FuelPositive Corporation

OTC:NHHHF

0.0499 (USD) • At close November 17, 2023
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2023202220212020201920182017201620152014201320122011201020092008200720062005
Operating Activities:
Net Income -13.123-14.3-6.408-1.459-6.656-5.771-6.803-3.233-10.154-3.174-1.626-1.528-4.418-4.142-10.089-7.739-6.976-3.569-0.025
Depreciation & Amortization 2.5851.8340.5440.2690.0950.1110.0890.0740.0420.030.0020.0080.0610.0910.1760.1430.0930.0390
Deferred Income Tax 1.1635.805-0.04604.57600.411-0.493-0.5770.067-0.681-0.754-0.382-0.86700000
Stock Based Compensation 3.960.9881.6810.0140.23101.5490.4930.5990.7080.5660.7551.0240.8671.0290000
Change In Working Capital 0.638-1.4730.1450.861-0.1440.256-0.499-0.2580.411-0.2210.145-0.3140.120.0780.8710.34-0.032-1.0310.006
Accounts Receivables 00000000000000-0.0390000
Inventory 000000000000001.406-0.515-0.066-1.2240
Accounts Payables 0000000000000000000
Other Working Capital 0.638-1.4730.1450.861-0.144000000000-0.4970.8560.0340.1930
Other Non Cash Items 0.2770.0070.0830.0650.153-0.0010.4650.0567.3970.158-0.1150.001-0.13400.3890.7390.4670.1180
Operating Cash Flow -4.499-7.139-4.001-0.25-1.745-4.56-5.199-2.868-1.704-2.498-1.028-1.079-3.347-3.105-7.624-6.517-6.449-4.444-0.019
Investing Activities:
Investments In Property Plant And Equipment -3.093-2.816-0.214-0.001-0.034-0.19-0.191-0.088-0.137-0.0690-0.52-0.011-0.043-0.844-0.541-0.93-1.0440
Acquisitions Net 0000000000.9550000-5.8170000
Purchases Of Investments 000000000-2.883-0.104-0.89900-0.6-7-2.85800
Sales Maturities Of Investments 0000000.0050.0070.00301.603.8353-0.7930000
Other Investing Activites -0.003-0.25-0.2-0-00.026-0.057-0.007-0.673-0.064-0.104-0.618-0.0360.013-0.7080.002-0.019-0.0810
Investing Cash Flow -3.093-3.066-0.414-0.001-0.034-0.163-0.186-0.071-0.752-2.0031.392-1.5183.7882.97-7.176-7.539-3.807-1.1250
Financing Activities:
Debt Repayment -0.124-0.076-0.167-0.061-0.3930-0.606-0.05900000000000
Common Stock Issued 5.8496.2976.2530.2290.7413.3153.5664.8391.017001.825008.47615.52114.2617.6760.45
Common Stock Repurchased 0000000000000000000
Dividends Paid 0000000000000000000
Other Financing Activities 1.5310.9383.5760.090.7870.0383.011-0.4250.46000.304001.18100-0.1280
Financing Cash Flow 7.2567.1589.6620.2581.1343.3525.974.3551.4774.8020.0142.12900.1819.65815.52114.2617.5480.45
Other Information:
Effect Of Forex Changes On Cash 0000000000000000000
Net Change In Cash -0.337-3.0465.2470.007-0.645-1.3710.5861.415-0.980.2970.378-0.5930.441-2.069-5.1431.4654.0041.9790.431
Cash At End Of Period 1.8752.2115.2570.010.0030.6482.0191.4340.0190.9980.7010.3230.9150.4742.5447.6866.2212.2170.431