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AMSC American Superconductor

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  • 27.040
  • -1.500-5.26%
Close Nov 4 16:00 ET
  • 26.800
  • -0.240-0.89%
Post 20:02 ET
1.07BMarket Cap-901333P/E (TTM)

American Superconductor Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
1,316.83%12.71M
251.98%3.41M
109.51%2.14M
141.25%2.24M
122.77%1.25M
115.71%897K
61.71%-2.25M
-18.49%-22.49M
-77.52%-5.42M
-31.11%-5.5M
Net income from continuing operations
296.66%4.89M
53.24%-2.52M
68.29%-11.11M
77.02%-1.58M
82.79%-1.65M
74.85%-2.49M
38.03%-5.4M
-82.57%-35.04M
-36.53%-6.87M
-121.58%-9.58M
Operating gains losses
----
----
-100.12%-2K
99.55%-1K
----
----
----
1,011.29%1.7M
-227.94%-223K
97.48%-3K
Depreciation and amortization
56.27%1.93M
-9.92%1.01M
-16.17%4.49M
-9.79%1.13M
-23.07%1M
-11.52%1.24M
-20.13%1.12M
0.37%5.36M
-5.63%1.26M
-5.30%1.31M
Deferred tax
-516,400.00%-5.16M
-100.00%-2K
170.83%65K
251.22%62K
50.00%3K
-50.00%1K
-101.64%-1K
101.00%24K
84.64%-41K
100.00%2K
Other non cash items
146.24%2.75M
188.86%3.91M
641.19%4.97M
72.00%1.42M
952.94%1.07M
472.67%1.12M
3,051.16%1.36M
112.47%670K
163.85%825K
105.23%102K
Change In working capital
1,031.52%7.18M
32.23%-719K
-108.35%-2.9M
84.75%-278K
-177.98%-786K
-43.31%-771K
-2,767.57%-1.06M
62.68%-1.39M
-313.97%-1.82M
239.61%1.01M
-Change in receivables
-109.53%-248K
407.47%2.79M
141.89%4.34M
87.75%-1.61M
-1.31%2.79M
95.13%2.6M
138.50%549K
-175.53%-10.36M
-1,805.47%-13.1M
-31.46%2.83M
-Change in inventory
49.27%-2.87M
39.43%-3.8M
53.76%-6.84M
24.08%1.9M
224.19%3.2M
-37.59%-5.66M
34.89%-6.27M
-347.41%-14.8M
150.46%1.53M
-1,413.78%-2.58M
-Change in prepaid assets
-20.36%1.02M
-145.99%-3.1M
209.66%6.31M
85.23%-826K
-132.98%-876K
446.07%1.28M
1,061.72%6.74M
-1,270.71%-5.76M
-1,007.33%-5.59M
73.82%-376K
-Change in payables and accrued expense
-54,320.00%-2.72M
81.54%-1.73M
-259.64%-13.83M
-66.63%2.03M
-49.54%-6.46M
-100.92%-5K
-248.10%-9.39M
84.45%8.66M
23.61%6.1M
-16.41%-4.32M
-Change in other working capital
1,080.63%12.01M
-29.94%5.13M
-65.89%7.12M
-119.22%-1.78M
-89.74%559K
-50.89%1.02M
78.53%7.32M
2,336.12%20.86M
803.50%9.24M
5,349.00%5.45M
Cash from discontinued investing activities
Operating cash flow
1,317.17%12.71M
251.85%3.41M
109.51%2.14M
141.25%2.24M
122.77%1.25M
115.71%897K
61.71%-2.25M
-18.49%-22.49M
-77.52%-5.42M
-31.11%-5.5M
Investing cash flow
Cash flow from continuing investing activities
-22,668.03%-33.47M
93.17%-20K
36.65%-961K
9.92%-318K
59.80%-203K
9.82%-147K
40.93%-293K
78.82%-1.52M
-229.91%-353K
-123.45%-505K
Net PPE purchase and sale
-171.76%-587K
-23.83%-265K
24.43%-934K
-12.41%-299K
50.00%-205K
-81.51%-216K
51.47%-214K
-31.77%-1.24M
-16.67%-266K
-105.00%-410K
Net other investing changes
-139.13%-27K
410.13%245K
90.39%-27K
78.16%-19K
102.11%2K
256.82%69K
-43.64%-79K
-532.31%-281K
-171.90%-87K
-265.38%-95K
Cash from discontinued investing activities
Investing cash flow
-22,668.03%-33.47M
93.17%-20K
36.65%-961K
9.92%-318K
59.80%-203K
9.82%-147K
40.93%-293K
78.82%-1.52M
-229.91%-353K
-123.45%-505K
Financing cash flow
Cash flow from continuing financing activities
0
-735.29%-142K
40,295.68%65.44M
71,717.58%65.35M
33.33%-16K
4.35%120K
15.00%-17K
14.08%162K
-2.15%91K
-100.00%-24K
Net issuance payments of debt
43.75%-9K
5.88%-16K
10.96%-65K
5.88%-16K
30.43%-16K
-23.08%-16K
15.00%-17K
-37.74%-73K
26.09%-17K
-91.67%-23K
Net common stock issuance
----
----
--65.23M
----
----
----
----
--0
----
----
Proceeds from stock option exercised by employees
----
----
18.72%279K
32.41%143K
--0
----
----
-2.49%235K
-6.90%108K
---1K
Net other financing activities
---22K
---126K
----
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
--0
-735.29%-142K
40,295.68%65.44M
71,717.58%65.35M
33.33%-16K
4.35%120K
15.00%-17K
14.08%162K
-2.15%91K
-100.00%-24K
Net cash flow
Beginning cash position
313.13%95.52M
259.42%92.28M
-48.12%25.68M
-20.18%25.03M
-35.80%23.98M
-46.34%23.12M
-48.12%25.68M
-34.49%49.49M
-40.35%31.35M
-34.45%37.35M
Current changes in cash
-2,485.86%-20.76M
227.08%3.25M
379.44%66.62M
1,284.35%67.27M
117.13%1.03M
115.11%870K
59.95%-2.56M
8.30%-23.84M
-85.26%-5.68M
-36.01%-6.02M
Effect of exchange rate changes
266.67%20K
-300.00%-4K
-144.83%-13K
-500.00%-16K
-38.10%13K
-157.14%-12K
111.76%2K
152.73%29K
200.00%4K
625.00%21K
End cash Position
211.87%74.79M
313.13%95.52M
259.42%92.28M
259.42%92.28M
-20.18%25.03M
-35.80%23.98M
-46.34%23.12M
-48.12%25.68M
-48.12%25.68M
-40.35%31.35M
Free cash flow
1,680.47%12.13M
227.86%3.14M
105.08%1.2M
134.06%1.94M
117.71%1.05M
111.68%681K
60.99%-2.46M
-19.11%-23.72M
-73.29%-5.68M
-34.48%-5.91M
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
--
--
(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 1,316.83%12.71M251.98%3.41M109.51%2.14M141.25%2.24M122.77%1.25M115.71%897K61.71%-2.25M-18.49%-22.49M-77.52%-5.42M-31.11%-5.5M
Net income from continuing operations 296.66%4.89M53.24%-2.52M68.29%-11.11M77.02%-1.58M82.79%-1.65M74.85%-2.49M38.03%-5.4M-82.57%-35.04M-36.53%-6.87M-121.58%-9.58M
Operating gains losses ---------100.12%-2K99.55%-1K------------1,011.29%1.7M-227.94%-223K97.48%-3K
Depreciation and amortization 56.27%1.93M-9.92%1.01M-16.17%4.49M-9.79%1.13M-23.07%1M-11.52%1.24M-20.13%1.12M0.37%5.36M-5.63%1.26M-5.30%1.31M
Deferred tax -516,400.00%-5.16M-100.00%-2K170.83%65K251.22%62K50.00%3K-50.00%1K-101.64%-1K101.00%24K84.64%-41K100.00%2K
Other non cash items 146.24%2.75M188.86%3.91M641.19%4.97M72.00%1.42M952.94%1.07M472.67%1.12M3,051.16%1.36M112.47%670K163.85%825K105.23%102K
Change In working capital 1,031.52%7.18M32.23%-719K-108.35%-2.9M84.75%-278K-177.98%-786K-43.31%-771K-2,767.57%-1.06M62.68%-1.39M-313.97%-1.82M239.61%1.01M
-Change in receivables -109.53%-248K407.47%2.79M141.89%4.34M87.75%-1.61M-1.31%2.79M95.13%2.6M138.50%549K-175.53%-10.36M-1,805.47%-13.1M-31.46%2.83M
-Change in inventory 49.27%-2.87M39.43%-3.8M53.76%-6.84M24.08%1.9M224.19%3.2M-37.59%-5.66M34.89%-6.27M-347.41%-14.8M150.46%1.53M-1,413.78%-2.58M
-Change in prepaid assets -20.36%1.02M-145.99%-3.1M209.66%6.31M85.23%-826K-132.98%-876K446.07%1.28M1,061.72%6.74M-1,270.71%-5.76M-1,007.33%-5.59M73.82%-376K
-Change in payables and accrued expense -54,320.00%-2.72M81.54%-1.73M-259.64%-13.83M-66.63%2.03M-49.54%-6.46M-100.92%-5K-248.10%-9.39M84.45%8.66M23.61%6.1M-16.41%-4.32M
-Change in other working capital 1,080.63%12.01M-29.94%5.13M-65.89%7.12M-119.22%-1.78M-89.74%559K-50.89%1.02M78.53%7.32M2,336.12%20.86M803.50%9.24M5,349.00%5.45M
Cash from discontinued investing activities
Operating cash flow 1,317.17%12.71M251.85%3.41M109.51%2.14M141.25%2.24M122.77%1.25M115.71%897K61.71%-2.25M-18.49%-22.49M-77.52%-5.42M-31.11%-5.5M
Investing cash flow
Cash flow from continuing investing activities -22,668.03%-33.47M93.17%-20K36.65%-961K9.92%-318K59.80%-203K9.82%-147K40.93%-293K78.82%-1.52M-229.91%-353K-123.45%-505K
Net PPE purchase and sale -171.76%-587K-23.83%-265K24.43%-934K-12.41%-299K50.00%-205K-81.51%-216K51.47%-214K-31.77%-1.24M-16.67%-266K-105.00%-410K
Net other investing changes -139.13%-27K410.13%245K90.39%-27K78.16%-19K102.11%2K256.82%69K-43.64%-79K-532.31%-281K-171.90%-87K-265.38%-95K
Cash from discontinued investing activities
Investing cash flow -22,668.03%-33.47M93.17%-20K36.65%-961K9.92%-318K59.80%-203K9.82%-147K40.93%-293K78.82%-1.52M-229.91%-353K-123.45%-505K
Financing cash flow
Cash flow from continuing financing activities 0-735.29%-142K40,295.68%65.44M71,717.58%65.35M33.33%-16K4.35%120K15.00%-17K14.08%162K-2.15%91K-100.00%-24K
Net issuance payments of debt 43.75%-9K5.88%-16K10.96%-65K5.88%-16K30.43%-16K-23.08%-16K15.00%-17K-37.74%-73K26.09%-17K-91.67%-23K
Net common stock issuance ----------65.23M------------------0--------
Proceeds from stock option exercised by employees --------18.72%279K32.41%143K--0---------2.49%235K-6.90%108K---1K
Net other financing activities ---22K---126K--------------------------------
Cash from discontinued financing activities
Financing cash flow --0-735.29%-142K40,295.68%65.44M71,717.58%65.35M33.33%-16K4.35%120K15.00%-17K14.08%162K-2.15%91K-100.00%-24K
Net cash flow
Beginning cash position 313.13%95.52M259.42%92.28M-48.12%25.68M-20.18%25.03M-35.80%23.98M-46.34%23.12M-48.12%25.68M-34.49%49.49M-40.35%31.35M-34.45%37.35M
Current changes in cash -2,485.86%-20.76M227.08%3.25M379.44%66.62M1,284.35%67.27M117.13%1.03M115.11%870K59.95%-2.56M8.30%-23.84M-85.26%-5.68M-36.01%-6.02M
Effect of exchange rate changes 266.67%20K-300.00%-4K-144.83%-13K-500.00%-16K-38.10%13K-157.14%-12K111.76%2K152.73%29K200.00%4K625.00%21K
End cash Position 211.87%74.79M313.13%95.52M259.42%92.28M259.42%92.28M-20.18%25.03M-35.80%23.98M-46.34%23.12M-48.12%25.68M-48.12%25.68M-40.35%31.35M
Free cash flow 1,680.47%12.13M227.86%3.14M105.08%1.2M134.06%1.94M117.71%1.05M111.68%681K60.99%-2.46M-19.11%-23.72M-73.29%-5.68M-34.48%-5.91M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

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Price Target

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