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CRGO Freightos

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  • 2.140
  • +0.140+7.00%
Close Apr 24 16:00 ET
  • 2.140
  • 0.0000.00%
Post 16:00 ET
107.09MMarket Cap-4.65P/E (TTM)

Freightos 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
55.34%-12.1M
-51.37%-4.53M
42.10%-3.07M
57.11%-2.76M
85.92%-1.74M
-81.75%-27.1M
42.15%-2.99M
-93.74%-5.3M
-78.33%-6.45M
-264.83%-12.36M
Net income from continuing operations
65.65%-22.49M
-196.74%-9.84M
61.96%-2.72M
6.95%-5.31M
90.63%-4.62M
-165.06%-65.47M
63.54%-3.32M
-32.94%-7.16M
4.50%-5.71M
-1,061.88%-49.29M
Operating gains losses
110.22%965K
407.19%1.41M
5.83%-1.49M
139.42%1.32M
96.43%-284K
---9.44M
---459K
---1.58M
--553K
---7.96M
Depreciation and amortization
10.46%3.08M
22.54%870K
11.68%803K
-1.81%706K
9.49%704K
15.67%2.79M
10.25%710K
12.34%719K
18.26%719K
23.42%643K
Deferred tax
820.00%612K
544.52%649K
-129.31%-17K
---7K
-533.33%-13K
-150.30%-85K
-287.18%-146K
9.43%58K
--0
123.08%3K
Other non cash items
-103.94%-1.68M
83.04%-259K
-48.25%-636K
59.21%-567K
-100.48%-220K
2,091.78%42.65M
-184.46%-1.53M
-14,400.00%-429K
-2,341.94%-1.39M
62,910.96%46M
Change In working capital
60.16%-1.51M
-420.79%-1.37M
46.58%-156K
75.57%-299K
111.72%317K
-202.85%-3.79M
-53.88%428K
-121.31%-292K
-181.60%-1.22M
-2,359.09%-2.71M
-Change in receivables
-477.35%-883K
-77.18%207K
-71.89%183K
-22.61%-1.16M
69.11%-118K
378.57%234K
94.22%907K
1,203.39%651K
-328.18%-942K
-40.44%-382K
-Change in payables and accrued expense
84.41%-628K
-229.85%-1.58M
64.05%-339K
403.55%856K
118.73%435K
-206.62%-4.03M
-202.79%-479K
-165.99%-943K
-116.40%-282K
-1,533.95%-2.32M
-Change in other current assets
-363.16%-968K
-106.23%-74K
-149.38%-596K
336.28%508K
-3,200.00%-806K
-103.58%-209K
-54.33%1.19M
121.06%1.21M
-108.76%-215K
-88.98%26K
-Change in other current liabilities
363.16%968K
106.23%74K
149.38%596K
-336.28%-508K
3,200.00%806K
103.58%209K
54.42%-1.19M
-121.06%-1.21M
108.76%215K
88.98%-26K
Cash from discontinued investing activities
Operating cash flow
55.34%-12.1M
-51.37%-4.53M
42.10%-3.07M
57.11%-2.76M
85.92%-1.74M
-81.75%-27.1M
42.15%-2.99M
-93.74%-5.3M
-78.33%-6.45M
-264.83%-12.36M
Investing cash flow
Cash flow from continuing investing activities
106.46%2.08M
-100.38%-68K
-374.45%-3.36M
137.31%11.51M
70.93%-6M
-546.45%-32.16M
25,734.29%18.08M
2,287.50%1.23M
-7,826.99%-30.84M
-348.57%-20.63M
Net PPE purchase and sale
36.11%-46K
-166.67%-16K
-1,600.00%-15K
59.09%-9K
86.67%-6K
70.73%-72K
82.35%-6K
102.33%1K
75.56%-22K
43.04%-45K
Net business purchase and sale
-1,487.68%-3.35M
--0
---3.35M
--0
--0
94.95%-211K
-146.01%-75K
--0
--0
96.87%-136K
Net investment purchase and sale
117.17%5.47M
-100.42%-75K
-99.52%6K
137.40%11.52M
70.00%-6M
-5,664.56%-31.88M
30,250.85%17.79M
9,738.46%1.25M
---30.81M
---20M
Net other investing changes
----
----
89.66%-3K
----
101.77%8K
----
----
---29K
----
-148.90%-453K
Cash from discontinued investing activities
Investing cash flow
106.46%2.08M
-100.38%-68K
-374.45%-3.36M
137.31%11.51M
70.93%-6M
-546.45%-32.16M
25,734.29%18.08M
2,287.50%1.23M
-7,826.99%-30.84M
-348.57%-20.63M
Financing cash flow
Cash flow from continuing financing activities
-99.88%85K
595.12%203K
81.48%-10K
113.61%20K
-100.17%-128K
3,771.80%73.18M
-101.79%-41K
52.63%-54K
15.52%-147K
68,715.89%73.42M
Net issuance payments of debt
79.40%-629K
-18.18%-208K
-34.88%-116K
-5.44%-155K
94.33%-150K
-268.02%-3.05M
-107.77%-176K
36.76%-86K
20.11%-147K
-1,965.63%-2.64M
Net common stock issuance
--0
--0
--0
--0
--0
--76.04M
--0
--0
--0
--76.04M
Proceeds from stock option exercised by employees
283.87%714K
204.44%411K
231.25%106K
--175K
15.79%22K
154.79%186K
575.00%135K
45.45%32K
--0
-9.52%19K
Cash from discontinued financing activities
Financing cash flow
-99.88%85K
595.12%203K
81.48%-10K
113.61%20K
-100.17%-128K
3,771.80%73.18M
-101.79%-41K
52.63%-54K
15.52%-147K
68,715.89%73.42M
Net cash flow
Beginning cash position
210.61%20.17M
186.64%14.55M
125.96%21M
-73.77%12.27M
210.61%20.17M
-74.11%6.49M
-45.73%5.08M
-25.26%9.29M
176.74%46.78M
-74.11%6.49M
Current changes in cash
-171.39%-9.94M
-129.19%-4.39M
-56.11%-6.44M
123.41%8.76M
-119.46%-7.87M
177.36%13.92M
634.29%15.05M
-42.06%-4.12M
-796.05%-37.43M
599.27%40.42M
Effect of exchange rate changes
55.47%-110K
-200.00%-38K
86.17%-13K
41.07%-33K
80.74%-26K
58.42%-247K
186.36%38K
47.49%-94K
80.76%-56K
-68.75%-135K
End cash Position
-49.82%10.12M
-49.82%10.12M
186.64%14.55M
125.96%21M
-73.77%12.27M
210.61%20.17M
210.61%20.17M
-45.73%5.08M
-25.26%9.29M
176.74%46.78M
Free cash flow
55.30%-12.15M
-51.60%-4.55M
41.88%-3.08M
57.12%-2.77M
85.91%-1.75M
-79.27%-27.18M
42.46%-3M
-90.89%-5.3M
-74.60%-6.47M
-257.74%-12.41M
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
--
--
--
--
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 55.34%-12.1M-51.37%-4.53M42.10%-3.07M57.11%-2.76M85.92%-1.74M-81.75%-27.1M42.15%-2.99M-93.74%-5.3M-78.33%-6.45M-264.83%-12.36M
Net income from continuing operations 65.65%-22.49M-196.74%-9.84M61.96%-2.72M6.95%-5.31M90.63%-4.62M-165.06%-65.47M63.54%-3.32M-32.94%-7.16M4.50%-5.71M-1,061.88%-49.29M
Operating gains losses 110.22%965K407.19%1.41M5.83%-1.49M139.42%1.32M96.43%-284K---9.44M---459K---1.58M--553K---7.96M
Depreciation and amortization 10.46%3.08M22.54%870K11.68%803K-1.81%706K9.49%704K15.67%2.79M10.25%710K12.34%719K18.26%719K23.42%643K
Deferred tax 820.00%612K544.52%649K-129.31%-17K---7K-533.33%-13K-150.30%-85K-287.18%-146K9.43%58K--0123.08%3K
Other non cash items -103.94%-1.68M83.04%-259K-48.25%-636K59.21%-567K-100.48%-220K2,091.78%42.65M-184.46%-1.53M-14,400.00%-429K-2,341.94%-1.39M62,910.96%46M
Change In working capital 60.16%-1.51M-420.79%-1.37M46.58%-156K75.57%-299K111.72%317K-202.85%-3.79M-53.88%428K-121.31%-292K-181.60%-1.22M-2,359.09%-2.71M
-Change in receivables -477.35%-883K-77.18%207K-71.89%183K-22.61%-1.16M69.11%-118K378.57%234K94.22%907K1,203.39%651K-328.18%-942K-40.44%-382K
-Change in payables and accrued expense 84.41%-628K-229.85%-1.58M64.05%-339K403.55%856K118.73%435K-206.62%-4.03M-202.79%-479K-165.99%-943K-116.40%-282K-1,533.95%-2.32M
-Change in other current assets -363.16%-968K-106.23%-74K-149.38%-596K336.28%508K-3,200.00%-806K-103.58%-209K-54.33%1.19M121.06%1.21M-108.76%-215K-88.98%26K
-Change in other current liabilities 363.16%968K106.23%74K149.38%596K-336.28%-508K3,200.00%806K103.58%209K54.42%-1.19M-121.06%-1.21M108.76%215K88.98%-26K
Cash from discontinued investing activities
Operating cash flow 55.34%-12.1M-51.37%-4.53M42.10%-3.07M57.11%-2.76M85.92%-1.74M-81.75%-27.1M42.15%-2.99M-93.74%-5.3M-78.33%-6.45M-264.83%-12.36M
Investing cash flow
Cash flow from continuing investing activities 106.46%2.08M-100.38%-68K-374.45%-3.36M137.31%11.51M70.93%-6M-546.45%-32.16M25,734.29%18.08M2,287.50%1.23M-7,826.99%-30.84M-348.57%-20.63M
Net PPE purchase and sale 36.11%-46K-166.67%-16K-1,600.00%-15K59.09%-9K86.67%-6K70.73%-72K82.35%-6K102.33%1K75.56%-22K43.04%-45K
Net business purchase and sale -1,487.68%-3.35M--0---3.35M--0--094.95%-211K-146.01%-75K--0--096.87%-136K
Net investment purchase and sale 117.17%5.47M-100.42%-75K-99.52%6K137.40%11.52M70.00%-6M-5,664.56%-31.88M30,250.85%17.79M9,738.46%1.25M---30.81M---20M
Net other investing changes --------89.66%-3K----101.77%8K-----------29K-----148.90%-453K
Cash from discontinued investing activities
Investing cash flow 106.46%2.08M-100.38%-68K-374.45%-3.36M137.31%11.51M70.93%-6M-546.45%-32.16M25,734.29%18.08M2,287.50%1.23M-7,826.99%-30.84M-348.57%-20.63M
Financing cash flow
Cash flow from continuing financing activities -99.88%85K595.12%203K81.48%-10K113.61%20K-100.17%-128K3,771.80%73.18M-101.79%-41K52.63%-54K15.52%-147K68,715.89%73.42M
Net issuance payments of debt 79.40%-629K-18.18%-208K-34.88%-116K-5.44%-155K94.33%-150K-268.02%-3.05M-107.77%-176K36.76%-86K20.11%-147K-1,965.63%-2.64M
Net common stock issuance --0--0--0--0--0--76.04M--0--0--0--76.04M
Proceeds from stock option exercised by employees 283.87%714K204.44%411K231.25%106K--175K15.79%22K154.79%186K575.00%135K45.45%32K--0-9.52%19K
Cash from discontinued financing activities
Financing cash flow -99.88%85K595.12%203K81.48%-10K113.61%20K-100.17%-128K3,771.80%73.18M-101.79%-41K52.63%-54K15.52%-147K68,715.89%73.42M
Net cash flow
Beginning cash position 210.61%20.17M186.64%14.55M125.96%21M-73.77%12.27M210.61%20.17M-74.11%6.49M-45.73%5.08M-25.26%9.29M176.74%46.78M-74.11%6.49M
Current changes in cash -171.39%-9.94M-129.19%-4.39M-56.11%-6.44M123.41%8.76M-119.46%-7.87M177.36%13.92M634.29%15.05M-42.06%-4.12M-796.05%-37.43M599.27%40.42M
Effect of exchange rate changes 55.47%-110K-200.00%-38K86.17%-13K41.07%-33K80.74%-26K58.42%-247K186.36%38K47.49%-94K80.76%-56K-68.75%-135K
End cash Position -49.82%10.12M-49.82%10.12M186.64%14.55M125.96%21M-73.77%12.27M210.61%20.17M210.61%20.17M-45.73%5.08M-25.26%9.29M176.74%46.78M
Free cash flow 55.30%-12.15M-51.60%-4.55M41.88%-3.08M57.12%-2.77M85.91%-1.75M-79.27%-27.18M42.46%-3M-90.89%-5.3M-74.60%-6.47M-257.74%-12.41M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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