CPTA

COM:CAPITALAGROUP

Capitala Group

  • Stock

USD

Last Close

24.86

02/07 04:00

Market Cap

68.86M

Beta: -

Volume Today

19.99K

Avg: -

Preview

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Dec '13
Mar '14
Jun '14
Sep '14
Dec '14
Mar '15
Jun '15
Sep '15
Dec '15
Mar '16
Jun '16
Sep '16
Dec '16
Mar '17
Jun '17
Sep '17
Dec '17
Mar '18
Jun '18
Sep '18
Dec '18
Mar '19
Jun '19
Sep '19
Dec '19
Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
net income
6.80M
-
1.22M
82.08%
6.21M
410.02%
311K
94.99%
-11.18M
3,694.86%
9.87M
188.26%
4.94M
49.91%
7.96M
61.03%
-8.92M
212.05%
-4.19M
53.02%
7.26M
273.24%
-2.01M
127.74%
8.10M
502.24%
4.88M
39.72%
-5.53M
213.19%
-5.75M
4.13%
-589K
89.76%
141K
123.94%
4.95M
3,409.22%
-11.92M
340.82%
-9.20M
22.80%
-151K
98.36%
-29.14M
19,200.66%
1.72M
105.89%
-69K
104.02%
-42.44M
61,407.25%
3.10M
107.30%
3.35M
8.23%
538K
83.96%
12.35M
2,196.28%
-7.55M
161.15%
depreciation and amortization
deferred income tax
110K
-
-731K
764.55%
-66K
90.97%
stock based compensation
change in working capital
3.10M
-
-2.90M
193.86%
13.79M
574.56%
-13.69M
199.33%
1.44M
110.53%
-2.84M
297.23%
15.71M
652.25%
-14.69M
193.52%
1.75M
111.89%
-2.63M
250.40%
4.48M
270.49%
-655K
114.63%
3.07M
569.16%
-5.79M
288.55%
4.05M
169.90%
-2.49M
161.38%
3.12M
225.66%
-1.55M
149.62%
1.41M
191.03%
-2.20M
256.13%
1.62M
173.72%
-220K
113.55%
2.37M
1,177.27%
6.12M
158.10%
-5.42M
188.54%
-1.39M
74.35%
210K
115.12%
-1.20M
670%
385K
132.16%
484K
25.71%
-10.79M
2,328.72%
accounts receivables
-990K
-
inventory
accounts payables
-175K
-
7K
104%
9K
28.57%
84K
833.33%
28K
66.67%
other working capital
-4.80M
-
-1.38M
-
1.40M
202.11%
-2.21M
257.55%
1.54M
169.62%
-248K
116.10%
other non cash items
-33.95M
-
-26.27M
22.61%
-14.20M
45.95%
-39.28M
176.63%
-34.79M
11.42%
-38.12M
9.57%
-45.91M
20.43%
-22.41M
51.18%
-3.71M
83.46%
-6.75M
82.14%
5.16M
176.46%
92.80M
1,698.04%
-35.51M
138.26%
11.18M
131.49%
49.80M
345.47%
19.63M
60.58%
-28.71M
246.26%
-3.27M
88.62%
19.58M
699.20%
37.50M
91.50%
-9.03M
124.07%
-5.85M
35.23%
65.50M
1,220.32%
20.19M
69.18%
9.61M
52.40%
41.81M
335.08%
35.55M
14.99%
7.28M
79.51%
5.91M
18.85%
16.95M
186.70%
31.28M
84.56%
net cash provided by operating activities
-24.05M
-
-27.96M
16.23%
5.80M
120.74%
-52.66M
1,008.31%
-44.53M
15.44%
-31.10M
30.16%
-25.26M
18.77%
-29.14M
15.36%
-10.88M
62.68%
-13.56M
24.71%
16.89M
224.55%
90.13M
433.47%
-24.34M
127.00%
10.27M
142.19%
48.33M
370.71%
11.39M
76.43%
-26.18M
329.78%
-4.68M
82.13%
25.94M
654.65%
23.49M
9.44%
-17.33M
173.79%
-6.28M
63.75%
38.73M
716.34%
28.02M
27.64%
4.13M
85.28%
-2.02M
148.92%
38.85M
2,025.42%
9.44M
75.70%
6.83M
27.62%
29.79M
335.84%
12.94M
56.57%
investments in property plant and equipment
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
net cash used for investing activites
debt repayment
-10M
-
-25M
-
-8M
68%
-10M
25%
-2M
80%
-5M
150%
-42.50M
750%
-19M
55.29%
-127.44M
-
-30M
76.46%
-13M
-
-12M
7.69%
-10M
16.67%
-15.70M
-
-20M
27.39%
-5M
75%
-1.50M
70%
-60.98M
-
-20M
-
-71.52M
257.60%
common stock issued
-1.75M
-
common stock repurchased
-6.00M
-
-2.11M
64.79%
dividends paid
-6.10M
-
-6.10M
0%
-6.10M
0%
-6.10M
0%
-6.10M
0.02%
-6.69M
9.72%
-10.02M
49.75%
-9.51M
5.14%
-9.37M
1.47%
-7.19M
23.19%
-7.13M
0.85%
-7.15M
0.28%
-5.89M
17.63%
-5.98M
1.56%
-5.96M
0.48%
-5.94M
0.24%
-3.83M
35.52%
-3.82M
0.18%
-3.83M
0.29%
-3.81M
0.78%
-3.75M
1.37%
-3.76M
0.16%
-3.73M
0.85%
-3.70M
0.75%
-3.70M
0%
-3.72M
0.51%
-1K
-
other financing activites
109.24M
-
-165K
100.15%
-1.84M
1,013.94%
14.69M
899.35%
67.81M
361.54%
50.65M
25.31%
28.93M
42.89%
3M
89.63%
1M
66.67%
24.93M
-
121.37M
-
-11K
100.01%
8.92M
81,209.09%
16M
79.33%
5M
68.75%
-56K
101.12%
9.93M
17,823.21%
14.92M
50.31%
-24K
-
619K
2,679.17%
-154K
124.88%
-60K
61.04%
-579K
-
25M
-
net cash used provided by financing activities
-7.85M
-
-16.10M
105.12%
103.14M
740.69%
-6.26M
106.07%
-7.94M
26.73%
8M
200.79%
32.79M
309.86%
27.15M
17.21%
7.45M
72.57%
-6.19M
183.17%
-11.13M
79.74%
-49.65M
346.00%
33K
100.07%
-5.98M
18,233.33%
-12.03M
100.95%
-35.95M
198.98%
5.09M
114.16%
-824K
116.19%
-10.84M
1,214.93%
-13.86M
27.93%
6.17M
144.53%
-4.54M
173.57%
-23.73M
422.51%
-8.72M
63.24%
-4.58M
47.50%
-3.87M
15.46%
-60K
98.45%
-60.98M
101,535%
-579K
99.05%
-20M
3,354.23%
-46.52M
132.59%
effect of forex changes on cash
net change in cash
-31.90M
-
-44.06M
38.09%
108.94M
347.27%
-58.93M
154.09%
-52.47M
10.96%
-23.10M
55.97%
7.53M
132.58%
-2.00M
126.55%
-3.43M
71.67%
-19.76M
476.06%
5.76M
129.16%
40.48M
602.46%
-24.30M
160.04%
4.28M
117.62%
36.30M
747.61%
-24.56M
167.65%
-21.09M
14.14%
-5.50M
73.91%
15.11M
374.60%
9.63M
36.25%
-11.16M
215.90%
-10.82M
3.01%
15.00M
238.61%
19.30M
28.65%
-455K
102.36%
-5.89M
1,194.51%
38.80M
758.66%
-51.54M
232.85%
6.25M
112.14%
9.79M
56.43%
-33.58M
443.21%
cash at beginning of period
133.53M
-
101.62M
23.89%
57.57M
43.35%
166.50M
189.24%
107.58M
35.39%
55.11M
48.77%
32.01M
41.92%
39.53M
23.51%
37.53M
5.05%
34.10M
9.14%
14.35M
57.94%
20.11M
40.16%
60.58M
201.29%
36.28M
40.11%
40.56M
11.81%
76.87M
89.50%
52.31M
31.95%
31.22M
40.31%
25.72M
17.62%
40.83M
58.73%
50.46M
23.59%
39.30M
22.12%
28.47M
27.55%
43.47M
52.70%
62.78M
44.40%
62.32M
0.72%
56.43M
9.45%
95.23M
68.75%
43.69M
54.12%
49.94M
14.32%
59.73M
19.59%
cash at end of period
101.62M
-
57.57M
43.35%
166.50M
189.24%
107.58M
35.39%
55.11M
48.77%
32.01M
41.92%
39.53M
23.51%
37.53M
5.05%
34.10M
9.14%
14.35M
57.94%
20.11M
40.16%
60.58M
201.29%
36.28M
40.11%
40.56M
11.81%
76.87M
89.50%
52.31M
31.95%
31.22M
40.31%
25.72M
17.62%
40.83M
58.73%
50.46M
23.59%
39.30M
22.12%
28.47M
27.55%
43.47M
52.70%
62.78M
44.40%
62.32M
0.72%
56.43M
9.45%
95.23M
68.75%
43.69M
54.12%
49.94M
14.32%
59.73M
19.59%
26.14M
56.23%
operating cash flow
-24.05M
-
-27.96M
16.23%
5.80M
120.74%
-52.66M
1,008.31%
-44.53M
15.44%
-31.10M
30.16%
-25.26M
18.77%
-29.14M
15.36%
-10.88M
62.68%
-13.56M
24.71%
16.89M
224.55%
90.13M
433.47%
-24.34M
127.00%
10.27M
142.19%
48.33M
370.71%
11.39M
76.43%
-26.18M
329.78%
-4.68M
82.13%
25.94M
654.65%
23.49M
9.44%
-17.33M
173.79%
-6.28M
63.75%
38.73M
716.34%
28.02M
27.64%
4.13M
85.28%
-2.02M
148.92%
38.85M
2,025.42%
9.44M
75.70%
6.83M
27.62%
29.79M
335.84%
12.94M
56.57%
capital expenditure
free cash flow
-24.05M
-
-27.96M
16.23%
5.80M
120.74%
-52.66M
1,008.31%
-44.53M
15.44%
-31.10M
30.16%
-25.26M
18.77%
-29.14M
15.36%
-10.88M
62.68%
-13.56M
24.71%
16.89M
224.55%
90.13M
433.47%
-24.34M
127.00%
10.27M
142.19%
48.33M
370.71%
11.39M
76.43%
-26.18M
329.78%
-4.68M
82.13%
25.94M
654.65%
23.49M
9.44%
-17.33M
173.79%
-6.28M
63.75%
38.73M
716.34%
28.02M
27.64%
4.13M
85.28%
-2.02M
148.92%
38.85M
2,025.42%
9.44M
75.70%
6.83M
27.62%
29.79M
335.84%
12.94M
56.57%

All numbers in USD (except ratios and percentages)