SurgePays, Inc.

NASDAQ:SURG

1.88 (USD) • At close October 21, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201120102009200820072006
Operating Activities:
Net Income 20.618-0.553-13.531-10.722-8.447-1.541-1.98-4.6-1.3360.033-0.062-0.655-0.462-1.383-1.097-0.073-0.02
Depreciation & Amortization 1.1080.9890.9171.3710.2830.150.1190.4330.5010.001000.0020.0070.00600
Deferred Income Tax -2.8350-2.2291.5280.949-0.0430000000.0470.446-0.31200
Stock Based Compensation 0.530.1410.0040.1830.330.15800000000000
Change In Working Capital -13.878-25.858-2.6843.942-0.1520.197-0.2370.2490.4440.045-0.0110.2980.1190.104-0.054-0.0010.01
Accounts Receivables -0.396-5.921-3.0941.147-3.6-0.1030.060.112-0.0860.1510-00-0.038-0.00100
Inventory 2.14-6.879-4.256-0.1782.055-0.57300.0630.1240000.0990.013-0.16100
Accounts Payables -0.0260.1544.8142.8871.4740.925-0.2620.4280.1760-0.0480.0670.0250.1250.12600
Other Working Capital -15.596-13.212-0.1480.086-0.082-0.052-0.035-0.3530.23-0.1060.0370.231-0.0050.004-0.01800
Other Non Cash Items 4.74526.0752.234-0.6280.5050.0631.4943.2760.1670.005-0.03400.0130.0150.80600
Operating Cash Flow 10.2870.793-15.288-4.326-6.533-1.016-0.604-0.642-0.2250.085-0.074-0.358-0.015-0.051-0.263-0.073-0.011
Investing Activities:
Investments In Property Plant And Equipment -0.281-0.699-0.051-0.007-0.228-0.332-0.147-0.003-0.01000-0.005-0-0.04-0.0040
Acquisitions Net 0-0.8-0.32500.210.244000.028000000.1200
Purchases Of Investments 0000000-0.5000000000
Sales Maturities Of Investments 00000000000000000
Other Investing Activites -0.281-0.687-0.3250.015-0.015-0.5220-0.50.1500000000
Investing Cash Flow -0.281-1.499-0.3770.008-0.032-0.278-0.147-0.5030.018000-0.005-00.08-0.0040
Financing Activities:
Debt Repayment -1.609-5.243-6.327-0.822-0.961-2.617-0.339-0.527-0.3-0.2980000000
Common Stock Issued 0.207021.31.0693.21101.1750.8580.300000.00600.0060.083
Common Stock Repurchased 000-0.5000-0.461000000000
Dividends Paid 00000000000000000
Other Financing Activities -0.816.76.3029.9614.2173.0810.0670.8090.2380.1150.0740.3570.0180.020.02700
Financing Cash Flow -2.421.45721.2744.6466.4670.4640.9031.1390.238-0.1830.0740.3570.0180.0260.0270.0060.083
Other Information:
Effect Of Forex Changes On Cash 00000000000000000
Net Change In Cash 7.5860.7525.610.328-0.099-0.830.152-0.0060.032-0.0980-0-0.002-0.025-0.157-0.0710.072
Cash At End Of Period 14.6227.0366.2830.6740.3460.4450.2160.0640.0690.029000.0010.0030.0280.0010.072