IIII

NASDAQ:IIIIU

INSU Acquisition Corp. III

  • Stock

USD

Last Close

10.08

21/12 21:00

Volume Today

167.78K

Avg: 2.18K

PE Ratio

0.00

PFCF: -

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Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
net income
-72.43K
-
2.33M
3,316.71%
-2.17M
193.08%
1.28M
159.08%
3.94M
207.80%
2.96T
74,974,481.81%
956.34K
100.00%
-2.96M
409.20%
depreciation and amortization
deferred income tax
stock based compensation
change in working capital
-349.98K
-
246.95K
170.56%
68.58K
72.23%
130.88K
90.84%
442.66K
238.23%
-3.46M
880.58%
-1.18M
65.89%
2.96M
350.92%
accounts receivables
inventory
accounts payables
other working capital
-349.98K
-
246.95K
170.56%
68.58K
72.23%
442.66K
-
other non cash items
-206
-
-2.83M
1,373,400.49%
1.88M
166.34%
-1.63M
186.94%
-4.39M
168.82%
-2.96T
67,408,783.73%
0.60
-
net cash provided by operating activities
-422.62K
-
-252.47K
40.26%
-223.24K
11.58%
-219.56K
1.65%
-142.41K
35.14%
-498.28K
249.90%
-222.14K
55.42%
-0.32
100.00%
investments in property plant and equipment
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
-250M
-
17.26K
-
184.24K
-
0.33
100.00%
net cash used for investing activites
-250M
-
17.26K
-
184.24K
-
0.33
100.00%
debt repayment
-71.28K
-
common stock issued
251.41M
-
common stock repurchased
dividends paid
other financing activites
-376.74K
-
500K
-
310K
38%
150K
51.61%
net cash used provided by financing activities
250.97M
-
500K
-
310K
38%
150K
51.61%
effect of forex changes on cash
250.42M
-
-250K
-
net change in cash
250.97M
-
-252.47K
100.10%
-223.24K
11.58%
30.44K
113.64%
-188.28K
-
112.11K
159.54%
-147.77K
231.82%
cash at beginning of period
-250.42M
-
544.36K
100.22%
291.89K
46.38%
68.65K
76.48%
68.65K
0%
223.95K
226.22%
35.67K
84.07%
147.77K
314.30%
cash at end of period
544.36K
-
291.89K
46.38%
68.65K
76.48%
99.09K
44.34%
68.65K
30.72%
35.67K
48.04%
147.77K
314.30%
0.16
100.00%
operating cash flow
-422.62K
-
-252.47K
40.26%
-223.24K
11.58%
-219.56K
1.65%
-142.41K
35.14%
-498.28K
249.90%
-222.14K
55.42%
-0.32
100.00%
capital expenditure
free cash flow
-422.62K
-
-252.47K
40.26%
-223.24K
11.58%
-219.56K
1.65%
-142.41K
35.14%
-498.28K
249.90%
-222.14K
55.42%
-0.32
100.00%

All numbers in USD (except ratios and percentages)