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KPLT Katapult

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  • 7.610
  • +0.010+0.13%
Close Apr 17 16:00 ET
  • 7.610
  • 0.0000.00%
Post 20:01 ET
33.95MMarket Cap-1.28P/E (TTM)

Katapult Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-87.03%-32.57M
-193.99%-28.5M
-752.47%-5.42M
88.88%-628K
168.13%1.98M
16.47%-17.41M
49.80%-9.69M
272.65%831K
-2.64%-5.65M
-177.68%-2.91M
Net income from continuing operations
29.32%-25.92M
34.59%-9.57M
-119.24%-8.89M
7.39%-6.89M
94.59%-570K
9.40%-36.67M
1.69%-14.63M
55.98%-4.05M
28.09%-7.44M
-74.62%-10.55M
Operating gains losses
-116.16%-256K
-702.78%-289K
94.76%-20K
57.59%-109K
-92.83%162K
124.60%1.58M
94.43%-36K
-0.26%-382K
88.94%-257K
173.13%2.26M
Depreciation and amortization
11.09%140.95M
9.98%37.7M
9.05%34.37M
11.07%34.78M
14.53%34.1M
8.26%126.89M
23.14%34.28M
17.84%31.52M
5.12%31.31M
-9.30%29.78M
Other non cash items
11.35%33.83M
18.79%8.84M
13.59%7.99M
11.42%8.3M
2.89%8.7M
-19.21%30.38M
-4.05%7.45M
-8.97%7.03M
-29.73%7.45M
-26.62%8.45M
Change In working capital
-25.64%-211.9M
-66.82%-74.46M
-15.82%-45.81M
0.17%-44.19M
-18.02%-47.44M
-10.41%-168.65M
4.45%-44.64M
-27.98%-39.56M
-12.52%-44.27M
-12.31%-40.19M
-Change in receivables
200.00%5M
--0
----
----
----
---5M
---5M
----
----
----
-Change in prepaid assets
-156.87%-2.05M
-535.88%-2.11M
-452.43%-941K
89.24%-27K
-66.90%1.03M
196.78%3.61M
114.49%485K
1,680.00%267K
88.82%-251K
68.14%3.11M
-Change in payables and accrued expense
-182.46%-13.24M
-145.77%-6.86M
-561.85%-5.4M
903.36%2.39M
-885.09%-3.37M
401.34%16.06M
590.29%14.99M
-47.03%1.17M
278.95%238K
67.21%-342K
-Change in other current assets
-9.52%-201.19M
-18.37%-65.38M
-6.56%-43.74M
-6.13%-46.83M
-4.50%-45.25M
-21.38%-183.7M
-21.11%-55.23M
-24.76%-41.04M
-21.06%-44.12M
-18.96%-43.3M
-Change in other current liabilities
25.58%-288K
34.67%-49K
-47.06%-125K
48.70%-59K
50.89%-55K
6.30%-387K
29.91%-75K
19.05%-85K
-12.75%-115K
-13.13%-112K
-Change in other working capital
-116.47%-126K
-130.57%-59K
-549.26%-611K
2,500.00%336K
-53.78%208K
263.81%765K
12.87%193K
207.94%136K
96.61%-14K
554.55%450K
Cash from discontinued investing activities
Operating cash flow
-87.03%-32.57M
-193.99%-28.5M
-752.47%-5.42M
88.88%-628K
168.13%1.98M
16.47%-17.41M
49.80%-9.69M
272.65%831K
-2.64%-5.65M
-177.68%-2.91M
Investing cash flow
Cash flow from continuing investing activities
-33.78%-1.3M
-206.64%-647K
-30.74%-319K
3.21%-211K
58.14%-126K
35.28%-974K
-52.90%-211K
33.88%-244K
43.67%-218K
50.74%-301K
Capital expenditure reported
-30.92%-1.25M
-212.94%-629K
-31.62%-308K
16.22%-186K
57.58%-126K
28.65%-954K
-50.00%-201K
34.64%-234K
40.48%-222K
37.08%-297K
Net PPE purchase and sale
-170.00%-54K
-80.00%-18K
-10.00%-11K
-725.00%-25K
--0
88.10%-20K
-150.00%-10K
9.09%-10K
128.57%4K
97.12%-4K
Cash from discontinued investing activities
Investing cash flow
-33.78%-1.3M
-206.64%-647K
-30.74%-319K
3.21%-211K
58.14%-126K
35.28%-974K
-52.90%-211K
33.88%-244K
43.67%-218K
50.74%-301K
Financing cash flow
Cash flow from continuing financing activities
195.46%21.61M
10,234.87%15.41M
28.88%-2.34M
-33.92%1.64M
131.85%6.91M
-434.39%-22.64M
-101.97%-152K
40.55%-3.29M
-64.19%2.49M
-62.33%-21.69M
Net issuance payments of debt
198.93%22.02M
13,422.41%15.45M
24.35%-2.43M
-31.73%1.77M
133.54%7.22M
-461.97%-22.25M
-101.49%-116K
41.58%-3.21M
-62.92%2.59M
-62.75%-21.52M
Net common stock issuance
-72.68%-613K
-37.84%-51K
-47.89%-105K
-72.62%-145K
-91.41%-312K
-3.20%-355K
27.45%-37K
-44.90%-71K
-71.43%-84K
16.41%-163K
Proceeds from stock option exercised by employees
21,000.00%211K
100.00%2K
--191K
----
----
-98.51%1K
-50.00%1K
--0
----
----
Net other financing activities
----
----
----
----
----
---34K
--0
---12K
----
----
Cash from discontinued financing activities
Financing cash flow
195.46%21.61M
10,234.87%15.41M
28.88%-2.34M
-33.92%1.64M
131.85%6.91M
-434.39%-22.64M
-101.97%-152K
40.55%-3.29M
-64.19%2.49M
-62.33%-21.69M
Net cash flow
Beginning cash position
-58.75%28.81M
-22.06%30.29M
-7.69%38.37M
-16.41%37.57M
-58.75%28.81M
-27.57%69.84M
-52.35%38.87M
-52.36%41.57M
-47.86%44.95M
-27.57%69.84M
Current changes in cash
70.12%-12.26M
-36.63%-13.74M
-198.96%-8.08M
123.77%803K
135.19%8.76M
-54.31%-41.03M
14.28%-10.06M
52.41%-2.7M
-421.10%-3.38M
-143.35%-24.89M
End cash Position
-42.55%16.55M
-42.55%16.55M
-22.06%30.29M
-7.69%38.37M
-16.41%37.57M
-58.75%28.81M
-58.75%28.81M
-52.35%38.87M
-52.36%41.57M
-47.86%44.95M
Free cash flow
-84.21%-33.87M
-194.26%-29.15M
-1,078.02%-5.74M
85.69%-839K
157.81%1.85M
17.74%-18.39M
49.07%-9.91M
502.05%587K
0.41%-5.86M
-202.46%-3.21M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -87.03%-32.57M-193.99%-28.5M-752.47%-5.42M88.88%-628K168.13%1.98M16.47%-17.41M49.80%-9.69M272.65%831K-2.64%-5.65M-177.68%-2.91M
Net income from continuing operations 29.32%-25.92M34.59%-9.57M-119.24%-8.89M7.39%-6.89M94.59%-570K9.40%-36.67M1.69%-14.63M55.98%-4.05M28.09%-7.44M-74.62%-10.55M
Operating gains losses -116.16%-256K-702.78%-289K94.76%-20K57.59%-109K-92.83%162K124.60%1.58M94.43%-36K-0.26%-382K88.94%-257K173.13%2.26M
Depreciation and amortization 11.09%140.95M9.98%37.7M9.05%34.37M11.07%34.78M14.53%34.1M8.26%126.89M23.14%34.28M17.84%31.52M5.12%31.31M-9.30%29.78M
Other non cash items 11.35%33.83M18.79%8.84M13.59%7.99M11.42%8.3M2.89%8.7M-19.21%30.38M-4.05%7.45M-8.97%7.03M-29.73%7.45M-26.62%8.45M
Change In working capital -25.64%-211.9M-66.82%-74.46M-15.82%-45.81M0.17%-44.19M-18.02%-47.44M-10.41%-168.65M4.45%-44.64M-27.98%-39.56M-12.52%-44.27M-12.31%-40.19M
-Change in receivables 200.00%5M--0---------------5M---5M------------
-Change in prepaid assets -156.87%-2.05M-535.88%-2.11M-452.43%-941K89.24%-27K-66.90%1.03M196.78%3.61M114.49%485K1,680.00%267K88.82%-251K68.14%3.11M
-Change in payables and accrued expense -182.46%-13.24M-145.77%-6.86M-561.85%-5.4M903.36%2.39M-885.09%-3.37M401.34%16.06M590.29%14.99M-47.03%1.17M278.95%238K67.21%-342K
-Change in other current assets -9.52%-201.19M-18.37%-65.38M-6.56%-43.74M-6.13%-46.83M-4.50%-45.25M-21.38%-183.7M-21.11%-55.23M-24.76%-41.04M-21.06%-44.12M-18.96%-43.3M
-Change in other current liabilities 25.58%-288K34.67%-49K-47.06%-125K48.70%-59K50.89%-55K6.30%-387K29.91%-75K19.05%-85K-12.75%-115K-13.13%-112K
-Change in other working capital -116.47%-126K-130.57%-59K-549.26%-611K2,500.00%336K-53.78%208K263.81%765K12.87%193K207.94%136K96.61%-14K554.55%450K
Cash from discontinued investing activities
Operating cash flow -87.03%-32.57M-193.99%-28.5M-752.47%-5.42M88.88%-628K168.13%1.98M16.47%-17.41M49.80%-9.69M272.65%831K-2.64%-5.65M-177.68%-2.91M
Investing cash flow
Cash flow from continuing investing activities -33.78%-1.3M-206.64%-647K-30.74%-319K3.21%-211K58.14%-126K35.28%-974K-52.90%-211K33.88%-244K43.67%-218K50.74%-301K
Capital expenditure reported -30.92%-1.25M-212.94%-629K-31.62%-308K16.22%-186K57.58%-126K28.65%-954K-50.00%-201K34.64%-234K40.48%-222K37.08%-297K
Net PPE purchase and sale -170.00%-54K-80.00%-18K-10.00%-11K-725.00%-25K--088.10%-20K-150.00%-10K9.09%-10K128.57%4K97.12%-4K
Cash from discontinued investing activities
Investing cash flow -33.78%-1.3M-206.64%-647K-30.74%-319K3.21%-211K58.14%-126K35.28%-974K-52.90%-211K33.88%-244K43.67%-218K50.74%-301K
Financing cash flow
Cash flow from continuing financing activities 195.46%21.61M10,234.87%15.41M28.88%-2.34M-33.92%1.64M131.85%6.91M-434.39%-22.64M-101.97%-152K40.55%-3.29M-64.19%2.49M-62.33%-21.69M
Net issuance payments of debt 198.93%22.02M13,422.41%15.45M24.35%-2.43M-31.73%1.77M133.54%7.22M-461.97%-22.25M-101.49%-116K41.58%-3.21M-62.92%2.59M-62.75%-21.52M
Net common stock issuance -72.68%-613K-37.84%-51K-47.89%-105K-72.62%-145K-91.41%-312K-3.20%-355K27.45%-37K-44.90%-71K-71.43%-84K16.41%-163K
Proceeds from stock option exercised by employees 21,000.00%211K100.00%2K--191K---------98.51%1K-50.00%1K--0--------
Net other financing activities -----------------------34K--0---12K--------
Cash from discontinued financing activities
Financing cash flow 195.46%21.61M10,234.87%15.41M28.88%-2.34M-33.92%1.64M131.85%6.91M-434.39%-22.64M-101.97%-152K40.55%-3.29M-64.19%2.49M-62.33%-21.69M
Net cash flow
Beginning cash position -58.75%28.81M-22.06%30.29M-7.69%38.37M-16.41%37.57M-58.75%28.81M-27.57%69.84M-52.35%38.87M-52.36%41.57M-47.86%44.95M-27.57%69.84M
Current changes in cash 70.12%-12.26M-36.63%-13.74M-198.96%-8.08M123.77%803K135.19%8.76M-54.31%-41.03M14.28%-10.06M52.41%-2.7M-421.10%-3.38M-143.35%-24.89M
End cash Position -42.55%16.55M-42.55%16.55M-22.06%30.29M-7.69%38.37M-16.41%37.57M-58.75%28.81M-58.75%28.81M-52.35%38.87M-52.36%41.57M-47.86%44.95M
Free cash flow -84.21%-33.87M-194.26%-29.15M-1,078.02%-5.74M85.69%-839K157.81%1.85M17.74%-18.39M49.07%-9.91M502.05%587K0.41%-5.86M-202.46%-3.21M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--------

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