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AXTI AXT Inc

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  • 1.970
  • +0.060+3.14%
Close Nov 22 16:00 ET
  • 1.990
  • +0.020+1.02%
Post 20:01 ET
88.16MMarket Cap-8565P/E (TTM)

AXT Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-584.22%-5.42M
-80.40%843K
-474.05%-8.81M
138.82%3.4M
166.60%1.43M
94.66%-792K
-70.23%4.3M
82.78%-1.53M
-165.20%-8.77M
-92.79%536K
Net income from continuing operations
55.00%-2.89M
77.60%-1.2M
44.14%-2.05M
-202.41%-19.19M
-351.44%-3.76M
-195.32%-6.42M
-181.79%-5.35M
-192.30%-3.67M
13.53%18.74M
-58.85%1.5M
Operating gains losses
-183.66%-1.01M
-46.22%1.47M
13.51%-890K
155.32%2.45M
286.12%1.11M
40.03%-355K
227.11%2.72M
6.54%-1.03M
-21.71%-4.43M
18.64%-598K
Depreciation and amortization
5.27%2.3M
5.79%2.25M
3.49%2.19M
7.43%8.72M
11.07%2.3M
6.13%2.18M
5.62%2.13M
6.81%2.12M
14.71%8.12M
3.81%2.07M
Deferred tax
-725.00%-75K
-89.17%13K
500.00%40K
431.73%553K
806.56%431K
-88.46%12K
73.91%120K
-25.00%-10K
-95.56%104K
-102.61%-61K
Change In working capital
-257.99%-4.57M
-163.72%-2.4M
-6,900.76%-8.91M
120.00%7.04M
108.56%252K
111.95%2.89M
-44.69%3.77M
100.88%131K
-16.26%-35.18M
-195.09%-2.95M
-Change in receivables
-119.11%-163K
-401.32%-2.29M
-176.12%-6.08M
105.20%9.31M
-102.90%-288K
282.26%853K
3,400.00%759K
262.40%7.98M
146.52%4.54M
404.88%9.94M
-Change in inventory
937.62%2.18M
-233.74%-325K
50.89%-720K
103.42%1.07M
67.28%2.09M
101.23%210K
101.87%243K
43.31%-1.47M
-153.30%-31.41M
130.42%1.25M
-Change in prepaid assets
-335.36%-4.51M
-196.22%-942K
-119.08%-375K
81.30%-652K
74.21%-2.56M
-163.73%-1.04M
-75.59%979K
142.59%1.97M
-336.84%-3.49M
-465.55%-9.93M
-Change in payables and accrued expense
-90.24%164K
165.76%1.24M
105.22%257K
73.07%-2.06M
199.16%3.06M
115.69%1.68M
-114.11%-1.88M
31.36%-4.92M
-6,579.66%-7.65M
-135.31%-3.08M
-Change in other current assets
32.84%1.08M
-94.76%24K
106.16%65K
188.96%419K
-79.80%200K
214.13%816K
213.09%458K
-209.38%-1.06M
92.50%-471K
117.19%990K
-Change in other current liabilities
-1,008.20%-3.32M
-103.25%-104K
13.30%-2.06M
-131.82%-1.05M
-6.40%-2.24M
-88.40%366K
9.91%3.2M
-257.29%-2.38M
386.45%3.3M
-2,322.99%-2.11M
Cash from discontinued investing activities
Operating cash flow
-584.22%-5.42M
-80.40%843K
-474.05%-8.81M
138.82%3.4M
166.60%1.43M
94.66%-792K
-70.23%4.3M
82.78%-1.53M
-165.20%-8.77M
-92.79%536K
Investing cash flow
Cash flow from continuing investing activities
125.45%454K
76.76%-546K
-448.67%-3.91M
89.68%-2.6M
642.38%2.24M
75.05%-1.78M
80.55%-2.35M
88.67%-713K
35.01%-25.22M
102.28%302K
Net PPE purchase and sale
78.55%-941K
91.47%-271K
-21.46%-4.39M
63.20%-10.48M
134.33%703K
44.56%-4.39M
78.19%-3.18M
42.55%-3.62M
3.98%-28.47M
102.84%300K
Net investment purchase and sale
-46.39%1.4M
-133.25%-275K
-83.47%480K
142.78%7.87M
76,850.00%1.54M
242.37%2.6M
-66.65%827K
--2.9M
135.37%3.24M
100.07%2K
Cash from discontinued investing activities
Investing cash flow
125.45%454K
76.76%-546K
-448.67%-3.91M
89.68%-2.6M
642.38%2.24M
75.05%-1.78M
80.55%-2.35M
88.67%-713K
35.01%-25.22M
102.28%302K
Financing cash flow
Cash flow from continuing financing activities
43.80%824K
140.91%1.68M
-65.36%2M
-77.35%8.61M
131.17%6.37M
-95.67%573K
-129.06%-4.1M
-27.10%5.77M
564.30%38.03M
303.55%2.76M
Net issuance payments of debt
119.52%821K
137.94%1.67M
-64.40%1.98M
-77.62%7.9M
131.34%6.37M
-96.87%374K
-134.84%-4.41M
-29.76%5.56M
965.54%35.28M
390.04%2.75M
Proceeds from stock option exercised by employees
--3K
150.00%5K
150.00%20K
-98.07%10K
--0
--0
-98.63%2K
--8K
-68.98%518K
-98.72%1K
Net other financing activities
----
----
----
-68.29%708K
--0
-78.35%199K
--306K
--203K
200.13%2.23M
100.05%1K
Cash from discontinued financing activities
Financing cash flow
43.80%824K
140.91%1.68M
-65.36%2M
-77.35%8.61M
131.17%6.37M
-95.67%573K
-129.06%-4.1M
-27.10%5.77M
564.30%38.03M
303.55%2.76M
Net cash flow
Beginning cash position
1.74%41.6M
-11.79%39.6M
21.20%50.11M
12.47%41.35M
6.74%39.3M
-9.03%40.89M
52.21%44.89M
12.47%41.35M
-49.36%36.76M
-15.57%36.82M
Current changes in cash
-106.74%-4.14M
191.78%1.98M
-403.97%-10.72M
132.80%9.41M
179.41%10.04M
77.12%-2M
-113.06%-2.15M
148.43%3.53M
111.11%4.04M
150.01%3.59M
Effect of exchange rate changes
220.14%1.34M
101.13%21K
973.68%204K
-219.19%-646K
-17.52%772K
-33.70%417K
-79.13%-1.85M
58.33%19K
-1.63%542K
174.49%936K
End cash Position
-1.30%38.79M
1.74%41.6M
-11.79%39.6M
21.20%50.11M
21.20%50.11M
6.74%39.3M
-9.03%40.89M
52.21%44.89M
12.47%41.35M
12.47%41.35M
Free cash flow
-22.83%-6.36M
-49.11%572K
-156.27%-13.2M
81.00%-7.07M
155.02%2.13M
77.24%-5.18M
1,060.68%1.12M
66.12%-5.15M
-12.99%-37.23M
126.81%836K
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
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -584.22%-5.42M-80.40%843K-474.05%-8.81M138.82%3.4M166.60%1.43M94.66%-792K-70.23%4.3M82.78%-1.53M-165.20%-8.77M-92.79%536K
Net income from continuing operations 55.00%-2.89M77.60%-1.2M44.14%-2.05M-202.41%-19.19M-351.44%-3.76M-195.32%-6.42M-181.79%-5.35M-192.30%-3.67M13.53%18.74M-58.85%1.5M
Operating gains losses -183.66%-1.01M-46.22%1.47M13.51%-890K155.32%2.45M286.12%1.11M40.03%-355K227.11%2.72M6.54%-1.03M-21.71%-4.43M18.64%-598K
Depreciation and amortization 5.27%2.3M5.79%2.25M3.49%2.19M7.43%8.72M11.07%2.3M6.13%2.18M5.62%2.13M6.81%2.12M14.71%8.12M3.81%2.07M
Deferred tax -725.00%-75K-89.17%13K500.00%40K431.73%553K806.56%431K-88.46%12K73.91%120K-25.00%-10K-95.56%104K-102.61%-61K
Change In working capital -257.99%-4.57M-163.72%-2.4M-6,900.76%-8.91M120.00%7.04M108.56%252K111.95%2.89M-44.69%3.77M100.88%131K-16.26%-35.18M-195.09%-2.95M
-Change in receivables -119.11%-163K-401.32%-2.29M-176.12%-6.08M105.20%9.31M-102.90%-288K282.26%853K3,400.00%759K262.40%7.98M146.52%4.54M404.88%9.94M
-Change in inventory 937.62%2.18M-233.74%-325K50.89%-720K103.42%1.07M67.28%2.09M101.23%210K101.87%243K43.31%-1.47M-153.30%-31.41M130.42%1.25M
-Change in prepaid assets -335.36%-4.51M-196.22%-942K-119.08%-375K81.30%-652K74.21%-2.56M-163.73%-1.04M-75.59%979K142.59%1.97M-336.84%-3.49M-465.55%-9.93M
-Change in payables and accrued expense -90.24%164K165.76%1.24M105.22%257K73.07%-2.06M199.16%3.06M115.69%1.68M-114.11%-1.88M31.36%-4.92M-6,579.66%-7.65M-135.31%-3.08M
-Change in other current assets 32.84%1.08M-94.76%24K106.16%65K188.96%419K-79.80%200K214.13%816K213.09%458K-209.38%-1.06M92.50%-471K117.19%990K
-Change in other current liabilities -1,008.20%-3.32M-103.25%-104K13.30%-2.06M-131.82%-1.05M-6.40%-2.24M-88.40%366K9.91%3.2M-257.29%-2.38M386.45%3.3M-2,322.99%-2.11M
Cash from discontinued investing activities
Operating cash flow -584.22%-5.42M-80.40%843K-474.05%-8.81M138.82%3.4M166.60%1.43M94.66%-792K-70.23%4.3M82.78%-1.53M-165.20%-8.77M-92.79%536K
Investing cash flow
Cash flow from continuing investing activities 125.45%454K76.76%-546K-448.67%-3.91M89.68%-2.6M642.38%2.24M75.05%-1.78M80.55%-2.35M88.67%-713K35.01%-25.22M102.28%302K
Net PPE purchase and sale 78.55%-941K91.47%-271K-21.46%-4.39M63.20%-10.48M134.33%703K44.56%-4.39M78.19%-3.18M42.55%-3.62M3.98%-28.47M102.84%300K
Net investment purchase and sale -46.39%1.4M-133.25%-275K-83.47%480K142.78%7.87M76,850.00%1.54M242.37%2.6M-66.65%827K--2.9M135.37%3.24M100.07%2K
Cash from discontinued investing activities
Investing cash flow 125.45%454K76.76%-546K-448.67%-3.91M89.68%-2.6M642.38%2.24M75.05%-1.78M80.55%-2.35M88.67%-713K35.01%-25.22M102.28%302K
Financing cash flow
Cash flow from continuing financing activities 43.80%824K140.91%1.68M-65.36%2M-77.35%8.61M131.17%6.37M-95.67%573K-129.06%-4.1M-27.10%5.77M564.30%38.03M303.55%2.76M
Net issuance payments of debt 119.52%821K137.94%1.67M-64.40%1.98M-77.62%7.9M131.34%6.37M-96.87%374K-134.84%-4.41M-29.76%5.56M965.54%35.28M390.04%2.75M
Proceeds from stock option exercised by employees --3K150.00%5K150.00%20K-98.07%10K--0--0-98.63%2K--8K-68.98%518K-98.72%1K
Net other financing activities -------------68.29%708K--0-78.35%199K--306K--203K200.13%2.23M100.05%1K
Cash from discontinued financing activities
Financing cash flow 43.80%824K140.91%1.68M-65.36%2M-77.35%8.61M131.17%6.37M-95.67%573K-129.06%-4.1M-27.10%5.77M564.30%38.03M303.55%2.76M
Net cash flow
Beginning cash position 1.74%41.6M-11.79%39.6M21.20%50.11M12.47%41.35M6.74%39.3M-9.03%40.89M52.21%44.89M12.47%41.35M-49.36%36.76M-15.57%36.82M
Current changes in cash -106.74%-4.14M191.78%1.98M-403.97%-10.72M132.80%9.41M179.41%10.04M77.12%-2M-113.06%-2.15M148.43%3.53M111.11%4.04M150.01%3.59M
Effect of exchange rate changes 220.14%1.34M101.13%21K973.68%204K-219.19%-646K-17.52%772K-33.70%417K-79.13%-1.85M58.33%19K-1.63%542K174.49%936K
End cash Position -1.30%38.79M1.74%41.6M-11.79%39.6M21.20%50.11M21.20%50.11M6.74%39.3M-9.03%40.89M52.21%44.89M12.47%41.35M12.47%41.35M
Free cash flow -22.83%-6.36M-49.11%572K-156.27%-13.2M81.00%-7.07M155.02%2.13M77.24%-5.18M1,060.68%1.12M66.12%-5.15M-12.99%-37.23M126.81%836K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--

Analysis

Analyst Rating

No Data

Price Target

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