Annual CFF
-$65.30 M
-$133.40 M-195.89%
December 31, 2023
Summary
- As of February 24, 2025, VATE annual cash flow from financing activities is -$65.30 million, with the most recent change of -$133.40 million (-195.89%) on December 31, 2023.
- During the last 3 years, VATE annual CFF has risen by +$139.20 million (+68.07%).
- VATE annual CFF is now -111.05% below its all-time high of $591.01 million, reached on December 31, 1999.
Performance
VATE Cash From Financing Chart
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Quarterly CFF
$1.80 M
-$15.70 M-89.71%
September 30, 2024
Summary
- As of February 24, 2025, VATE quarterly cash flow from financing activities is $1.80 million, with the most recent change of -$15.70 million (-89.71%) on September 30, 2024.
- Over the past year, VATE quarterly CFF has stayed the same.
- VATE quarterly CFF is now -99.57% below its all-time high of $422.91 million, reached on December 31, 1999.
Performance
VATE Quarterly CFF Chart
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TTM CFF
-$28.30 M
-$4.90 M-20.94%
September 30, 2024
Summary
- As of February 24, 2025, VATE TTM cash flow from financing activities is -$28.30 million, with the most recent change of -$4.90 million (-20.94%) on September 30, 2024.
- Over the past year, VATE TTM CFF has stayed the same.
- VATE TTM CFF is now -103.85% below its all-time high of $734.27 million, reached on September 30, 2000.
Performance
VATE TTM CFF Chart
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Cash From Financing Formula
CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities
VATE Cash From Financing Trends
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1 y1 year | -195.9% | 0.0% | 0.0% |
3 y3 years | +68.1% | 0.0% | 0.0% |
5 y5 years | -156.7% | 0.0% | 0.0% |
VATE Cash From Financing Highs & Lows
PeriodPeriod | Annual vs highAnnual vs high | Annual vs lowAnnual vs low | Quarter. vs highQuarter. vs high | Quarter. vs lowQuarter. vs low | TTM vs highTTM vs high | TTM vs lowTTM vs low | |
---|---|---|---|---|---|---|---|
3 y | 3-year | -195.9% | at low | -96.5% | +103.6% | -131.0% | +56.7% |
5 y | 5-year | -195.9% | +68.1% | -98.2% | +101.2% | -131.0% | +87.7% |
alltime | all time | -111.0% | +73.9% | -99.6% | +100.7% | -103.8% | +90.3% |
INNOVATE Cash From Financing History
Date | Annual | Quarterly | TTM |
---|---|---|---|
Sep 2024 | - | $1.80 M(-89.7%) | -$28.30 M(+20.9%) |
Jun 2024 | - | $17.50 M(-235.7%) | -$23.40 M(-41.8%) |
Mar 2024 | - | -$12.90 M(-62.8%) | -$40.20 M(-38.4%) |
Dec 2023 | -$65.30 M(-195.9%) | -$34.70 M(-617.9%) | -$65.30 M(+82.9%) |
Sep 2023 | - | $6.70 M(+857.1%) | -$35.70 M(+792.5%) |
Jun 2023 | - | $700.00 K(-101.8%) | -$4.00 M(-81.0%) |
Mar 2023 | - | -$38.00 M(+645.1%) | -$21.10 M(-131.0%) |
Dec 2022 | $68.10 M(+1483.7%) | -$5.10 M(-113.3%) | $68.10 M(+197.4%) |
Sep 2022 | - | $38.40 M(-334.1%) | $22.90 M(-185.1%) |
Jun 2022 | - | -$16.40 M(-132.0%) | -$26.90 M(-129.4%) |
Mar 2022 | - | $51.20 M(-201.8%) | $91.40 M(+2025.6%) |
Dec 2021 | $4.30 M(-102.1%) | -$50.30 M(+341.2%) | $4.30 M(-94.2%) |
Sep 2021 | - | -$11.40 M(-111.2%) | $73.90 M(-12.1%) |
Jun 2021 | - | $101.90 M(-383.8%) | $84.10 M(-191.2%) |
Mar 2021 | - | -$35.90 M(-286.0%) | -$92.20 M(-54.9%) |
Dec 2020 | -$204.50 M(-427.7%) | $19.30 M(-1708.3%) | -$204.50 M(-4.8%) |
Sep 2020 | - | -$1.20 M(-98.4%) | -$214.80 M(-6.3%) |
Jun 2020 | - | -$74.40 M(-49.8%) | -$229.20 M(+188.7%) |
Mar 2020 | - | -$148.20 M(-1746.7%) | -$79.40 M(-227.2%) |
Dec 2019 | $62.40 M(-45.8%) | $9.00 M(-157.7%) | $62.40 M(-32.8%) |
Sep 2019 | - | -$15.60 M(-120.7%) | $92.90 M(-34.2%) |
Jun 2019 | - | $75.40 M(-1278.1%) | $141.10 M(+136.7%) |
Mar 2019 | - | -$6.40 M(-116.2%) | $59.60 M(-48.3%) |
Dec 2018 | $115.20 M(-0.2%) | $39.50 M(+21.2%) | $115.20 M(-20.9%) |
Sep 2018 | - | $32.60 M(-634.4%) | $145.68 M(+33.1%) |
Jun 2018 | - | -$6.10 M(-112.4%) | $109.43 M(-30.8%) |
Mar 2018 | - | $49.20 M(-29.7%) | $158.11 M(+37.0%) |
Dec 2017 | $115.40 M(+513.8%) | $69.98 M(-2019.3%) | $115.40 M(+53.7%) |
Sep 2017 | - | -$3.65 M(-108.6%) | $75.08 M(+4.1%) |
Jun 2017 | - | $42.58 M(+556.4%) | $72.10 M(+144.7%) |
Mar 2017 | - | $6.49 M(-78.1%) | $29.46 M(+56.7%) |
Dec 2016 | $18.80 M(-81.7%) | $29.66 M(-547.6%) | $18.80 M(-48.5%) |
Sep 2016 | - | -$6.63 M(>+9900.0%) | $36.54 M(-6.8%) |
Jun 2016 | - | -$62.00 K(-98.5%) | $39.20 M(+389.4%) |
Mar 2016 | - | -$4.17 M(-108.8%) | $8.01 M(-92.2%) |
Dec 2015 | $102.69 M(-57.9%) | $47.40 M(-1295.2%) | $102.69 M(+210.1%) |
Sep 2015 | - | -$3.97 M(-87.3%) | $33.12 M(-82.5%) |
Jun 2015 | - | -$31.25 M(-134.5%) | $189.65 M(-42.9%) |
Mar 2015 | - | $90.51 M(-508.2%) | $332.31 M(+36.1%) |
Dec 2014 | $244.14 M(-197.6%) | -$22.17 M(-114.5%) | $244.14 M(-8.3%) |
Sep 2014 | - | $152.56 M(+36.9%) | $266.19 M(-297.5%) |
Jun 2014 | - | $111.41 M(+4658.9%) | -$134.76 M(-45.4%) |
Mar 2014 | - | $2.34 M(-2003.3%) | -$246.89 M(-1.3%) |
Dec 2013 | -$250.10 M(+30.8%) | -$123.00 K(-100.0%) | -$250.10 M(-14.4%) |
Sep 2013 | - | -$248.39 M(>+9900.0%) | -$292.24 M(+55.7%) |
Jun 2013 | - | -$720.00 K(-17.1%) | -$187.70 M(-0.2%) |
Mar 2013 | - | -$869.00 K(-97.9%) | -$188.15 M(-1.6%) |
Dec 2012 | -$191.14 M(+393.2%) | -$42.26 M(-70.6%) | -$191.14 M(+20.9%) |
Sep 2012 | - | -$143.85 M(>+9900.0%) | -$158.10 M(+719.7%) |
Jun 2012 | - | -$1.17 M(-69.8%) | -$19.29 M(-54.7%) |
Mar 2012 | - | -$3.86 M(-58.1%) | -$42.59 M(+9.9%) |
Dec 2011 | -$38.76 M(+179.5%) | -$9.22 M(+83.0%) | -$38.76 M(+29.9%) |
Sep 2011 | - | -$5.04 M(-79.4%) | -$29.83 M(+18.4%) |
Jun 2011 | - | -$24.46 M(>+9900.0%) | -$25.19 M(+139.7%) |
Mar 2011 | - | -$34.00 K(-88.2%) | -$10.51 M(-24.2%) |
Dec 2010 | -$13.87 M | -$289.00 K(-28.1%) | -$13.87 M(+3.8%) |
Date | Annual | Quarterly | TTM |
---|---|---|---|
Sep 2010 | - | -$402.00 K(-95.9%) | -$13.36 M(-23.9%) |
Jun 2010 | - | -$9.79 M(+188.8%) | -$17.55 M(+34.5%) |
Mar 2010 | - | -$3.39 M(-1633.5%) | -$13.05 M(+3.0%) |
Dec 2009 | -$12.67 M(-54.9%) | $221.00 K(-104.8%) | -$12.67 M(-34.1%) |
Sep 2009 | - | -$4.60 M(-13.0%) | -$19.22 M(+13.9%) |
Jun 2009 | - | -$5.28 M(+75.7%) | -$16.87 M(-8.0%) |
Mar 2009 | - | -$3.01 M(-52.5%) | -$18.33 M(-34.7%) |
Dec 2008 | -$28.08 M(-167.7%) | -$6.33 M(+181.3%) | -$28.08 M(-24.7%) |
Sep 2008 | - | -$2.25 M(-66.7%) | -$37.30 M(+65.3%) |
Jun 2008 | - | -$6.75 M(-47.1%) | -$22.57 M(+22.6%) |
Mar 2008 | - | -$12.75 M(-18.0%) | -$18.40 M(-144.4%) |
Dec 2007 | $41.46 M(+62.8%) | -$15.55 M(-224.6%) | $41.46 M(-23.5%) |
Sep 2007 | - | $12.48 M(-582.9%) | $54.22 M(+37.3%) |
Jun 2007 | - | -$2.58 M(-105.5%) | $39.48 M(-31.2%) |
Mar 2007 | - | $47.11 M(-1788.0%) | $57.41 M(+125.4%) |
Dec 2006 | $25.47 M(-71.6%) | -$2.79 M(+23.6%) | $25.47 M(+5.4%) |
Sep 2006 | - | -$2.26 M(-114.7%) | $24.17 M(-29.0%) |
Jun 2006 | - | $15.35 M(+1.2%) | $34.02 M(+160.5%) |
Mar 2006 | - | $15.17 M(-471.1%) | $13.06 M(-85.4%) |
Dec 2005 | $89.70 M(-1502.9%) | -$4.09 M(-153.9%) | $89.70 M(+0.7%) |
Sep 2005 | - | $7.59 M(-235.3%) | $89.04 M(+47.3%) |
Jun 2005 | - | -$5.61 M(-106.1%) | $60.46 M(+0.5%) |
Mar 2005 | - | $91.81 M(-2030.9%) | $60.16 M(-1040.8%) |
Dec 2004 | -$6.39 M(-90.9%) | -$4.75 M(-77.3%) | -$6.39 M(-90.3%) |
Sep 2004 | - | -$20.98 M(+254.7%) | -$66.16 M(-1403.2%) |
Jun 2004 | - | -$5.92 M(-123.4%) | $5.08 M(-140.1%) |
Mar 2004 | - | $25.26 M(-139.2%) | -$12.65 M(-81.9%) |
Dec 2003 | -$70.07 M(-7220.9%) | -$64.53 M(-228.4%) | -$70.07 M(-596.9%) |
Sep 2003 | - | $50.26 M(-312.6%) | $14.10 M(-136.3%) |
Jun 2003 | - | -$23.64 M(-26.5%) | -$38.80 M(+41.9%) |
Mar 2003 | - | -$32.16 M(-263.7%) | -$27.34 M(-2878.6%) |
Dec 2002 | $984.00 K(-100.9%) | $19.65 M(-841.1%) | $984.00 K(-103.3%) |
Sep 2002 | - | -$2.65 M(-78.2%) | -$29.42 M(-53.0%) |
Jun 2002 | - | -$12.18 M(+217.6%) | -$62.64 M(-40.9%) |
Mar 2002 | - | -$3.83 M(-64.4%) | -$105.97 M(-1.2%) |
Dec 2001 | -$107.21 M(-134.9%) | -$10.76 M(-70.0%) | -$107.21 M(+6.7%) |
Sep 2001 | - | -$35.88 M(-35.4%) | -$100.47 M(+50.9%) |
Jun 2001 | - | -$55.50 M(+993.4%) | -$66.57 M(+417.2%) |
Mar 2001 | - | -$5.08 M(+26.5%) | -$12.87 M(-104.2%) |
Dec 2000 | $307.35 M(-48.0%) | -$4.01 M(+102.1%) | $307.35 M(-58.1%) |
Sep 2000 | - | -$1.99 M(+10.4%) | $734.27 M(+0.5%) |
Jun 2000 | - | -$1.80 M(-100.6%) | $730.86 M(-0.2%) |
Mar 2000 | - | $315.14 M(-25.5%) | $732.46 M(+23.9%) |
Dec 1999 | $591.01 M(+302.5%) | $422.91 M(-7931.7%) | $591.01 M(+266.8%) |
Sep 1999 | - | -$5.40 M(+2600.0%) | $161.13 M(-7.9%) |
Jun 1999 | - | -$200.00 K(-100.1%) | $175.03 M(-45.4%) |
Mar 1999 | - | $173.70 M(-2593.5%) | $320.43 M(+118.2%) |
Dec 1998 | $146.83 M(-26.6%) | -$6.97 M(-182.0%) | $146.83 M(+2.2%) |
Sep 1998 | - | $8.50 M(-94.1%) | $143.70 M(-59.0%) |
Jun 1998 | - | $145.20 M(>+9900.0%) | $350.60 M(+71.4%) |
Mar 1998 | - | $100.00 K(-101.0%) | $204.60 M(+2.2%) |
Dec 1997 | $200.10 M(+151.8%) | -$10.10 M(-104.7%) | $200.10 M(-4.8%) |
Sep 1997 | - | $215.40 M(<-9900.0%) | $210.20 M(-4142.3%) |
Jun 1997 | - | -$800.00 K(-81.8%) | -$5.20 M(+18.2%) |
Mar 1997 | - | -$4.40 M | -$4.40 M |
Dec 1996 | $79.47 M | - | - |
FAQ
- What is INNOVATE annual cash flow from financing activities?
- What is the all time high annual CFF for INNOVATE?
- What is INNOVATE annual CFF year-on-year change?
- What is INNOVATE quarterly cash flow from financing activities?
- What is the all time high quarterly CFF for INNOVATE?
- What is INNOVATE quarterly CFF year-on-year change?
- What is INNOVATE TTM cash flow from financing activities?
- What is the all time high TTM CFF for INNOVATE?
- What is INNOVATE TTM CFF year-on-year change?
What is INNOVATE annual cash flow from financing activities?
The current annual CFF of VATE is -$65.30 M
What is the all time high annual CFF for INNOVATE?
INNOVATE all-time high annual cash flow from financing activities is $591.01 M
What is INNOVATE annual CFF year-on-year change?
Over the past year, VATE annual cash flow from financing activities has changed by -$133.40 M (-195.89%)
What is INNOVATE quarterly cash flow from financing activities?
The current quarterly CFF of VATE is $1.80 M
What is the all time high quarterly CFF for INNOVATE?
INNOVATE all-time high quarterly cash flow from financing activities is $422.91 M
What is INNOVATE quarterly CFF year-on-year change?
Over the past year, VATE quarterly cash flow from financing activities has changed by $0.00 (0.00%)
What is INNOVATE TTM cash flow from financing activities?
The current TTM CFF of VATE is -$28.30 M
What is the all time high TTM CFF for INNOVATE?
INNOVATE all-time high TTM cash flow from financing activities is $734.27 M
What is INNOVATE TTM CFF year-on-year change?
Over the past year, VATE TTM cash flow from financing activities has changed by $0.00 (0.00%)