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NASDAQ:BLEUU

bleuacacia ltd

  • Stock

USD

Last Close

11.70

14/11 21:00

Market Cap

81.15M

Beta: -

Volume Today

3

Avg: 475

PE Ratio

7.69

PFCF: −203.37

Preview

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Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
net income
-32.81K
-
-6.69
99.98%
-12.71
90.01%
-248.89
1,858.54%
-320.33K
128,602.52%
-312.61K
2.41%
964.64K
408.58%
2.17M
125.34%
2.82M
29.92%
1.47M
48.09%
-54.54K
103.72%
-371.53K
581.19%
-370.89K
0.17%
depreciation and amortization
deferred income tax
stock based compensation
2.27
-
change in working capital
7.81K
-
200.87K
-
151.51K
24.57%
-15.89K
110.49%
149.67K
1,042.00%
-73.03K
148.79%
253.61K
447.27%
249.81K
1.50%
490.37K
96.30%
125.49K
74.41%
accounts receivables
inventory
accounts payables
76.92K
-
127.63K
65.93%
-150.07K
217.59%
181.97K
221.25%
-160.15K
188.01%
154.09K
196.22%
149.75K
2.82%
56.73K
-
other working capital
123.95K
-
23.89K
80.73%
134.19K
461.73%
-32.29K
124.06%
160.15K
595.96%
99.52K
37.86%
100.06K
0.55%
490.37K
390.07%
125.49K
74.41%
other non cash items
25K
-
6.69
99.97%
12.71
90.01%
-627.57
5,038.42%
18.18K
2,996.87%
111.54K
513.53%
-1.15M
1,134.04%
-2.36M
104.85%
-3.07M
30.03%
-1.90M
38.11%
-215.98K
88.64%
-223.42K
3.45%
-96.25K
56.92%
net cash provided by operating activities
-876.47
-
-101.28K
11,455.85%
-49.56K
51.07%
-204.61K
312.85%
-39.20K
80.84%
-321.00K
718.97%
-181.52K
43.45%
-20.71K
88.59%
-104.58K
405.07%
-341.65K
226.67%
investments in property plant and equipment
acquisitions net
purchases of investments
sales maturities of investments
267.75M
-
9.97M
-
other investing activites
-301.09K
-
9.97M
-
net cash used for investing activites
-301.09K
-
267.75M
-
9.97M
-
debt repayment
-300K
-
-474.48K
-
-125K
-
-350K
180%
common stock issued
common stock repurchased
-267.75M
-
-9.97M
-
dividends paid
other financing activites
302.14K
-
600K
-
948.96K
-
-9.62M
-
net cash used provided by financing activities
302.14K
-
300K
-
474.48K
-
-267.75M
56,530.94%
125K
-
-9.62M
7,797.68%
effect of forex changes on cash
net change in cash
169.53
-
-101.28K
59,841.65%
-49.56K
51.07%
95.39K
292.48%
-39.20K
141.09%
153.48K
491.57%
-181.52K
218.27%
-20.71K
88.59%
20.42K
198.59%
8.35K
59.08%
cash at beginning of period
155.24K
-
53.95K
65.24%
4.39K
91.85%
99.79K
2,170.47%
60.59K
39.28%
214.07K
253.30%
32.55K
84.80%
11.84K
63.62%
32.26K
172.42%
cash at end of period
169.53
-
53.95K
31,725.29%
4.39K
91.85%
99.79K
2,170.47%
60.59K
39.28%
214.07K
253.30%
32.55K
84.80%
11.84K
63.62%
32.26K
172.42%
40.61K
25.90%
operating cash flow
-876.47
-
-101.28K
11,455.85%
-49.56K
51.07%
-204.61K
312.85%
-39.20K
80.84%
-321.00K
718.97%
-181.52K
43.45%
-20.71K
88.59%
-104.58K
405.07%
-341.65K
226.67%
capital expenditure
free cash flow
-876.47
-
-101.28K
11,455.85%
-49.56K
51.07%
-204.61K
312.85%
-39.20K
80.84%
-321.00K
718.97%
-181.52K
43.45%
-20.71K
88.59%
-104.58K
405.07%
-341.65K
226.67%

All numbers in USD (except ratios and percentages)