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ANGO AngioDynamics

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  • 12.190
  • -0.260-2.09%
Close Jan 24 16:00 ET
  • 12.150
  • -0.040-0.33%
Post 20:01 ET
493.28MMarket Cap-2.18P/E (TTM)

AngioDynamics Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Nov 30, 2024
(Q1)Aug 31, 2024
(FY)May 31, 2024
(Q4)May 31, 2024
(Q3)Feb 29, 2024
(Q2)Nov 30, 2023
(Q1)Aug 31, 2023
(FY)May 31, 2023
(Q4)May 31, 2023
(Q3)Feb 28, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-53.04%2.47M
29.52%-18.25M
-36,200.00%-28.16M
-68.65%5M
-1,014.31%-12.53M
-29.78%5.27M
-4.66%-25.9M
101.08%78K
86.38%15.95M
115.58%1.37M
Net income from continuing operations
63.03%-10.74M
-127.89%-12.8M
-251.53%-184.35M
37.35%-13.45M
-1,879.29%-187.74M
-242.30%-29.05M
452.85%45.88M
-97.54%-52.44M
-242.59%-21.47M
-91.31%-9.49M
Operating gains losses
----
----
---54.5M
--0
---6.66M
--0
---47.84M
----
----
----
Depreciation and amortization
2.66%6.86M
1.45%6.79M
-10.24%27.71M
-9.79%6.82M
-4.03%7.52M
-14.49%6.69M
-12.69%6.69M
5.19%30.87M
-1.43%7.56M
5.83%7.84M
Deferred tax
-101.52%-249K
97.03%-339K
-244.79%-7.97M
-47.58%-825K
-5,227.75%-12.09M
2,748.22%16.37M
-1,158.54%-11.42M
37.68%-2.31M
4.77%-559K
73.67%-227K
Other non cash items
13.96%653K
133.06%691K
-164.86%-2.78M
-22.62%496K
-399.66%-1.76M
-75.37%573K
-383.97%-2.09M
20.60%4.29M
-15.44%641K
-32.02%588K
Change In working capital
-59.32%3.26M
27.29%-16.09M
305.25%14.42M
-18.77%9.72M
2,895.22%18.81M
190.08%8.01M
1.17%-22.12M
66.62%-7.03M
218.77%11.97M
104.60%628K
-Change in receivables
-50.56%-3.73M
19.86%3.78M
707.70%7.89M
369.63%5.55M
-6.19%1.67M
-710.84%-2.48M
321.54%3.16M
92.43%-1.3M
80.78%-2.06M
150.53%1.78M
-Change in inventory
70.73%-1.25M
11.39%-4.05M
-14.78%-9.41M
-163.73%-2.59M
577.30%2.02M
23.65%-4.27M
26.68%-4.57M
-193.20%-8.2M
219.86%4.06M
-484.55%-423K
-Change in prepaid assets
194.20%764K
79.94%-836K
-3,592.17%-11.59M
-656.35%-4.03M
-173.10%-2.59M
-145.01%-811K
27.30%-4.17M
106.62%332K
-66.09%724K
219.44%3.54M
-Change in payables and accrued expense
-51.97%7.48M
9.41%-14.98M
1,187.10%27.53M
16.64%10.79M
515.14%17.71M
153.34%15.57M
-83.97%-16.54M
-45.32%2.14M
-41.15%9.25M
41.47%-4.27M
Cash from discontinued investing activities
Operating cash flow
-53.04%2.47M
29.52%-18.25M
-36,200.00%-28.16M
-68.65%5M
-1,014.31%-12.53M
-29.78%5.27M
-4.66%-25.9M
101.08%78K
86.38%15.95M
115.58%1.37M
Investing cash flow
Cash flow from continuing investing activities
-9.37%-1.96M
-102.44%-2.41M
1,369.41%123.72M
-52.88%-2.34M
1,470.18%29.4M
28.17%-1.79M
2,852.85%98.44M
49.52%-9.75M
59.50%-1.53M
17.24%-2.15M
Net PPE purchase and sale
-43.86%-797K
-38.05%-1.09M
33.95%-2.52M
46.40%-566K
8.86%-607K
56.75%-554K
2.22%-791K
11.29%-3.81M
-1.64%-1.06M
39.78%-666K
Net intangibles purchase and sale
----
----
-501.85%-3.25M
--0
----
----
----
---540K
--0
----
Net business purchase and sale
----
----
--0
----
----
----
----
--0
----
----
Net other investing changes
6.05%-1.16M
-101.32%-1.31M
2,500.54%129.49M
-275.00%-1.77M
2,347.36%33.26M
-1.98%-1.24M
4,555.90%99.23M
52.73%-5.39M
82.74%-472K
0.47%-1.48M
Cash from discontinued investing activities
Investing cash flow
-9.37%-1.96M
-102.44%-2.41M
1,369.41%123.72M
-52.88%-2.34M
1,470.18%29.4M
28.17%-1.79M
2,852.85%98.44M
49.52%-9.75M
59.50%-1.53M
17.24%-2.15M
Financing cash flow
Cash flow from continuing financing activities
-219.03%-1.12M
99.15%-509K
-352.75%-64.25M
-5M
-26.25%694K
-441.75%-352K
-344.46%-59.59M
230.86%25.42M
0
-2.59%941K
Net issuance payments of debt
--0
--0
-300.00%-50M
--0
--0
--0
-300.00%-50M
400.00%25M
--0
--0
Net common stock issuance
---1.12M
---552K
----
----
----
--0
--0
----
----
----
Proceeds from stock option exercised by employees
98.58%-5K
-89.51%43K
-35.78%752K
--0
-26.25%694K
-337.84%-352K
400.00%410K
-56.35%1.17M
--0
-2.59%941K
Net other financing activities
----
----
-1,897.34%-15M
---5M
--0
--0
-1,316.43%-10M
---751K
--0
--0
Cash from discontinued financing activities
Financing cash flow
-219.03%-1.12M
99.15%-509K
-352.75%-64.25M
---5M
-26.25%694K
-441.75%-352K
-344.46%-59.59M
230.86%25.42M
--0
-2.59%941K
Net cash flow
Beginning cash position
-4.48%55.01M
70.45%76.06M
54.80%44.62M
160.54%78.45M
103.96%60.9M
134.43%57.59M
54.80%44.62M
-40.15%28.83M
26.04%30.11M
-12.93%29.86M
Current changes in cash
-119.58%-611K
-263.41%-21.17M
98.77%31.31M
-116.19%-2.34M
10,549.70%17.57M
-38.88%3.12M
428.34%12.95M
183.71%15.75M
181.98%14.43M
101.58%165K
Effect of exchange rate changes
-261.38%-305K
792.31%116K
190.70%125K
-172.29%-60K
-119.10%-17K
1.07%189K
104.11%13K
108.30%43K
145.86%83K
423.53%89K
End cash Position
-11.18%54.09M
-4.48%55.01M
70.45%76.06M
70.45%76.06M
160.54%78.45M
103.96%60.9M
134.43%57.59M
54.80%44.62M
54.80%44.62M
26.04%30.11M
Free cash flow
-64.43%1.68M
27.52%-19.35M
-693.78%-33.93M
-70.23%4.44M
-10,089.63%-16.38M
-30.28%4.71M
-2.28%-26.69M
62.81%-4.27M
98.09%14.9M
101.66%164K
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)Nov 30, 2024(Q1)Aug 31, 2024(FY)May 31, 2024(Q4)May 31, 2024(Q3)Feb 29, 2024(Q2)Nov 30, 2023(Q1)Aug 31, 2023(FY)May 31, 2023(Q4)May 31, 2023(Q3)Feb 28, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -53.04%2.47M29.52%-18.25M-36,200.00%-28.16M-68.65%5M-1,014.31%-12.53M-29.78%5.27M-4.66%-25.9M101.08%78K86.38%15.95M115.58%1.37M
Net income from continuing operations 63.03%-10.74M-127.89%-12.8M-251.53%-184.35M37.35%-13.45M-1,879.29%-187.74M-242.30%-29.05M452.85%45.88M-97.54%-52.44M-242.59%-21.47M-91.31%-9.49M
Operating gains losses -----------54.5M--0---6.66M--0---47.84M------------
Depreciation and amortization 2.66%6.86M1.45%6.79M-10.24%27.71M-9.79%6.82M-4.03%7.52M-14.49%6.69M-12.69%6.69M5.19%30.87M-1.43%7.56M5.83%7.84M
Deferred tax -101.52%-249K97.03%-339K-244.79%-7.97M-47.58%-825K-5,227.75%-12.09M2,748.22%16.37M-1,158.54%-11.42M37.68%-2.31M4.77%-559K73.67%-227K
Other non cash items 13.96%653K133.06%691K-164.86%-2.78M-22.62%496K-399.66%-1.76M-75.37%573K-383.97%-2.09M20.60%4.29M-15.44%641K-32.02%588K
Change In working capital -59.32%3.26M27.29%-16.09M305.25%14.42M-18.77%9.72M2,895.22%18.81M190.08%8.01M1.17%-22.12M66.62%-7.03M218.77%11.97M104.60%628K
-Change in receivables -50.56%-3.73M19.86%3.78M707.70%7.89M369.63%5.55M-6.19%1.67M-710.84%-2.48M321.54%3.16M92.43%-1.3M80.78%-2.06M150.53%1.78M
-Change in inventory 70.73%-1.25M11.39%-4.05M-14.78%-9.41M-163.73%-2.59M577.30%2.02M23.65%-4.27M26.68%-4.57M-193.20%-8.2M219.86%4.06M-484.55%-423K
-Change in prepaid assets 194.20%764K79.94%-836K-3,592.17%-11.59M-656.35%-4.03M-173.10%-2.59M-145.01%-811K27.30%-4.17M106.62%332K-66.09%724K219.44%3.54M
-Change in payables and accrued expense -51.97%7.48M9.41%-14.98M1,187.10%27.53M16.64%10.79M515.14%17.71M153.34%15.57M-83.97%-16.54M-45.32%2.14M-41.15%9.25M41.47%-4.27M
Cash from discontinued investing activities
Operating cash flow -53.04%2.47M29.52%-18.25M-36,200.00%-28.16M-68.65%5M-1,014.31%-12.53M-29.78%5.27M-4.66%-25.9M101.08%78K86.38%15.95M115.58%1.37M
Investing cash flow
Cash flow from continuing investing activities -9.37%-1.96M-102.44%-2.41M1,369.41%123.72M-52.88%-2.34M1,470.18%29.4M28.17%-1.79M2,852.85%98.44M49.52%-9.75M59.50%-1.53M17.24%-2.15M
Net PPE purchase and sale -43.86%-797K-38.05%-1.09M33.95%-2.52M46.40%-566K8.86%-607K56.75%-554K2.22%-791K11.29%-3.81M-1.64%-1.06M39.78%-666K
Net intangibles purchase and sale ---------501.85%-3.25M--0---------------540K--0----
Net business purchase and sale ----------0------------------0--------
Net other investing changes 6.05%-1.16M-101.32%-1.31M2,500.54%129.49M-275.00%-1.77M2,347.36%33.26M-1.98%-1.24M4,555.90%99.23M52.73%-5.39M82.74%-472K0.47%-1.48M
Cash from discontinued investing activities
Investing cash flow -9.37%-1.96M-102.44%-2.41M1,369.41%123.72M-52.88%-2.34M1,470.18%29.4M28.17%-1.79M2,852.85%98.44M49.52%-9.75M59.50%-1.53M17.24%-2.15M
Financing cash flow
Cash flow from continuing financing activities -219.03%-1.12M99.15%-509K-352.75%-64.25M-5M-26.25%694K-441.75%-352K-344.46%-59.59M230.86%25.42M0-2.59%941K
Net issuance payments of debt --0--0-300.00%-50M--0--0--0-300.00%-50M400.00%25M--0--0
Net common stock issuance ---1.12M---552K--------------0--0------------
Proceeds from stock option exercised by employees 98.58%-5K-89.51%43K-35.78%752K--0-26.25%694K-337.84%-352K400.00%410K-56.35%1.17M--0-2.59%941K
Net other financing activities ---------1,897.34%-15M---5M--0--0-1,316.43%-10M---751K--0--0
Cash from discontinued financing activities
Financing cash flow -219.03%-1.12M99.15%-509K-352.75%-64.25M---5M-26.25%694K-441.75%-352K-344.46%-59.59M230.86%25.42M--0-2.59%941K
Net cash flow
Beginning cash position -4.48%55.01M70.45%76.06M54.80%44.62M160.54%78.45M103.96%60.9M134.43%57.59M54.80%44.62M-40.15%28.83M26.04%30.11M-12.93%29.86M
Current changes in cash -119.58%-611K-263.41%-21.17M98.77%31.31M-116.19%-2.34M10,549.70%17.57M-38.88%3.12M428.34%12.95M183.71%15.75M181.98%14.43M101.58%165K
Effect of exchange rate changes -261.38%-305K792.31%116K190.70%125K-172.29%-60K-119.10%-17K1.07%189K104.11%13K108.30%43K145.86%83K423.53%89K
End cash Position -11.18%54.09M-4.48%55.01M70.45%76.06M70.45%76.06M160.54%78.45M103.96%60.9M134.43%57.59M54.80%44.62M54.80%44.62M26.04%30.11M
Free cash flow -64.43%1.68M27.52%-19.35M-693.78%-33.93M-70.23%4.44M-10,089.63%-16.38M-30.28%4.71M-2.28%-26.69M62.81%-4.27M98.09%14.9M101.66%164K
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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