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AVNW Aviat Networks

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  • 16.200
  • +0.780+5.06%
Trading Nov 25 13:52 ET
205.58MMarket Cap-42631P/E (TTM)

Aviat Networks Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Sep 27, 2024
(FY)Jun 28, 2024
(Q4)Jun 28, 2024
(Q3)Mar 29, 2024
(Q2)Dec 29, 2023
(Q1)Sep 29, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
43.90%51.03M
190.54%64.62M
190.54%64.62M
163.58%59.19M
114.93%45.91M
55.15%35.47M
-53.44%22.24M
-53.44%22.24M
-28.25%22.46M
-49.53%21.36M
-Cash and cash equivalents
43.90%51.03M
190.54%64.62M
190.54%64.62M
159.18%58.2M
114.95%45.91M
64.14%35.47M
-39.69%22.24M
-39.69%22.24M
-28.25%22.46M
-49.53%21.36M
-Short-term investments
----
----
----
--988K
----
----
----
----
--0
--2K
Receivables
81.12%281.59M
56.93%262.06M
56.93%262.06M
51.84%230.5M
56.65%227.1M
26.54%155.47M
40.29%166.99M
40.29%166.99M
24.58%151.8M
29.45%144.97M
-Accounts receivable
78.84%169M
56.59%158.01M
56.59%158.01M
56.42%138.37M
64.08%149.92M
30.39%94.5M
37.92%100.91M
37.92%100.91M
16.16%88.46M
32.28%91.37M
-Taxes receivable
--11.26M
256.76%8.62M
256.76%8.62M
--10.08M
----
----
--2.42M
--2.42M
----
----
-Related party accounts receivable
----
----
----
--4.2M
----
----
----
----
----
----
-Other receivables
66.19%101.34M
49.90%95.42M
49.90%95.42M
22.91%77.85M
43.99%77.18M
21.01%60.98M
38.82%63.66M
38.82%63.66M
38.61%63.34M
24.89%53.6M
Inventory
159.50%79.56M
86.27%62.27M
86.27%62.27M
38.77%56.81M
80.21%66.78M
-12.30%30.66M
23.04%33.43M
23.04%33.43M
34.34%40.94M
35.32%37.06M
Other current assets
-33.92%15.08M
2.25%13.56M
2.25%13.56M
-37.88%13.24M
34.95%27.17M
40.14%22.81M
6.62%13.26M
6.62%13.26M
64.09%21.31M
80.98%20.13M
Total current assets
74.81%427.26M
71.77%405.22M
71.77%405.22M
53.26%362.46M
64.17%366.96M
24.09%244.41M
14.30%235.92M
14.30%235.92M
20.29%236.5M
14.60%223.53M
Non current assets
Net PPE
29.36%15.55M
9.86%13.19M
9.86%13.19M
-29.13%9.38M
-12.19%12.55M
-19.39%12.02M
3.09%12.01M
3.09%12.01M
4.10%13.24M
6.79%14.29M
-Gross PPE
7.18%78.42M
2.91%74.91M
2.91%74.91M
-3.82%70.2M
0.58%74.6M
0.36%73.17M
-8.69%72.79M
-8.69%72.79M
-11.80%72.99M
-10.08%74.17M
-Accumulated depreciation
-2.82%-62.88M
-1.54%-61.72M
-1.54%-61.72M
-1.78%-60.81M
-3.63%-62.06M
-5.43%-61.15M
10.70%-60.79M
10.70%-60.79M
14.69%-59.75M
13.35%-59.88M
Goodwill and other intangible assets
214.03%43.91M
54.41%21.86M
54.41%21.86M
87.16%22.21M
78.35%21.39M
15.40%13.98M
--14.16M
--14.16M
--11.87M
--11.99M
-Goodwill
196.42%15.15M
60.74%8.22M
60.74%8.22M
66.00%8.22M
14.20%5.65M
3.27%5.11M
--5.11M
--5.11M
--4.95M
--4.95M
-Other intangible assets
224.17%28.75M
50.83%13.64M
50.83%13.64M
102.30%14M
123.45%15.74M
23.78%8.87M
--9.05M
--9.05M
--6.92M
--7.04M
Related parties assets
----
----
----
--4.2M
----
----
----
----
----
----
Non current deferred assets
5.63%91.32M
-4.56%83.11M
-4.56%83.11M
-4.70%84.58M
-3.95%86.11M
-6.35%86.45M
-8.73%87.08M
-8.73%87.08M
-9.44%88.75M
-10.27%89.65M
Other non current assets
-4.56%12.82M
-15.32%11.84M
-15.32%11.84M
-18.10%11.71M
33.23%13.1M
28.73%13.44M
33.82%13.98M
33.82%13.98M
45.32%14.3M
11.98%9.83M
Total non current assets
29.95%163.6M
2.18%130M
2.18%130M
-0.21%127.89M
5.87%133.15M
-2.99%125.89M
8.27%127.22M
8.27%127.22M
4.13%128.16M
3.02%125.76M
Total assets
59.56%590.86M
47.39%535.22M
47.39%535.22M
34.47%490.34M
43.18%500.11M
13.34%370.3M
12.11%363.14M
12.11%363.14M
14.07%364.66M
10.14%349.29M
Liabilities
Current liabilities
Payables
74.42%116.64M
57.17%101.68M
57.17%101.68M
21.77%75.09M
24.17%74.19M
38.64%66.88M
52.60%64.69M
52.60%64.69M
51.77%61.67M
37.31%59.75M
-accounts payable
69.87%104.93M
54.39%92.85M
54.39%92.85M
4.68%64.56M
12.77%67.38M
28.05%61.77M
41.86%60.14M
41.86%60.14M
51.77%61.67M
37.31%59.75M
-Total tax payable
129.36%11.72M
93.87%8.83M
93.87%8.83M
--6.23M
--6.81M
--5.11M
--4.55M
--4.55M
----
----
-Due to related parties current
----
----
----
--4.3M
----
----
----
----
----
----
Current accrued expenses
134.00%19.18M
148.21%23.63M
148.21%23.63M
26.26%19.29M
17.95%18.19M
-50.43%8.2M
-35.78%9.52M
-35.78%9.52M
-7.45%15.28M
-11.87%15.42M
Current debt and capital lease obligation
386.86%3.52M
457.70%3.4M
457.70%3.4M
-54.13%3.18M
304.59%3.17M
-13.21%723K
18.91%610K
18.91%610K
1,124.96%6.92M
31.76%784K
-Current debt
--2.4M
--2.4M
--2.4M
-61.37%2.4M
--2.4M
----
----
----
--6.2M
----
-Current capital lease obligation
55.60%1.13M
64.92%1.01M
64.92%1.01M
8.18%780K
-0.89%777K
-13.21%723K
18.91%610K
18.91%610K
27.61%721K
31.76%784K
Current deferred liabilities
72.38%79.38M
32.92%58.84M
32.92%58.84M
4.45%42.14M
41.46%54.98M
29.78%46.05M
31.20%44.27M
31.20%44.27M
5.99%40.35M
8.72%38.87M
Other current liabilities
18,858.93%21.23M
3,502.33%21.61M
3,502.33%21.61M
2,473.08%22.75M
1,561.68%24.46M
-92.64%112K
-56.55%600K
-56.55%600K
-11.51%884K
-17.63%1.47M
Current liabilities
92.08%248.2M
68.27%218.86M
68.27%218.86M
28.46%171.14M
47.58%183.71M
16.53%129.21M
24.49%130.06M
24.49%130.06M
26.09%133.22M
16.23%124.48M
Non current liabilities
Long term debt and capital lease obligation
3,338.51%83.76M
2,179.30%48.78M
2,179.30%48.78M
2,069.49%48.92M
1,997.51%49.67M
1.20%2.44M
-11.28%2.14M
-11.28%2.14M
-19.06%2.26M
-19.02%2.37M
-Long term debt
--80.98M
--45.95M
--45.95M
--46.55M
--47.15M
----
----
----
----
----
-Long term capital lease obligation
14.20%2.78M
31.92%2.82M
31.92%2.82M
5.10%2.37M
6.33%2.52M
1.20%2.44M
-11.28%2.14M
-11.28%2.14M
-19.06%2.26M
-19.02%2.37M
Non current deferred liabilities
-6.60%11.38M
-4.82%11.31M
-4.82%11.31M
-16.11%11.37M
-9.47%12.4M
-11.54%12.18M
-20.71%11.88M
-20.71%11.88M
-0.24%13.55M
-1.20%13.69M
Other non current liabilities
28.39%407K
25.48%394K
25.48%394K
45.16%405K
57.03%391K
28.86%317K
15.02%314K
15.02%314K
-13.89%279K
-29.26%249K
Total non current liabilities
539.72%95.55M
321.85%60.48M
321.85%60.48M
277.29%60.7M
282.91%62.46M
-9.07%14.94M
-18.87%14.34M
-18.87%14.34M
-3.64%16.09M
-4.81%16.31M
Total liabilities
138.47%343.75M
93.45%279.34M
93.45%279.34M
55.27%231.84M
74.85%246.17M
13.23%144.15M
18.21%144.4M
18.21%144.4M
22.03%149.31M
13.33%140.79M
Shareholders'equity
Share capital
8.55%127K
9.57%126K
9.57%126K
10.53%126K
9.65%125K
3.54%117K
2.68%115K
2.68%115K
1.79%114K
1.79%114K
-common stock
8.55%127K
9.57%126K
9.57%126K
10.53%126K
9.65%125K
3.54%117K
2.68%115K
2.68%115K
1.79%114K
1.79%114K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-1.11%-590.39M
1.83%-578.51M
1.83%-578.51M
2.31%-577.6M
2.54%-581.02M
3.04%-583.91M
1.70%-589.27M
1.70%-589.27M
2.11%-591.25M
2.27%-596.14M
Paid-in capital
3.48%861.02M
3.62%860.07M
3.62%860.07M
3.60%858.23M
3.62%856.74M
0.88%832.06M
0.82%830.05M
0.82%830.05M
0.78%828.41M
0.73%826.81M
Less: Treasury stock
5.40%6.48M
5.40%6.48M
5.40%6.48M
5.40%6.48M
5.40%6.48M
0.00%6.15M
0.00%6.15M
0.00%6.15M
13.88%6.15M
80.37%6.15M
Gains losses not affecting retained earnings
-7.49%-17.17M
-20.72%-19.32M
-20.72%-19.32M
0.03%-15.77M
4.43%-15.43M
6.83%-15.97M
0.16%-16M
0.16%-16M
-2.51%-15.77M
-10.56%-16.14M
Total stockholders'equity
9.27%247.11M
16.98%255.89M
16.98%255.89M
20.04%258.51M
21.79%253.94M
13.40%226.15M
8.42%218.74M
8.42%218.74M
9.13%215.35M
8.09%208.5M
Total equity
9.27%247.11M
16.98%255.89M
16.98%255.89M
20.04%258.51M
21.79%253.94M
13.40%226.15M
8.42%218.74M
8.42%218.74M
9.13%215.35M
8.09%208.5M
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
--
--
--
(Q1)Sep 27, 2024(FY)Jun 28, 2024(Q4)Jun 28, 2024(Q3)Mar 29, 2024(Q2)Dec 29, 2023(Q1)Sep 29, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 43.90%51.03M190.54%64.62M190.54%64.62M163.58%59.19M114.93%45.91M55.15%35.47M-53.44%22.24M-53.44%22.24M-28.25%22.46M-49.53%21.36M
-Cash and cash equivalents 43.90%51.03M190.54%64.62M190.54%64.62M159.18%58.2M114.95%45.91M64.14%35.47M-39.69%22.24M-39.69%22.24M-28.25%22.46M-49.53%21.36M
-Short-term investments --------------988K------------------0--2K
Receivables 81.12%281.59M56.93%262.06M56.93%262.06M51.84%230.5M56.65%227.1M26.54%155.47M40.29%166.99M40.29%166.99M24.58%151.8M29.45%144.97M
-Accounts receivable 78.84%169M56.59%158.01M56.59%158.01M56.42%138.37M64.08%149.92M30.39%94.5M37.92%100.91M37.92%100.91M16.16%88.46M32.28%91.37M
-Taxes receivable --11.26M256.76%8.62M256.76%8.62M--10.08M----------2.42M--2.42M--------
-Related party accounts receivable --------------4.2M------------------------
-Other receivables 66.19%101.34M49.90%95.42M49.90%95.42M22.91%77.85M43.99%77.18M21.01%60.98M38.82%63.66M38.82%63.66M38.61%63.34M24.89%53.6M
Inventory 159.50%79.56M86.27%62.27M86.27%62.27M38.77%56.81M80.21%66.78M-12.30%30.66M23.04%33.43M23.04%33.43M34.34%40.94M35.32%37.06M
Other current assets -33.92%15.08M2.25%13.56M2.25%13.56M-37.88%13.24M34.95%27.17M40.14%22.81M6.62%13.26M6.62%13.26M64.09%21.31M80.98%20.13M
Total current assets 74.81%427.26M71.77%405.22M71.77%405.22M53.26%362.46M64.17%366.96M24.09%244.41M14.30%235.92M14.30%235.92M20.29%236.5M14.60%223.53M
Non current assets
Net PPE 29.36%15.55M9.86%13.19M9.86%13.19M-29.13%9.38M-12.19%12.55M-19.39%12.02M3.09%12.01M3.09%12.01M4.10%13.24M6.79%14.29M
-Gross PPE 7.18%78.42M2.91%74.91M2.91%74.91M-3.82%70.2M0.58%74.6M0.36%73.17M-8.69%72.79M-8.69%72.79M-11.80%72.99M-10.08%74.17M
-Accumulated depreciation -2.82%-62.88M-1.54%-61.72M-1.54%-61.72M-1.78%-60.81M-3.63%-62.06M-5.43%-61.15M10.70%-60.79M10.70%-60.79M14.69%-59.75M13.35%-59.88M
Goodwill and other intangible assets 214.03%43.91M54.41%21.86M54.41%21.86M87.16%22.21M78.35%21.39M15.40%13.98M--14.16M--14.16M--11.87M--11.99M
-Goodwill 196.42%15.15M60.74%8.22M60.74%8.22M66.00%8.22M14.20%5.65M3.27%5.11M--5.11M--5.11M--4.95M--4.95M
-Other intangible assets 224.17%28.75M50.83%13.64M50.83%13.64M102.30%14M123.45%15.74M23.78%8.87M--9.05M--9.05M--6.92M--7.04M
Related parties assets --------------4.2M------------------------
Non current deferred assets 5.63%91.32M-4.56%83.11M-4.56%83.11M-4.70%84.58M-3.95%86.11M-6.35%86.45M-8.73%87.08M-8.73%87.08M-9.44%88.75M-10.27%89.65M
Other non current assets -4.56%12.82M-15.32%11.84M-15.32%11.84M-18.10%11.71M33.23%13.1M28.73%13.44M33.82%13.98M33.82%13.98M45.32%14.3M11.98%9.83M
Total non current assets 29.95%163.6M2.18%130M2.18%130M-0.21%127.89M5.87%133.15M-2.99%125.89M8.27%127.22M8.27%127.22M4.13%128.16M3.02%125.76M
Total assets 59.56%590.86M47.39%535.22M47.39%535.22M34.47%490.34M43.18%500.11M13.34%370.3M12.11%363.14M12.11%363.14M14.07%364.66M10.14%349.29M
Liabilities
Current liabilities
Payables 74.42%116.64M57.17%101.68M57.17%101.68M21.77%75.09M24.17%74.19M38.64%66.88M52.60%64.69M52.60%64.69M51.77%61.67M37.31%59.75M
-accounts payable 69.87%104.93M54.39%92.85M54.39%92.85M4.68%64.56M12.77%67.38M28.05%61.77M41.86%60.14M41.86%60.14M51.77%61.67M37.31%59.75M
-Total tax payable 129.36%11.72M93.87%8.83M93.87%8.83M--6.23M--6.81M--5.11M--4.55M--4.55M--------
-Due to related parties current --------------4.3M------------------------
Current accrued expenses 134.00%19.18M148.21%23.63M148.21%23.63M26.26%19.29M17.95%18.19M-50.43%8.2M-35.78%9.52M-35.78%9.52M-7.45%15.28M-11.87%15.42M
Current debt and capital lease obligation 386.86%3.52M457.70%3.4M457.70%3.4M-54.13%3.18M304.59%3.17M-13.21%723K18.91%610K18.91%610K1,124.96%6.92M31.76%784K
-Current debt --2.4M--2.4M--2.4M-61.37%2.4M--2.4M--------------6.2M----
-Current capital lease obligation 55.60%1.13M64.92%1.01M64.92%1.01M8.18%780K-0.89%777K-13.21%723K18.91%610K18.91%610K27.61%721K31.76%784K
Current deferred liabilities 72.38%79.38M32.92%58.84M32.92%58.84M4.45%42.14M41.46%54.98M29.78%46.05M31.20%44.27M31.20%44.27M5.99%40.35M8.72%38.87M
Other current liabilities 18,858.93%21.23M3,502.33%21.61M3,502.33%21.61M2,473.08%22.75M1,561.68%24.46M-92.64%112K-56.55%600K-56.55%600K-11.51%884K-17.63%1.47M
Current liabilities 92.08%248.2M68.27%218.86M68.27%218.86M28.46%171.14M47.58%183.71M16.53%129.21M24.49%130.06M24.49%130.06M26.09%133.22M16.23%124.48M
Non current liabilities
Long term debt and capital lease obligation 3,338.51%83.76M2,179.30%48.78M2,179.30%48.78M2,069.49%48.92M1,997.51%49.67M1.20%2.44M-11.28%2.14M-11.28%2.14M-19.06%2.26M-19.02%2.37M
-Long term debt --80.98M--45.95M--45.95M--46.55M--47.15M--------------------
-Long term capital lease obligation 14.20%2.78M31.92%2.82M31.92%2.82M5.10%2.37M6.33%2.52M1.20%2.44M-11.28%2.14M-11.28%2.14M-19.06%2.26M-19.02%2.37M
Non current deferred liabilities -6.60%11.38M-4.82%11.31M-4.82%11.31M-16.11%11.37M-9.47%12.4M-11.54%12.18M-20.71%11.88M-20.71%11.88M-0.24%13.55M-1.20%13.69M
Other non current liabilities 28.39%407K25.48%394K25.48%394K45.16%405K57.03%391K28.86%317K15.02%314K15.02%314K-13.89%279K-29.26%249K
Total non current liabilities 539.72%95.55M321.85%60.48M321.85%60.48M277.29%60.7M282.91%62.46M-9.07%14.94M-18.87%14.34M-18.87%14.34M-3.64%16.09M-4.81%16.31M
Total liabilities 138.47%343.75M93.45%279.34M93.45%279.34M55.27%231.84M74.85%246.17M13.23%144.15M18.21%144.4M18.21%144.4M22.03%149.31M13.33%140.79M
Shareholders'equity
Share capital 8.55%127K9.57%126K9.57%126K10.53%126K9.65%125K3.54%117K2.68%115K2.68%115K1.79%114K1.79%114K
-common stock 8.55%127K9.57%126K9.57%126K10.53%126K9.65%125K3.54%117K2.68%115K2.68%115K1.79%114K1.79%114K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -1.11%-590.39M1.83%-578.51M1.83%-578.51M2.31%-577.6M2.54%-581.02M3.04%-583.91M1.70%-589.27M1.70%-589.27M2.11%-591.25M2.27%-596.14M
Paid-in capital 3.48%861.02M3.62%860.07M3.62%860.07M3.60%858.23M3.62%856.74M0.88%832.06M0.82%830.05M0.82%830.05M0.78%828.41M0.73%826.81M
Less: Treasury stock 5.40%6.48M5.40%6.48M5.40%6.48M5.40%6.48M5.40%6.48M0.00%6.15M0.00%6.15M0.00%6.15M13.88%6.15M80.37%6.15M
Gains losses not affecting retained earnings -7.49%-17.17M-20.72%-19.32M-20.72%-19.32M0.03%-15.77M4.43%-15.43M6.83%-15.97M0.16%-16M0.16%-16M-2.51%-15.77M-10.56%-16.14M
Total stockholders'equity 9.27%247.11M16.98%255.89M16.98%255.89M20.04%258.51M21.79%253.94M13.40%226.15M8.42%218.74M8.42%218.74M9.13%215.35M8.09%208.5M
Total equity 9.27%247.11M16.98%255.89M16.98%255.89M20.04%258.51M21.79%253.94M13.40%226.15M8.42%218.74M8.42%218.74M9.13%215.35M8.09%208.5M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------------Unqualified Opinion------

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