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RBX Robex Resources Inc

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  • 3.070
  • -0.030-0.97%
15min DelayMarket Closed Apr 30 16:00 ET
517.29MMarket Cap-32.32P/E (TTM)

Robex Resources Inc 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
-11.96%46.89M
13.74%21.43M
-177.88%-7.92M
9.96%12.48M
61.96%20.91M
78.64%53.27M
37.21%18.84M
95.17%10.17M
22.34%11.35M
1,068.99%12.91M
Net income from continuing operations
-34.34%-12.56M
90.19%-2.75M
228.75%22.46M
-103.76%-187.74K
-568.43%-32.08M
-128.48%-9.35M
-776.14%-28.02M
-10.25%6.83M
-39.99%4.99M
-48.76%6.85M
Operating gains losses
-673.08%-13.36M
-419.66%-9.22M
-1,887.24%-11.26M
--6.71M
--412.49K
---1.73M
---1.77M
--629.93K
----
----
Depreciation and amortization
86.67%39.96M
20.37%6.66M
87.38%11.48M
130.32%11.23M
117.42%10.58M
84.89%21.41M
68.68%5.53M
97.85%6.13M
99.11%4.88M
97.88%4.87M
Asset impairment expenditure
-99.95%26.89K
-99.95%26.89K
--0
----
----
4,566.36%54.54M
4,659.53%54.53M
--0
----
----
Remuneration paid in stock
-37.46%264.33K
--264.33K
----
----
----
-51.03%422.67K
--0
----
----
----
Deferred tax
102.46%269.07K
102.49%269.07K
--0
--0
--0
-636.31%-10.92M
-1,223.46%-10.81M
-162.03%-222.39K
-96.36%52.1K
108.34%59.81K
Other non cashItems
492.38%6.42M
-248.47%-781.63K
3,578.15%6.04M
357.30%616.11K
-12.84%551.81K
-36.40%1.08M
-45.81%526.46K
4.27%164.12K
-403.60%-239.45K
167.53%633.14K
Change In working capital
3,149.19%27.18M
3,515.60%26.84M
-911.56%-36.26M
-304.47%-5.34M
4,737.30%41.94M
95.27%-891.23K
-116.15%-785.84K
46.74%-3.58M
188.35%2.61M
106.19%866.98K
-Change in receivables
332.79%1.25M
473.94%7.1M
183.25%916.29K
-181.49%-6.09M
-145.15%-672.36K
83.81%-538.45K
-86.31%1.24M
84.79%-1.1M
-149.61%-2.16M
115.70%1.49M
-Change in inventory
-199.99%-1.24M
1,197.63%1.65M
-99.43%13.52K
-16.87%-2.57M
-135.88%-332.41K
133.70%1.24M
157.59%127.29K
3,465.40%2.38M
47.48%-2.2M
38.48%926.53K
-Change in prepaid assets
-861.65%-1.22M
-1,466.92%-1.33M
-10.75%660.9K
62.59%-231.29K
-412.68%-309.91K
-34.57%159.56K
-85.24%97.66K
32.65%740.51K
-555.64%-618.17K
93.14%-60.45K
-Change in payables and accrued expense
1,034.08%27.05M
643.57%18.24M
-575.60%-38M
-53.29%3.55M
2,971.10%43.27M
78.57%-2.9M
44.53%-3.35M
-4,662.69%-5.62M
349.87%7.59M
65.01%-1.51M
-Change in other current liabilities
15.47%1.32M
7.06%1.18M
798.64%146.52K
93.62%8.23K
-187.65%-16.35K
-20.13%1.15M
-22.87%1.11M
--16.3K
--4.25K
--18.65K
Interest paid (cash flow from operating activities)
-0.87%-1.31M
132.23%116.59K
-89.96%-382.44K
-48.84%-547.43K
-35.08%-496.33K
14.40%-1.3M
66.17%-361.75K
-34.56%-201.32K
-478.22%-367.81K
-56.88%-367.44K
Cash from discontinued investing activities
Operating cash flow
-11.96%46.89M
13.74%21.43M
-177.88%-7.92M
9.96%12.48M
61.96%20.91M
78.64%53.27M
37.21%18.84M
95.17%10.17M
22.34%11.35M
1,068.99%12.91M
Investing cash flow
Cash flow from continuing investing activities
-46.31%-112.27M
-129.93%-47.51M
-81.04%-34.63M
45.05%-14.09M
-41.91%-16.04M
-60.90%-76.73M
16.54%-20.66M
-181.90%-19.13M
-166.02%-25.64M
-73.70%-11.3M
Net PPE purchase and sale
-34.33%-81.12M
-80.55%-40.25M
-814.95%-10.99M
46.90%-14.51M
-60.60%-15.38M
-72.64%-60.39M
-90.68%-22.29M
83.21%-1.2M
-176.32%-27.32M
-53.20%-9.57M
Net intangibles purchas and sale
69.19%-75.35K
93.28%-8.34K
344.39%179.42K
-196.29%-166.89K
-949.47%-79.54K
-101.99%-244.57K
-5,535.01%-124.19K
40.49%-73.42K
---56.33K
--9.36K
Net other investing changes
-93.01%-31.08M
-514.06%-7.26M
----
----
66.32%-585.79K
-27.87%-16.1M
113.40%1.75M
----
----
-572.73%-1.74M
Cash from discontinued investing activities
Investing cash flow
-46.31%-112.27M
-129.93%-47.51M
-81.04%-34.63M
45.05%-14.09M
-41.91%-16.04M
-60.90%-76.73M
16.54%-20.66M
-181.90%-19.13M
-166.02%-25.64M
-73.70%-11.3M
Financing cash flow
Cash flow from continuing financing activities
162.02%92.22M
-103.15%-5.52M
-111.00%-2.32M
566.48%100.12M
-103.32%-60.21K
4,698.25%35.2M
-151.67%-2.72M
1,680.57%21.08M
400.40%15.02M
122.05%1.81M
Net issuance payments of debt
-168.19%-26.23M
-182.49%-3.97M
-99.97%6.11K
-236.23%-22.12M
-106.64%-146.54K
6,233.86%38.46M
-126.73%-1.41M
1,710.03%21.43M
464.54%16.23M
126.85%2.21M
Net common stock issuance
--126.5M
--0
--0
----
----
--0
--0
--0
----
----
Cash dividends paid
-451.01%-1.58M
115.78%32.39K
----
----
----
---286.23K
---205.24K
----
----
----
Proceeds from stock option exercised by employees
350.82%404.97K
--378.97K
--26K
--0
--0
-28.85%89.83K
--0
--0
--0
--89.83K
Net other financing activities
-124.10%-6.88M
-77.25%-1.96M
-176.57%-740.43K
-251.86%-4.27M
117.82%86.33K
---3.07M
---1.11M
---267.72K
---1.21M
---484.33K
Cash from discontinued financing activities
Financing cash flow
162.02%92.22M
-103.15%-5.52M
-111.00%-2.32M
566.48%100.12M
-103.32%-60.21K
4,698.25%35.2M
-151.67%-2.72M
1,680.57%21.08M
400.40%15.02M
122.05%1.81M
Net cash flow
Beginning cash position
238.43%12.22M
288.36%70.46M
2,057.13%113.79M
182.83%16.6M
238.43%12.22M
-82.57%3.61M
132.08%18.14M
-35.42%5.28M
-0.20%5.87M
-82.57%3.61M
Current changes in cash
128.86%26.84M
-595.86%-31.6M
-470.14%-44.87M
13,342.69%98.51M
40.67%4.81M
168.43%11.73M
21.32%-4.54M
3,200.86%12.12M
-72.25%732.8K
125.09%3.42M
Effect of exchange rate changes
176.32%2.38M
287.98%2.59M
105.44%1.53M
0.65%-1.32M
63.41%-423.34K
-10,367.82%-3.12M
-187.97%-1.38M
1,763.74%745.63K
-274.30%-1.33M
5.29%-1.16M
End cash Position
239.09%41.44M
239.09%41.44M
288.36%70.46M
2,057.13%113.79M
182.83%16.6M
238.43%12.22M
238.43%12.22M
132.08%18.14M
-35.42%5.28M
-0.20%5.87M
Free cash from
-365.65%-34.3M
-426.38%-18.83M
-310.55%-18.73M
86.30%-2.19M
63.46%5.45M
-39.45%-7.37M
-275.19%-3.58M
531.04%8.89M
-2,521.00%-16.02M
164.82%3.34M
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 with Explanatory Notes
--
--
--
--
(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 -11.96%46.89M13.74%21.43M-177.88%-7.92M9.96%12.48M61.96%20.91M78.64%53.27M37.21%18.84M95.17%10.17M22.34%11.35M1,068.99%12.91M
Net income from continuing operations -34.34%-12.56M90.19%-2.75M228.75%22.46M-103.76%-187.74K-568.43%-32.08M-128.48%-9.35M-776.14%-28.02M-10.25%6.83M-39.99%4.99M-48.76%6.85M
Operating gains losses -673.08%-13.36M-419.66%-9.22M-1,887.24%-11.26M--6.71M--412.49K---1.73M---1.77M--629.93K--------
Depreciation and amortization 86.67%39.96M20.37%6.66M87.38%11.48M130.32%11.23M117.42%10.58M84.89%21.41M68.68%5.53M97.85%6.13M99.11%4.88M97.88%4.87M
Asset impairment expenditure -99.95%26.89K-99.95%26.89K--0--------4,566.36%54.54M4,659.53%54.53M--0--------
Remuneration paid in stock -37.46%264.33K--264.33K-------------51.03%422.67K--0------------
Deferred tax 102.46%269.07K102.49%269.07K--0--0--0-636.31%-10.92M-1,223.46%-10.81M-162.03%-222.39K-96.36%52.1K108.34%59.81K
Other non cashItems 492.38%6.42M-248.47%-781.63K3,578.15%6.04M357.30%616.11K-12.84%551.81K-36.40%1.08M-45.81%526.46K4.27%164.12K-403.60%-239.45K167.53%633.14K
Change In working capital 3,149.19%27.18M3,515.60%26.84M-911.56%-36.26M-304.47%-5.34M4,737.30%41.94M95.27%-891.23K-116.15%-785.84K46.74%-3.58M188.35%2.61M106.19%866.98K
-Change in receivables 332.79%1.25M473.94%7.1M183.25%916.29K-181.49%-6.09M-145.15%-672.36K83.81%-538.45K-86.31%1.24M84.79%-1.1M-149.61%-2.16M115.70%1.49M
-Change in inventory -199.99%-1.24M1,197.63%1.65M-99.43%13.52K-16.87%-2.57M-135.88%-332.41K133.70%1.24M157.59%127.29K3,465.40%2.38M47.48%-2.2M38.48%926.53K
-Change in prepaid assets -861.65%-1.22M-1,466.92%-1.33M-10.75%660.9K62.59%-231.29K-412.68%-309.91K-34.57%159.56K-85.24%97.66K32.65%740.51K-555.64%-618.17K93.14%-60.45K
-Change in payables and accrued expense 1,034.08%27.05M643.57%18.24M-575.60%-38M-53.29%3.55M2,971.10%43.27M78.57%-2.9M44.53%-3.35M-4,662.69%-5.62M349.87%7.59M65.01%-1.51M
-Change in other current liabilities 15.47%1.32M7.06%1.18M798.64%146.52K93.62%8.23K-187.65%-16.35K-20.13%1.15M-22.87%1.11M--16.3K--4.25K--18.65K
Interest paid (cash flow from operating activities) -0.87%-1.31M132.23%116.59K-89.96%-382.44K-48.84%-547.43K-35.08%-496.33K14.40%-1.3M66.17%-361.75K-34.56%-201.32K-478.22%-367.81K-56.88%-367.44K
Cash from discontinued investing activities
Operating cash flow -11.96%46.89M13.74%21.43M-177.88%-7.92M9.96%12.48M61.96%20.91M78.64%53.27M37.21%18.84M95.17%10.17M22.34%11.35M1,068.99%12.91M
Investing cash flow
Cash flow from continuing investing activities -46.31%-112.27M-129.93%-47.51M-81.04%-34.63M45.05%-14.09M-41.91%-16.04M-60.90%-76.73M16.54%-20.66M-181.90%-19.13M-166.02%-25.64M-73.70%-11.3M
Net PPE purchase and sale -34.33%-81.12M-80.55%-40.25M-814.95%-10.99M46.90%-14.51M-60.60%-15.38M-72.64%-60.39M-90.68%-22.29M83.21%-1.2M-176.32%-27.32M-53.20%-9.57M
Net intangibles purchas and sale 69.19%-75.35K93.28%-8.34K344.39%179.42K-196.29%-166.89K-949.47%-79.54K-101.99%-244.57K-5,535.01%-124.19K40.49%-73.42K---56.33K--9.36K
Net other investing changes -93.01%-31.08M-514.06%-7.26M--------66.32%-585.79K-27.87%-16.1M113.40%1.75M---------572.73%-1.74M
Cash from discontinued investing activities
Investing cash flow -46.31%-112.27M-129.93%-47.51M-81.04%-34.63M45.05%-14.09M-41.91%-16.04M-60.90%-76.73M16.54%-20.66M-181.90%-19.13M-166.02%-25.64M-73.70%-11.3M
Financing cash flow
Cash flow from continuing financing activities 162.02%92.22M-103.15%-5.52M-111.00%-2.32M566.48%100.12M-103.32%-60.21K4,698.25%35.2M-151.67%-2.72M1,680.57%21.08M400.40%15.02M122.05%1.81M
Net issuance payments of debt -168.19%-26.23M-182.49%-3.97M-99.97%6.11K-236.23%-22.12M-106.64%-146.54K6,233.86%38.46M-126.73%-1.41M1,710.03%21.43M464.54%16.23M126.85%2.21M
Net common stock issuance --126.5M--0--0----------0--0--0--------
Cash dividends paid -451.01%-1.58M115.78%32.39K---------------286.23K---205.24K------------
Proceeds from stock option exercised by employees 350.82%404.97K--378.97K--26K--0--0-28.85%89.83K--0--0--0--89.83K
Net other financing activities -124.10%-6.88M-77.25%-1.96M-176.57%-740.43K-251.86%-4.27M117.82%86.33K---3.07M---1.11M---267.72K---1.21M---484.33K
Cash from discontinued financing activities
Financing cash flow 162.02%92.22M-103.15%-5.52M-111.00%-2.32M566.48%100.12M-103.32%-60.21K4,698.25%35.2M-151.67%-2.72M1,680.57%21.08M400.40%15.02M122.05%1.81M
Net cash flow
Beginning cash position 238.43%12.22M288.36%70.46M2,057.13%113.79M182.83%16.6M238.43%12.22M-82.57%3.61M132.08%18.14M-35.42%5.28M-0.20%5.87M-82.57%3.61M
Current changes in cash 128.86%26.84M-595.86%-31.6M-470.14%-44.87M13,342.69%98.51M40.67%4.81M168.43%11.73M21.32%-4.54M3,200.86%12.12M-72.25%732.8K125.09%3.42M
Effect of exchange rate changes 176.32%2.38M287.98%2.59M105.44%1.53M0.65%-1.32M63.41%-423.34K-10,367.82%-3.12M-187.97%-1.38M1,763.74%745.63K-274.30%-1.33M5.29%-1.16M
End cash Position 239.09%41.44M239.09%41.44M288.36%70.46M2,057.13%113.79M182.83%16.6M238.43%12.22M238.43%12.22M132.08%18.14M-35.42%5.28M-0.20%5.87M
Free cash from -365.65%-34.3M-426.38%-18.83M-310.55%-18.73M86.30%-2.19M63.46%5.45M-39.45%-7.37M-275.19%-3.58M531.04%8.89M-2,521.00%-16.02M164.82%3.34M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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