US Stock MarketDetailed Quotes

AMWD American Woodmark

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  • 95.320
  • +3.800+4.15%
Close Jul 25 16:00 ET
  • 95.320
  • 0.0000.00%
Post 16:08 ET
1.49BMarket Cap13.33P/E (TTM)

American Woodmark Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Apr 30, 2024
(Q4)Apr 30, 2024
(Q3)Jan 31, 2024
(Q2)Oct 31, 2023
(Q1)Jul 31, 2023
(FY)Apr 30, 2023
(Q4)Apr 30, 2023
(Q3)Jan 31, 2023
(Q2)Oct 31, 2022
(Q1)Jul 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
16.05%230.75M
-50.80%43.32M
-21.07%43.71M
214.38%57M
132.53%86.72M
713.41%198.84M
134.78%88.03M
2,026.16%55.38M
208.15%18.13M
466.11%37.3M
Net income from continuing operations
24.00%116.22M
-11.09%26.8M
44.13%21.23M
5.41%30.34M
88.59%37.85M
415.33%93.72M
107.53%30.14M
129.90%14.73M
1,317.93%28.78M
573.26%20.07M
Operating gains losses
3,447.12%6.96M
306.07%2.1M
-836.66%-2.51M
2,683.52%4.7M
307.95%2.67M
-100.29%-208K
-101.49%-1.02M
17.99%341K
-121.16%-182K
-78.26%654K
Depreciation and amortization
-15.96%78.78M
-45.03%12.6M
-14.08%19.96M
-2.89%23.06M
-2.87%23.16M
-2.96%93.74M
-4.13%22.92M
-2.90%23.23M
-2.41%23.75M
-2.43%23.85M
Deferred tax
60.40%-9.57M
91.68%-1.02M
41.52%-3.9M
34.80%-2.21M
-31.86%-2.44M
6.09%-24.15M
-847.64%-12.25M
67.39%-6.66M
14.74%-3.39M
-7,616.67%-1.85M
Other non cash items
-2.54%34.09M
-2.05%10.47M
15.89%8.23M
-18.17%7.69M
-1.15%7.71M
20.75%34.98M
117.48%10.68M
-90.60%7.1M
12.13%9.39M
25.63%7.8M
Change In working capital
3.42%-6.41M
-131.40%-11.12M
-114.04%-2.08M
79.18%-8.74M
204.45%15.52M
94.61%-6.64M
518.13%35.42M
143.58%14.78M
15.38%-41.98M
52.38%-14.86M
-Change in receivables
-94.91%1.78M
-150.88%-4.55M
-60.43%14.64M
-259.07%-9.4M
117.82%1.09M
408.03%35.01M
-188.00%-1.81M
863.58%37M
123.42%5.91M
-136.58%-6.09M
-Change in inventory
-8.01%28.46M
-91.90%2.48M
-105.93%-1.67M
159.88%4.91M
216.31%22.74M
143.95%30.94M
225.66%30.58M
318.64%28.11M
15.25%-8.19M
16.90%-19.56M
-Change in prepaid assets
-3.88%-5.52M
-255.07%-4.59M
-192.36%-870K
18.27%-2.47M
139.00%2.41M
-49.89%-5.31M
-15.36%2.96M
213.09%942K
32.19%-3.02M
-253.51%-6.19M
-Change in payables and accrued expense
136.98%16.06M
77.32%24.48M
79.41%-7.62M
102.25%770K
-111.15%-1.57M
-556.62%-43.43M
28.64%13.81M
-232.17%-37.02M
-4,288.22%-34.27M
359.41%14.06M
-Change in other current liabilities
-12.94%-30.39M
-24.51%-8.51M
-6.73%-7.03M
-14.65%-7.65M
-5.66%-7.2M
-7.20%-26.91M
-1.15%-6.83M
-18.68%-6.58M
-7.89%-6.68M
-3.09%-6.81M
-Change in other working capital
-650.41%-16.82M
-523.65%-20.44M
106.11%468K
19.57%5.11M
-120.08%-1.95M
149.23%3.06M
-151.79%-3.28M
-687.28%-7.66M
229.42%4.27M
192.29%9.73M
Cash from discontinued investing activities
Operating cash flow
16.05%230.75M
-50.80%43.32M
-21.07%43.71M
214.38%57M
132.53%86.72M
713.41%198.84M
134.78%88.03M
2,026.16%55.38M
208.15%18.13M
466.11%37.3M
Investing cash flow
Cash flow from continuing investing activities
-103.35%-92.19M
-39.89%-36.48M
-163.76%-21.88M
-206.18%-19.61M
-211.91%-14.22M
12.09%-45.34M
-64.98%-26.08M
4.31%-8.29M
48.31%-6.41M
68.99%-4.56M
Net PPE purchase and sale
-113.83%-91M
-41.83%-36.09M
-184.36%-21.6M
-217.60%-19.51M
-309.20%-13.79M
3.53%-42.56M
-77.88%-25.45M
1.38%-7.6M
40.00%-6.14M
71.59%-3.37M
Net other investing changes
57.09%-1.19M
38.67%-387K
60.83%-273K
60.46%-104K
63.92%-429K
62.73%-2.78M
57.96%-631K
27.77%-697K
87.79%-263K
58.13%-1.19M
Cash from discontinued investing activities
Investing cash flow
-103.35%-92.19M
-39.89%-36.48M
-163.76%-21.88M
-206.18%-19.61M
-211.91%-14.22M
12.09%-45.34M
-64.98%-26.08M
4.31%-8.29M
48.31%-6.41M
68.99%-4.56M
Financing cash flow
Cash flow from continuing financing activities
30.72%-92.89M
73.85%-17.27M
55.78%-20.39M
-5,122.49%-30.66M
-15.05%-24.58M
-222.19%-134.09M
-27,883.90%-66.04M
-1,146.06%-46.1M
-106.28%-587K
61.25%-21.36M
Net issuance payments of debt
97.93%-2.75M
98.84%-763K
98.46%-708K
-11.75%-656K
96.98%-622K
-759.54%-132.89M
-37,828.32%-65.62M
-1,143.69%-46.1M
-106.24%-587K
29.25%-20.59M
Net common stock issuance
---87.65M
---15.89M
---19.63M
---30M
---22.13M
--0
--0
--0
--0
--0
Net other financing activities
-107.84%-2.49M
-44.60%-616K
---46K
--0
-136.74%-1.83M
-3.54%-1.2M
-576.19%-426K
--0
--0
24.95%-773K
Cash from discontinued financing activities
Financing cash flow
30.72%-92.89M
73.85%-17.27M
55.78%-20.39M
-5,122.49%-30.66M
-15.05%-24.58M
-222.19%-134.09M
-27,883.90%-66.04M
-1,146.06%-46.1M
-106.28%-587K
61.25%-21.36M
Net cash flow
Beginning cash position
86.93%41.73M
113.52%97.83M
114.97%96.38M
166.06%89.65M
86.93%41.73M
-75.49%22.33M
5,160.28%45.82M
459.94%44.83M
21.13%33.7M
-75.49%22.33M
Current changes in cash
135.31%45.67M
-155.35%-10.43M
47.30%1.45M
-39.57%6.73M
321.41%47.92M
128.23%19.41M
-119.04%-4.09M
113.78%983K
156.22%11.14M
117.98%11.37M
End cash Position
109.43%87.4M
109.43%87.4M
113.52%97.83M
114.97%96.38M
166.06%89.65M
86.93%41.73M
86.93%41.73M
5,160.28%45.82M
459.94%44.83M
21.13%33.7M
Free cash flow
-10.58%139.7M
-88.49%7.2M
-53.77%22.09M
212.89%37.49M
115.06%72.92M
894.01%156.24M
169.85%62.57M
551.67%47.78M
144.37%11.98M
741.85%33.91M
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
--
--
--
--
(FY)Apr 30, 2024(Q4)Apr 30, 2024(Q3)Jan 31, 2024(Q2)Oct 31, 2023(Q1)Jul 31, 2023(FY)Apr 30, 2023(Q4)Apr 30, 2023(Q3)Jan 31, 2023(Q2)Oct 31, 2022(Q1)Jul 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 16.05%230.75M-50.80%43.32M-21.07%43.71M214.38%57M132.53%86.72M713.41%198.84M134.78%88.03M2,026.16%55.38M208.15%18.13M466.11%37.3M
Net income from continuing operations 24.00%116.22M-11.09%26.8M44.13%21.23M5.41%30.34M88.59%37.85M415.33%93.72M107.53%30.14M129.90%14.73M1,317.93%28.78M573.26%20.07M
Operating gains losses 3,447.12%6.96M306.07%2.1M-836.66%-2.51M2,683.52%4.7M307.95%2.67M-100.29%-208K-101.49%-1.02M17.99%341K-121.16%-182K-78.26%654K
Depreciation and amortization -15.96%78.78M-45.03%12.6M-14.08%19.96M-2.89%23.06M-2.87%23.16M-2.96%93.74M-4.13%22.92M-2.90%23.23M-2.41%23.75M-2.43%23.85M
Deferred tax 60.40%-9.57M91.68%-1.02M41.52%-3.9M34.80%-2.21M-31.86%-2.44M6.09%-24.15M-847.64%-12.25M67.39%-6.66M14.74%-3.39M-7,616.67%-1.85M
Other non cash items -2.54%34.09M-2.05%10.47M15.89%8.23M-18.17%7.69M-1.15%7.71M20.75%34.98M117.48%10.68M-90.60%7.1M12.13%9.39M25.63%7.8M
Change In working capital 3.42%-6.41M-131.40%-11.12M-114.04%-2.08M79.18%-8.74M204.45%15.52M94.61%-6.64M518.13%35.42M143.58%14.78M15.38%-41.98M52.38%-14.86M
-Change in receivables -94.91%1.78M-150.88%-4.55M-60.43%14.64M-259.07%-9.4M117.82%1.09M408.03%35.01M-188.00%-1.81M863.58%37M123.42%5.91M-136.58%-6.09M
-Change in inventory -8.01%28.46M-91.90%2.48M-105.93%-1.67M159.88%4.91M216.31%22.74M143.95%30.94M225.66%30.58M318.64%28.11M15.25%-8.19M16.90%-19.56M
-Change in prepaid assets -3.88%-5.52M-255.07%-4.59M-192.36%-870K18.27%-2.47M139.00%2.41M-49.89%-5.31M-15.36%2.96M213.09%942K32.19%-3.02M-253.51%-6.19M
-Change in payables and accrued expense 136.98%16.06M77.32%24.48M79.41%-7.62M102.25%770K-111.15%-1.57M-556.62%-43.43M28.64%13.81M-232.17%-37.02M-4,288.22%-34.27M359.41%14.06M
-Change in other current liabilities -12.94%-30.39M-24.51%-8.51M-6.73%-7.03M-14.65%-7.65M-5.66%-7.2M-7.20%-26.91M-1.15%-6.83M-18.68%-6.58M-7.89%-6.68M-3.09%-6.81M
-Change in other working capital -650.41%-16.82M-523.65%-20.44M106.11%468K19.57%5.11M-120.08%-1.95M149.23%3.06M-151.79%-3.28M-687.28%-7.66M229.42%4.27M192.29%9.73M
Cash from discontinued investing activities
Operating cash flow 16.05%230.75M-50.80%43.32M-21.07%43.71M214.38%57M132.53%86.72M713.41%198.84M134.78%88.03M2,026.16%55.38M208.15%18.13M466.11%37.3M
Investing cash flow
Cash flow from continuing investing activities -103.35%-92.19M-39.89%-36.48M-163.76%-21.88M-206.18%-19.61M-211.91%-14.22M12.09%-45.34M-64.98%-26.08M4.31%-8.29M48.31%-6.41M68.99%-4.56M
Net PPE purchase and sale -113.83%-91M-41.83%-36.09M-184.36%-21.6M-217.60%-19.51M-309.20%-13.79M3.53%-42.56M-77.88%-25.45M1.38%-7.6M40.00%-6.14M71.59%-3.37M
Net other investing changes 57.09%-1.19M38.67%-387K60.83%-273K60.46%-104K63.92%-429K62.73%-2.78M57.96%-631K27.77%-697K87.79%-263K58.13%-1.19M
Cash from discontinued investing activities
Investing cash flow -103.35%-92.19M-39.89%-36.48M-163.76%-21.88M-206.18%-19.61M-211.91%-14.22M12.09%-45.34M-64.98%-26.08M4.31%-8.29M48.31%-6.41M68.99%-4.56M
Financing cash flow
Cash flow from continuing financing activities 30.72%-92.89M73.85%-17.27M55.78%-20.39M-5,122.49%-30.66M-15.05%-24.58M-222.19%-134.09M-27,883.90%-66.04M-1,146.06%-46.1M-106.28%-587K61.25%-21.36M
Net issuance payments of debt 97.93%-2.75M98.84%-763K98.46%-708K-11.75%-656K96.98%-622K-759.54%-132.89M-37,828.32%-65.62M-1,143.69%-46.1M-106.24%-587K29.25%-20.59M
Net common stock issuance ---87.65M---15.89M---19.63M---30M---22.13M--0--0--0--0--0
Net other financing activities -107.84%-2.49M-44.60%-616K---46K--0-136.74%-1.83M-3.54%-1.2M-576.19%-426K--0--024.95%-773K
Cash from discontinued financing activities
Financing cash flow 30.72%-92.89M73.85%-17.27M55.78%-20.39M-5,122.49%-30.66M-15.05%-24.58M-222.19%-134.09M-27,883.90%-66.04M-1,146.06%-46.1M-106.28%-587K61.25%-21.36M
Net cash flow
Beginning cash position 86.93%41.73M113.52%97.83M114.97%96.38M166.06%89.65M86.93%41.73M-75.49%22.33M5,160.28%45.82M459.94%44.83M21.13%33.7M-75.49%22.33M
Current changes in cash 135.31%45.67M-155.35%-10.43M47.30%1.45M-39.57%6.73M321.41%47.92M128.23%19.41M-119.04%-4.09M113.78%983K156.22%11.14M117.98%11.37M
End cash Position 109.43%87.4M109.43%87.4M113.52%97.83M114.97%96.38M166.06%89.65M86.93%41.73M86.93%41.73M5,160.28%45.82M459.94%44.83M21.13%33.7M
Free cash flow -10.58%139.7M-88.49%7.2M-53.77%22.09M212.89%37.49M115.06%72.92M894.01%156.24M169.85%62.57M551.67%47.78M144.37%11.98M741.85%33.91M
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

No Data

Price Target

No Data

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