QS Energy, Inc.

OTC:QSEP

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

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

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Operating Activities:
Net Income -1.934-1.224-1.548-1.42-2.415-5.621-3.059-4.835-4-4.229-4.006-10.657-13.092-10.857-9.495-6.195-6.053-6.263-10.182-3.115-6.803-2.476-2.749-2.735-0.363-0.003
Depreciation & Amortization 0.0010.0040.0040.0290.0070.0070.0220.0190.0070.0130.0140.0150.0360.0350.0340.0330.0381.7412.4390.5160.9450.8690.8920.19200
Deferred Income Tax 0000.04500000.003000.2794.6654.8943.9721.4971.26-0.068-2.717000-0.891000
Stock Based Compensation 0.1520.0370.1270.020.3770.3830.4350.8880.4420.7290.7314.7652.072.2410.230.090.6460.0682.7170000.891000
Change In Working Capital 0.1630.2690.1030.3810.519-0.0290.1590.4290.2570.169-0.306-0.03-0.36-0.292-0.171.2420.2881.242-0.17210.38-0.0350.20.1860.0040.501
Accounts Receivables 0000000000000000-0.013-0.0011.1510000000
Inventory 00000000000000000.03-0.009-0.0210000000
Accounts Payables 0.1620.2620.2520.4650.4670.0330.1550.440.2840.148-0.29-0.045-0.398-0.656-0.2320.3860.2771.192-0.0790000000
Other Working Capital 0.0010.007-0.149-0.0840.052-0.0620.004-0.011-0.0270.021-0.0150.0150.0380.3650.0620.856-0.0070.061-1.22310.38-0.0350.20.18600
Other Non Cash Items 0.6030.3220.3910.2230.5432.5820.9671.7131.6650.7230.04-0.2852.163-0.7452.2861.8141.6540.1072.717-0.9673.0670.0460.862.18500
Operating Cash Flow -1.167-0.629-0.923-0.722-0.969-2.678-1.476-1.786-1.626-2.595-3.528-5.912-4.518-4.724-3.143-1.519-2.167-3.173-5.198-2.567-2.411-1.596-0.798-0.173-0.3580.498
Investing Activities:
Investments In Property Plant And Equipment -0.0020-0.00100-0.0060-0.049-0.005-0.0130-0.008-0.016-0.032-0.011-0.002-0-0.046-0.181-0.279-0.009-0.017-0.02-0.00100
Acquisitions Net 00000000000000000000000000
Purchases Of Investments 00000000000000000000000000
Sales Maturities Of Investments 00000000000000000000000000
Other Investing Activites 00000-0.0060-0.049-0.005-0.01300.02700-0.011-0.0020.017-0.0460000000-0.503
Investing Cash Flow -0.0020-0.00100-0.0060-0.049-0.005-0.01300.019-0.016-0.032-0.011-0.0020.017-0.046-0.181-0.279-0.009-0.017-0.02-0.0010-0.503
Financing Activities:
Debt Repayment 1.1970.5140.3810.6560.4511.3621.7781.4691.4180.660.25501.8365.3463.2071.4961.6292.9191.7151.453000000
Common Stock Issued 0.140.0520.5620.1280.030.0680.0120.0380.0480.0508.42800.0141.3850.5970.51903.7871.4211.4672.420.86000
Common Stock Repurchased 00000000000000000000000000
Dividends Paid 00000000000000000000000000
Other Financing Activities 0.0520.0520.56200.0610.6480.6470.39600.051.38303.682-0.0870.01500.5320.104-0.1590.1670.1130.0110.9180.180.3580.005
Financing Cash Flow 1.2490.5660.9430.7840.5422.012.4251.9031.4180.711.6388.4285.5185.2723.2221.4962.1623.0235.3433.0411.5792.4310.9180.180.3580.005
Other Information:
Effect Of Forex Changes On Cash 000000000000000000000000.17400
Net Change In Cash 0.08-0.0630.0190.062-0.427-0.6740.9490.068-0.213-1.898-1.892.5350.9840.5160.068-0.0260.012-0.197-0.0360.195-0.8410.8190.1010.18-0.0010.001
Cash At End Of Period 0.150.070.1330.1140.0520.4791.1530.2040.1360.3492.2484.1371.6020.6180.1020.0340.0590.0480.2440.280.0850.9260.1070.00700.001