Cash Flow for Paradigm Oil And Gas, Inc (PDGO)

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Cash Flow for Paradigm Oil and Gas Inc.  (PDGO) 
$ 0.004   -0.001 (-20.00%) Volume: 7.69 m 3:50 PM EDT May 22, 2013
After Hours:  $ 0.0039   -0.0001 (-2.50%) Volume: 3.58 m 4:07 PM EDT May 22, 2013
Statement: View:
Cash Flow in Thousands of Dollars
12/2010 12/2009 12/2008 12/2007 12/2005
Net Income - (18) (964) (172) (198)
Depreciation - - - - -
Amortization - - - - -
Amortization of Intagibles - - - - -
Deferred Income Taxes N/A - - - -
Operating Gains/Losses - - - - -
Extraordinary Gains/Losses - - - - -
Decrease in Receivables - - - - -
Decrease in Inventories - - - - -
Decrease in Prepaid Expenses - - - - (3)
Decrease in Other Current Assets - - - - -
Increase in Payables - (7) 143 150 7
Increase in Other Current Liabilities - - - - -
Decrease in Other Working Capital - - - - -
Other Non-Cash Items - 25 794 5 (453)
Net Cash from Continuing Operations (442) - (27) (17) (648)
Net Cash from Discontinued Operations - - - - -
Cash from Operating Activities (442) - (27) (17) (648)
Sale of Property, Plant, Equipment - - - - 127
Sale of Long Term Investments - - - - -
Sale of Short Term Investments - - - - -
Purchase of Property, Plant, Equipment (281) - - - (644)
Acquisitions 0 - - - -
Purchase of Long Term Investments - - - - -
Purchase of Short Term Investments - - - - -
Other Investment Changes, Net - - - - -
Cash from Investing Activities - - - - (516)
Cash from Discontinued Investing Activities - - - - -
Issuance of Debt - - 26 39 58
Issuance of Capital Stock - - - - 830
Repayment of Debt - - - - (50)
Repurchase of Capital Stock - - - - -
Payment of Cash Dividends - - - - -
Other Financing Charges, Net - - - - -
Cash from Financing Activities - - 26 39 838
Cash from Discontinued Financing Activities - - - - -
Effect of Exchange Rate Changes - (0) 0 (22) 4
Net Change in Cash - (0) (1) (0) (322)
Cash at Beginning of Year - 0 1 1 (11)
Cash at End of Period - 0 0 1 (333)
Foreign Sales - - N/A N/A N/A
Domestic Sales - - N/A N/A N/A

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