Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
VanEck Oil Services ETF
OIH
5
United Sts 12 Month Oil Fd Lp Unit Ben Int
USL
| (FY)Jan 31, 2026 | (Q4)Jan 31, 2026 | (Q3)Oct 31, 2025 | (Q2)Jul 31, 2025 | (Q1)Apr 30, 2025 | (FY)Jan 31, 2025 | (Q4)Jan 31, 2025 | (Q3)Oct 31, 2024 | (Q2)Jul 31, 2024 | (Q1)Apr 30, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Operating Cash Flow (Indirect Method) | ||||||||||
| Cash flow from continuing operating activities | 11.22%55.85M | -22.98%29.54M | -25.48%-19.82M | 178.95%8.41M | -1.52%37.73M | 8.78%50.21M | 36.85%38.35M | -904.13%-15.8M | -51.39%-10.65M | 43.24%38.31M |
| Net income from continuing operations | 235.51%37.87M | 157.92%4.21M | 147.94%6.14M | 759.38%26.75M | 120.17%770K | -962.66%-27.95M | -531.24%-7.28M | -2,634.83%-12.8M | -18.04%-4.06M | -826.46%-3.82M |
| Depreciation and amortization | 33.55%36.41M | 4.04%9.04M | 6.45%9.04M | 82.90%9.16M | 80.76%9.17M | 10.77%27.26M | 65.64%8.69M | 49.95%8.49M | -25.72%5.01M | -27.12%5.07M |
| Other non cash items | -1,060.59%-27.89M | -186.94%-2.65M | -588.16%-4.3M | -20,246.09%-23.17M | 509.84%2.23M | 437.59%2.9M | 1,512.17%3.05M | -474.25%-625K | 36.90%115K | 266.00%366K |
| Change In working capital | -833.84%-50.89M | -87.12%2.39M | -97.93%-47.92M | 26.33%-17.96M | -48.74%12.61M | 75.47%-5.45M | 85.97%18.55M | -29.60%-24.21M | -12.81%-24.38M | 203.33%24.59M |
| -Change in receivables | -641.09%-8.32M | -3.06%-58.13M | 137.63%2.54M | -46.24%4.14M | -20.58%43.14M | -316.60%-1.12M | 0.57%-56.41M | -391.85%-6.74M | 77.99%7.71M | 7.31%54.32M |
| -Change in prepaid assets | -1,221.41%-5.25M | -960.06%-3.42M | -93.82%195K | 215.44%2.97M | -655.30%-4.99M | -152.58%-397K | -109.25%-323K | 243.50%3.16M | -329.76%-2.57M | 60.17%-660K |
| -Change in payables and accrued expense | -128.56%-4.87M | 27.98%12.61M | -248.31%-17.55M | -23.83%-769K | 120.71%834K | 267.42%17.04M | 1,084.62%9.86M | 137.41%11.83M | -169.85%-621K | 73.23%-4.03M |
| -Change in other current assets | 1,759.83%6.53M | -72.63%26K | -941.46%-345K | 628.89%984K | 7,228.75%5.86M | -60.83%351K | -73.16%95K | 122.28%41K | 136.68%135K | -92.69%80K |
| -Change in other current liabilities | -141.66%-26.35M | -44.63%-4.19M | -55.91%-4.07M | -58.67%-4.29M | -413.21%-13.79M | 7.37%-10.9M | 6.09%-2.9M | 12.26%-2.61M | 4.04%-2.71M | 6.96%-2.69M |
| -Change in other working capital | -21.35%-12.64M | -18.66%55.5M | 4.02%-28.69M | 20.25%-20.99M | 17.72%-18.45M | -327.94%-10.42M | 1.91%68.23M | -45.03%-29.89M | -6.31%-26.32M | 6.59%-22.43M |
| Cash from discontinued investing activities | ||||||||||
| Operating cash flow | 11.22%55.85M | -22.98%29.54M | -25.48%-19.82M | 178.95%8.41M | -1.52%37.73M | 8.78%50.21M | 36.85%38.35M | -904.13%-15.8M | -51.39%-10.65M | 43.24%38.31M |
| Investing cash flow | ||||||||||
| Cash flow from continuing investing activities | 76.66%-21.36M | -187.03%-907K | 99.43%-515K | -5.14%-573K | -2,892.74%-19.36M | -3,253.81%-91.49M | 22.55%-316K | -11,850.07%-89.98M | 12.52%-545K | 31.46%-647K |
| Capital expenditure reported | -22.64%-2.56M | -187.03%-907K | 10.75%-515K | -5.14%-573K | 13.14%-562K | 23.57%-2.09M | 22.55%-316K | 23.37%-577K | 12.52%-545K | 31.46%-647K |
| Net business purchase and sale | 78.97%-18.8M | --0 | --0 | --0 | ---18.8M | ---89.41M | --0 | ---89.41M | --0 | --0 |
| Cash from discontinued investing activities | ||||||||||
| Investing cash flow | 76.66%-21.36M | -187.03%-907K | 99.43%-515K | -5.14%-573K | -2,892.74%-19.36M | -3,253.81%-91.49M | 22.55%-316K | -11,850.07%-89.98M | 12.52%-545K | 31.46%-647K |
| Financing cash flow | ||||||||||
| Cash flow from continuing financing activities | 66.63%-9.52M | -27.82%-19.59M | -173.80%-30.68M | 8,465.83%69.77M | -2,372.15%-29.02M | -22.74%-28.54M | -4,020.43%-15.33M | 23.36%-11.21M | 90.27%-834K | -476.28%-1.17M |
| Net issuance payments of debt | --99M | --0 | --0 | ---- | ---- | --0 | --0 | --0 | ---- | ---- |
| Net common stock issuance | -276.56%-67.43M | 31.33%-7.66M | -119.48%-14.4M | -8,728.36%-17.75M | ---27.64M | 22.43%-17.91M | ---11.15M | 45.75%-6.56M | 96.87%-201K | --0 |
| Proceeds from stock option exercised by employees | 9.20%5.01M | -7.71%1.14M | 158.31%1.87M | -16.15%1.2M | -32.83%808K | -65.51%4.59M | -37.87%1.23M | 36.23%722K | -44.79%1.43M | -85.32%1.2M |
| Net other financing activities | -202.88%-46.1M | -141.53%-13.07M | -238.08%-18.15M | -514.78%-12.68M | 7.61%-2.2M | -13.02%-15.22M | -129.85%-5.41M | -75.37%-5.37M | 56.57%-2.06M | 27.99%-2.38M |
| Cash from discontinued financing activities | ||||||||||
| Financing cash flow | 66.63%-9.52M | -27.82%-19.59M | -173.80%-30.68M | 8,465.83%69.77M | -2,372.15%-29.02M | -22.74%-28.54M | -4,020.43%-15.33M | 23.36%-11.21M | 90.27%-834K | -476.28%-1.17M |
| Net cash flow | ||||||||||
| Beginning cash position | -34.03%138.65M | 34.68%158.93M | -10.77%209.54M | -46.36%132.02M | -34.03%138.65M | 10.50%210.18M | -35.22%118.01M | 17.10%234.82M | 13.50%246.11M | 10.50%210.18M |
| Current changes in cash | 135.76%24.97M | -60.20%9.04M | 56.39%-51.01M | 745.20%77.61M | -129.22%-10.66M | -446.08%-69.82M | -16.66%22.7M | -590.29%-116.98M | 25.89%-12.03M | 39.74%36.49M |
| Effect of exchange rate changes | 425.18%5.55M | 158.79%1.21M | 145.18%407K | -111.13%-82K | 820.79%4.02M | -733.17%-1.71M | -360.53%-2.05M | 111.66%166K | 892.47%737K | -206.49%-558K |
| End cash Position | 22.01%169.17M | 22.01%169.17M | 34.68%158.93M | -10.77%209.54M | -46.36%132.02M | -34.03%138.65M | -34.03%138.65M | -35.22%118.01M | 17.10%234.82M | 13.50%246.11M |
| Free cash flow | 10.73%53.29M | -24.72%28.63M | -24.21%-20.34M | 169.98%7.83M | -1.32%37.16M | 10.82%48.13M | 37.73%38.03M | -603.87%-16.37M | -46.19%-11.19M | 45.98%37.66M |
| 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 | -- | -- | -- | -- |