21B | -89.88%-12.23B | 267.35%2.72B | 20.06%3.33B | 6.51%-2.04B |
| -Change in receivables | -59.20%1.64B | 4.29%3.28B | -354.50%-934.37M | -22.93%1.19B | -81.28%-1.9B | 214.15%4.01B | 250.73%3.14B | 169.24%367.14M | 168.67%1.54B | 28.68%-1.05B |
| -Change in inventory | -269.88%-681.16M | 112.56%26.17M | -168.27%-211.02M | -228.92%-189.24M | -35.03%-307.07M | 62.73%-184.16M | -233.73%-208.32M | 172.11%309.11M | 73.04%-57.53M | -2,829.44%-227.41M |
| -Change in payables and accrued expense | 55.53%-3.14B | 90.90%-396.25M | 81.88%-491.88M | -406.39%-2.32B | -85.99%65.3M | -1,389.41%-7.06B | -144.94%-4.35B | -1,489.13%-2.71B | -117.86%-457.58M | 809.24%466.08M |
| -Change in other current assets | -212.09%-4.01B | -69.07%-4.51B | -542.87%-8.2B | 741.16%4.34B | 2,018.50%4.36B | 56.60%-1.29B | -121.84%-2.67B | 586.20%1.85B | 46.25%-676.91M | 271.05%205.85M |
| -Change in other current liabilities | 99.69%-2.45M | -103.62%-571.5K | 98.23%-543K | 99.89%-605.5K | 99.66%-730.5K | -370.49%-789.24M | 121.78%15.78M | -336.24%-30.64M | -221.29%-560.56M | -135.10%-213.81M |
| -Change in other working capital | -172.93%-7.9B | 13.20%-7.08B | -93.04%204.54M | -84.93%534.03M | -27.58%-1.55B | -380.62%-2.89B | -459.97%-8.16B | 30.12%2.94B | 443.81%3.54B | -188.06%-1.22B |
| Cash from discontinued investing activities | ||||||||||
| Operating cash flow | -26.90%40.38B | -18.44%8.24B | -97.66%332.9M | 1.72%15.21B | 3.95%16.59B | 25.81%55.23B | 35.49%10.11B | 20.17%14.21B | 29.08%14.96B | 22.47%15.96B |
| Investing cash flow | ||||||||||
| Cash flow from continuing investing activities | 4.90%-24.93B | -31.94%-8.99B | 736.44%6.47B | -216.06%-17.91B | 64.61%-4.5B | -66.34%-26.21B | -78.92%-6.81B | 86.41%-1.02B | -124.30%-5.67B | -554.49%-12.72B |
| Net PPE purchase and sale | -183.84%-12.93B | -130.42%-1.89B | -76.17%-1.48B | -551.83%-9.14B | 95.10%-417.88M | 9.36%-4.56B | 1,629.13%6.22B | 61.18%-842.44M | -647.43%-1.4B | -215.21%-8.53B |
| Net intangibles purchase and sale | -369.22%-11M | -3,766.09%-10.94M | --0 | ---- | ---- | 98.41%-2.34M | 99.80%-283K | -49.49%-2.06M | ---- | ---- |
| Net business purchase and sale | --0 | ---- | ---- | ---- | ---- | ---9M | ---- | ---- | ---- | ---- |
| Net investment purchase and sale | 11.59%-15.52B | 3.26%-7.08B | 4,055.58%6.85B | -91.43%-10.36B | 1.11%-4.93B | -23.72%-17.55B | -66.40%-7.32B | 102.56%164.91M | -63.85%-5.41B | -9,874.59%-4.99B |
| Net other investing changes | 88.17%-824.95M | 74.80%-1.67B | 145.51%485.24M | -11.43%258.1M | -76.30%98.08M | -388.10%-6.97B | -1,137.80%-6.61B | -233.08%-1.07B | 8.80%291.42M | -42.08%413.78M |
| Cash from discontinued investing activities | ||||||||||
| Investing cash flow | 4.90%-24.93B | -33.70%-9.11B | 748.25%6.59B | -216.06%-17.91B | 64.61%-4.5B | -66.34%-26.21B | -78.92%-6.81B | 86.41%-1.02B | -124.30%-5.67B | -554.49%-12.72B |
| Financing cash flow | ||||||||||
| Cash flow from continuing financing activities | -699.32%-18.25B | -123.72%-4.33B | 12.65%-4.51B | 8.34%-4.94B | 4.00%-4.47B | 132.20%3.04B | 755.42%18.25B | -136.66%-5.16B | -157.73%-5.39B | -94.14%-4.65B |
| Net issuance payments of debt | 6.95%-17.38B | 6.88%-4.12B | 9.89%-4.3B | 7.78%-4.7B | 2.87%-4.26B | -97.81%-18.67B | -58.80%-4.42B | -118.65%-4.77B | -145.32%-5.1B | -82.99%-4.39B |
| Net common stock issuance | --0 | ---- | ---- | ---- | ---- | --22.99B | ---- | ---- | ---- | ---- |
| Cash dividends paid | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
| Net other financing activities | -18.12%-30.41M | 88.84%-7.69K | -98.91%-15.3K | -18.39%-30.38M | 0.00%-7.61K | -90.25%-25.74M | -795.71%-68.9K | 0.00%-7.69K | ---25.66M | ---7.61K |
| Cash from discontinued financing activities | ||||||||||
| Financing cash flow | -699.32%-18.25B | -123.72%-4.33B | 12.65%-4.51B | 8.34%-4.94B | 4.00%-4.47B | 132.20%3.04B | 755.42%18.25B | -136.66%-5.16B | -157.73%-5.39B | -94.14%-4.65B |
| Net cash flow | ||||||||||
| Beginning cash position | 59.07%84.21B | 41.69%84.7B | 47.00%82.69B | 75.45%92.53B | 59.07%84.21B | 53.27%52.94B | 11.55%59.78B | 9.97%56.25B | 22.88%52.73B | 53.27%52.94B |
| Current changes in cash | -108.71%-2.79B | -124.09%-5.19B | -69.96%2.41B | -295.74%-7.64B | 638.99%7.62B | 71.55%32.07B | 2,379.63%21.55B | 271.51%8.03B | -44.03%3.9B | -116.27%-1.41B |
| Effect of exchange rate changes | -271.08%-2.87B | -131.85%-924.52M | 90.25%-439.02M | -478.09%-2.2B | -42.15%699.18M | -173.83%-772.39M | 290.48%2.9B | -1,655.77%-4.5B | -130.17%-380.88M | 489.69%1.21B |
| End cash Position | -6.69%78.58B | -6.69%78.58B | 41.69%84.7B | 47.00%82.69B | 75.45%92.53B | 59.07%84.21B | 59.07%84.21B | 11.55%59.78B | 9.97%56.25B | 22.88%52.73B |
| Free cash flow | -45.86%27.44B | -61.15%6.34B | -108.61%-1.15B | -55.17%6.08B | 117.63%16.17B | 30.84%50.68B | 136.06%16.32B | 38.45%13.37B | 14.53%13.56B | -28.04%7.43B |
| Currency Unit | THB | THB | THB | THB | THB | THB | THB | THB | THB | THB |