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ASP Isotopes Inc

ASPI

9.095USD

+0.165+1.85%
Market hours ETQuotes delayed by 15 min
655.46MMarket Cap
LossP/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-6.72%-3.17M
-82.76%-3.76M
-640.92%-4.84M
-307.72%-5.12M
-105.57%-2.97M
-138.65%-2.06M
5.91%-653.28K
-14.72%-1.26M
-401.82%-1.44M
---862.03K
---694.31K
---1.10M
---287.95K
Net income from continuing operations
-21.49%-8.46M
-121.12%-9.22M
-74.20%-7.36M
-107.20%-8.88M
-92.66%-6.96M
-219.77%-4.17M
-115.85%-4.22M
-418.19%-4.29M
-321.54%-3.62M
---1.30M
---1.96M
---827.17K
---857.59K
Operating gains losses
44.37%149.00K
25.58%45.79K
21834.66%175.92K
--146.50K
--103.21K
--36.46K
--802.00
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Deferred tax
-62.43%-80.84K
-773.23%-112.13K
--7.92K
--10.70K
---49.77K
--16.66K
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Other non-cash items
-77.82%178.34K
-17.43%632.38K
-186.64%-256.49K
302.40%89.89K
962.21%804.02K
1028.55%765.91K
1636.23%296.05K
-341.13%-44.41K
-589.33%-93.25K
---82.48K
--17.05K
--18.42K
--19.06K
Change in working capital
610.55%1.95M
336.41%448.11K
-327.46%-2.34M
-315.15%-1.01M
286.85%274.55K
64.08%-189.55K
94.00%1.03M
194.26%469.05K
-127.74%-146.94K
---527.75K
--529.46K
---497.60K
--529.78K
-Change in receivables
121.66%31.27K
-182.45%-196.19K
---20.88K
---144.49K
---144.39K
--237.95K
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-Change in inventory
---272.60K
--11.76K
---79.39K
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-Change in prepaid expenses
497.93%1.19M
204.01%705.96K
-205.63%-496.01K
-1492.76%-1.27M
-246.66%-299.13K
-103.04%-678.77K
-924.97%-162.29K
126.91%91.01K
1145.78%203.96K
---334.31K
---15.83K
---338.15K
--16.37K
-Change in other current assets
-93.93%38.83K
117.22%1.81K
-16823.08%-11.00K
-1212.40%-639.31K
1880414.71%639.31K
-101.97%-10.51K
99.99%-65.00
49.18%-48.71K
99.94%-34.00
--532.35K
---524.58K
---95.85K
---58.35K
-Change in other current liabilities
-123.09%-829.29K
-230.79%-64.31K
-114.17%-123.37K
-1632.81%-156.35K
-3684.99%-371.72K
-40.97%49.17K
1089.54%870.55K
91.39%-9.02K
-113.62%-9.82K
--83.30K
---87.97K
---104.82K
--72.10K
Cash from non-recurring investing activities
Cash from operating activities
-6.72%-3.17M
-82.76%-3.76M
-640.92%-4.84M
-307.72%-5.12M
-105.57%-2.97M
-138.65%-2.06M
5.91%-653.28K
-14.72%-1.26M
-401.82%-1.44M
---862.03K
---694.31K
---1.10M
---287.95K
Investing cash flow
Net cash from continuing investing activities
89.38%2.36M
164.63%3.02M
557.99%4.48M
1689.19%2.62M
244.10%1.25M
26.44%1.14M
-62.92%681.55K
-82.42%146.55K
-59.72%362.06K
--902.53K
--1.84M
--833.68K
--898.92K
Capital expenditures
89.38%2.36M
164.63%3.02M
557.99%4.48M
1689.19%2.62M
244.10%1.25M
26.44%1.14M
-62.92%681.55K
-82.42%146.55K
-59.72%362.06K
--902.53K
--1.84M
--833.68K
--898.92K
Net cash flow from disposal of fixed assets
89.38%2.36M
164.63%3.02M
557.99%4.48M
1689.19%2.62M
244.10%1.25M
26.44%1.14M
-62.92%681.55K
-82.42%146.55K
-59.72%362.06K
--902.53K
--1.84M
--833.68K
--898.92K
Net cash flow from business transactions
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---121.85K
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Net cash flow from other investing activities
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---1.70M
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Cash from non-current investing activities
Net cash flow from investing activities
-89.38%-2.36M
-139.10%-3.02M
-557.99%-4.48M
-1689.19%-2.62M
-244.10%-1.25M
-39.94%-1.26M
62.92%-681.55K
82.42%-146.55K
59.72%-362.06K
---902.53K
---1.84M
---833.68K
---898.92K
Financing cash flow
Cash flow from continuous financing activities
-101.11%-225.10K
98.97%17.69M
--32.43M
--12.15M
350.95%20.26M
134.58%8.89M
--0.00
-100.00%0.00
101.24%4.49M
--3.79M
--0.00
--617.59K
--2.23M
Net cash flow from debt Issuance/repayment
-101.06%-215.65K
246.61%264.67K
--23.58K
--5.16M
--20.27M
---180.53K
--0.00
--0.00
100.00%0.00
--0.00
--0.00
--0.00
---13.05K
Net cash flow from common stock issuance/repurchase
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103.64%18.59M
--28.96M
--5.54M
-100.00%0.00
82.58%9.13M
--0.00
-100.00%0.00
110.51%5.00M
--5.00M
--0.00
--744.35K
--2.38M
Proceeds from issuance of warrants
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--299.69K
--5.54M
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Net cash flow from other financing activities
-354.43%-38.30K
-2513.69%-1.49M
---2.18M
---63.69K
98.34%-8.43K
95.28%-57.08K
--0.00
100.00%0.00
-291.94%-506.39K
---1.21M
--0.00
---126.76K
---129.20K
Net cash from non-recurrent financing activities
Net cash from financing activities
-101.11%-225.10K
98.97%17.69M
--32.43M
--12.15M
350.95%20.26M
134.58%8.89M
--0.00
-100.00%0.00
101.24%4.49M
--3.79M
--0.00
--617.59K
--2.23M
Net cash flow
Beginning cash balance
682.61%61.89M
2155.18%51.57M
679.40%28.26M
370.08%23.89M
231.01%7.91M
429.89%2.29M
28.89%3.63M
34.79%5.08M
-19.11%2.39M
--431.56K
--2.81M
--3.77M
--2.95M
Current period cash flow changes
-137.07%-5.92M
83.56%10.32M
1840.32%23.31M
400.22%4.37M
493.45%15.98M
187.16%5.62M
43.77%-1.34M
-52.13%-1.46M
229.70%2.69M
--1.96M
---2.38M
---957.17K
--816.86K
Effect of exchange rate changes
-161.51%-170.16K
-1294.25%-594.14K
4687.88%207.78K
38.11%-32.59K
-1091.78%-65.07K
172.77%49.75K
-103.01%-4.53K
-114.85%-52.65K
102.86%6.56K
---68.36K
--150.50K
--354.53K
---229.24K
Ending cash balance
134.26%55.97M
682.61%61.89M
2155.18%51.57M
679.40%28.26M
370.08%23.89M
231.01%7.91M
429.89%2.29M
28.89%3.63M
34.79%5.08M
--2.39M
--431.56K
--2.81M
--3.77M
Free cash flow
-31.14%-5.53M
-111.97%-6.78M
-598.58%-9.32M
-451.98%-7.75M
-133.33%-4.22M
-81.26%-3.20M
47.29%-1.33M
27.25%-1.40M
-52.25%-1.81M
---1.76M
---2.53M
---1.93M
---1.19M
Currency unit
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