US Stock MarketDetailed Quotes

AZ A2Z Smart Technologies

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  • 0.833
  • +0.203+32.19%
Close Jul 12 16:00 ET
  • 0.842
  • +0.009+1.03%
Post 19:45 ET
43.42MMarket Cap-2478P/E (TTM)

A2Z Smart Technologies Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-57.23%-3.9M
-20.74%-11.39M
-65.49%-2.25M
-105.55%-3.3M
19.60%-3.36M
-8.25%-2.48M
-0.57%-9.43M
52.16%-1.36M
30.86%-1.6M
-38.50%-4.17M
Net income from continuing operations
89.70%-396K
1.58%-18.06M
29.43%-4.2M
58.87%-2.59M
-120.56%-7.42M
-40.67%-3.84M
54.46%-18.35M
-48.41%-5.96M
-195.86%-6.29M
23.17%-3.37M
Operating gains losses
-728.15%-3.35M
-594.09%-1.26M
-689.87%-1.34M
-20,645.45%-2.26M
--2.75M
-2,631.25%-405K
-99.18%254K
363.27%227K
101.55%11K
--0
Depreciation and amortization
-35.43%195K
30.66%1.03M
-35.81%233K
105.83%247K
43.27%245K
128.79%302K
213.15%786K
458.46%363K
34.83%120K
280.00%171K
Other non cash items
----
----
----
---127K
----
----
----
----
----
----
Change In working capital
-316.42%-837K
-81.82%547K
-79.16%693K
-37.08%302K
76.02%-247K
-186.64%-201K
379.29%3.01M
252.70%3.33M
433.33%480K
53.27%-1.03M
-Change in receivables
-306.67%-217K
229.65%1.81M
266.96%833K
-36.61%142K
145.92%726K
139.92%105K
-87.74%-1.39M
-75.51%227K
225.14%224K
-113.65%-1.58M
-Change in inventory
107.55%4K
-81.88%125K
-86.99%90K
353.23%281K
-310.64%-193K
-211.76%-53K
161.17%690K
373.52%692K
114.69%62K
89.65%-47K
-Change in payables and accrued expense
-155.58%-623K
-101.13%-14K
-591.67%-236K
-109.28%-120K
-25.65%-779K
117.67%1.12M
52.03%1.24M
-82.16%48K
86.31%1.29M
38.00%-620K
-Change in other current liabilities
0.00%-1K
157.14%88K
169.47%91K
50.00%-1K
94.44%-1K
66.67%-1K
-670.00%-154K
---131K
33.33%-2K
-80.00%-18K
-Change in other working capital
----
-155.46%-1.46M
-103.41%-85K
--0
--0
---1.37M
--2.63M
--2.49M
---1.1M
----
Cash from discontinued investing activities
Operating cash flow
-57.23%-3.9M
-20.74%-11.39M
-65.49%-2.25M
-105.55%-3.3M
19.60%-3.36M
-8.25%-2.48M
-0.57%-9.43M
52.16%-1.36M
30.86%-1.6M
-38.50%-4.17M
Investing cash flow
Cash flow from continuing investing activities
-416.67%-31K
79.46%-320K
56.08%-65K
65.58%-106K
-576.67%-143K
99.47%-6K
-456.43%-1.56M
31.80%-148K
-306.71%-308K
118.75%30K
Net PPE purchase and sale
-121.43%-31K
76.07%-174K
108.10%17K
88.96%-34K
-3,475.00%-143K
93.17%-14K
-76.46%-727K
-7.14%-210K
-30,700.00%-308K
97.69%-4K
Net business purchase and sale
----
91.24%-77K
---77K
--0
----
----
---879K
--0
--0
--0
Net other investing changes
----
-246.81%-69K
-108.20%-5K
---72K
--0
116.67%8K
-64.39%47K
390.48%61K
--0
161.54%34K
Cash from discontinued investing activities
Investing cash flow
-416.67%-31K
79.47%-320K
56.38%-65K
65.58%-106K
-576.67%-143K
99.47%-6K
-456.79%-1.56M
31.34%-149K
-306.71%-308K
118.75%30K
Financing cash flow
Cash flow from continuing financing activities
-14.40%2.11M
78.69%10.89M
-32.49%2.61M
-162.93%-528K
2,724.89%6.36M
109.81%2.46M
-50.66%6.1M
8.89%3.86M
127.37%839K
-97.40%225K
Net issuance payments of debt
64.56%-84K
-204.88%-645K
8.11%-34K
-125.18%-139K
-518.42%-235K
-271.74%-237K
569.47%615K
-133.04%-37K
1,122.22%552K
-126.95%-38K
Net common stock issuance
-18.81%2.19M
164.95%10.32M
-59.96%1.56M
---430K
--6.49M
--2.7M
-53.41%3.89M
--3.89M
--0
--0
Proceeds from stock option exercised by employees
----
-93.57%102K
-1,366.67%-38K
-85.71%41K
----
----
-61.56%1.59M
-99.91%3K
-32.15%287K
75.33%263K
Net other financing activities
----
--1.12M
----
----
----
----
----
----
--1K
--0
Cash from discontinued financing activities
Financing cash flow
-14.40%2.11M
78.69%10.89M
-32.45%2.61M
-162.86%-528K
2,724.89%6.36M
109.63%2.46M
-50.66%6.1M
8.83%3.86M
127.64%840K
-97.40%225K
Net cash flow
Beginning cash position
-13.34%2.27M
-69.11%2.62M
193.10%1.66M
241.22%5.67M
-59.87%2.27M
-69.11%2.62M
56.94%8.47M
-92.70%565K
-82.23%1.66M
36.21%5.66M
Current changes in cash
-6,425.00%-1.83M
83.37%-814K
-87.77%287K
-266.70%-3.93M
172.95%2.86M
98.76%-28K
-281.46%-4.89M
387.94%2.35M
40.51%-1.07M
-171.55%-3.92M
Effect of exchange rate changes
112.66%40K
148.44%465K
209.46%324K
-236.00%-84K
767.90%541K
43.37%-316K
-355.32%-960K
-217.93%-296K
-113.51%-25K
70.76%-81K
End cash Position
-78.87%480K
-13.34%2.27M
-13.34%2.27M
193.10%1.66M
241.22%5.67M
-59.87%2.27M
-69.11%2.62M
-69.11%2.62M
-92.70%565K
-82.23%1.66M
Free cash flow
-57.60%-3.93M
-13.81%-11.56M
-42.30%-2.24M
-74.22%-3.33M
16.26%-3.5M
0.08%-2.5M
-3.76%-10.16M
48.34%-1.57M
17.62%-1.91M
-31.10%-4.18M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
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(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(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -57.23%-3.9M-20.74%-11.39M-65.49%-2.25M-105.55%-3.3M19.60%-3.36M-8.25%-2.48M-0.57%-9.43M52.16%-1.36M30.86%-1.6M-38.50%-4.17M
Net income from continuing operations 89.70%-396K1.58%-18.06M29.43%-4.2M58.87%-2.59M-120.56%-7.42M-40.67%-3.84M54.46%-18.35M-48.41%-5.96M-195.86%-6.29M23.17%-3.37M
Operating gains losses -728.15%-3.35M-594.09%-1.26M-689.87%-1.34M-20,645.45%-2.26M--2.75M-2,631.25%-405K-99.18%254K363.27%227K101.55%11K--0
Depreciation and amortization -35.43%195K30.66%1.03M-35.81%233K105.83%247K43.27%245K128.79%302K213.15%786K458.46%363K34.83%120K280.00%171K
Other non cash items ---------------127K------------------------
Change In working capital -316.42%-837K-81.82%547K-79.16%693K-37.08%302K76.02%-247K-186.64%-201K379.29%3.01M252.70%3.33M433.33%480K53.27%-1.03M
-Change in receivables -306.67%-217K229.65%1.81M266.96%833K-36.61%142K145.92%726K139.92%105K-87.74%-1.39M-75.51%227K225.14%224K-113.65%-1.58M
-Change in inventory 107.55%4K-81.88%125K-86.99%90K353.23%281K-310.64%-193K-211.76%-53K161.17%690K373.52%692K114.69%62K89.65%-47K
-Change in payables and accrued expense -155.58%-623K-101.13%-14K-591.67%-236K-109.28%-120K-25.65%-779K117.67%1.12M52.03%1.24M-82.16%48K86.31%1.29M38.00%-620K
-Change in other current liabilities 0.00%-1K157.14%88K169.47%91K50.00%-1K94.44%-1K66.67%-1K-670.00%-154K---131K33.33%-2K-80.00%-18K
-Change in other working capital -----155.46%-1.46M-103.41%-85K--0--0---1.37M--2.63M--2.49M---1.1M----
Cash from discontinued investing activities
Operating cash flow -57.23%-3.9M-20.74%-11.39M-65.49%-2.25M-105.55%-3.3M19.60%-3.36M-8.25%-2.48M-0.57%-9.43M52.16%-1.36M30.86%-1.6M-38.50%-4.17M
Investing cash flow
Cash flow from continuing investing activities -416.67%-31K79.46%-320K56.08%-65K65.58%-106K-576.67%-143K99.47%-6K-456.43%-1.56M31.80%-148K-306.71%-308K118.75%30K
Net PPE purchase and sale -121.43%-31K76.07%-174K108.10%17K88.96%-34K-3,475.00%-143K93.17%-14K-76.46%-727K-7.14%-210K-30,700.00%-308K97.69%-4K
Net business purchase and sale ----91.24%-77K---77K--0-----------879K--0--0--0
Net other investing changes -----246.81%-69K-108.20%-5K---72K--0116.67%8K-64.39%47K390.48%61K--0161.54%34K
Cash from discontinued investing activities
Investing cash flow -416.67%-31K79.47%-320K56.38%-65K65.58%-106K-576.67%-143K99.47%-6K-456.79%-1.56M31.34%-149K-306.71%-308K118.75%30K
Financing cash flow
Cash flow from continuing financing activities -14.40%2.11M78.69%10.89M-32.49%2.61M-162.93%-528K2,724.89%6.36M109.81%2.46M-50.66%6.1M8.89%3.86M127.37%839K-97.40%225K
Net issuance payments of debt 64.56%-84K-204.88%-645K8.11%-34K-125.18%-139K-518.42%-235K-271.74%-237K569.47%615K-133.04%-37K1,122.22%552K-126.95%-38K
Net common stock issuance -18.81%2.19M164.95%10.32M-59.96%1.56M---430K--6.49M--2.7M-53.41%3.89M--3.89M--0--0
Proceeds from stock option exercised by employees -----93.57%102K-1,366.67%-38K-85.71%41K---------61.56%1.59M-99.91%3K-32.15%287K75.33%263K
Net other financing activities ------1.12M--------------------------1K--0
Cash from discontinued financing activities
Financing cash flow -14.40%2.11M78.69%10.89M-32.45%2.61M-162.86%-528K2,724.89%6.36M109.63%2.46M-50.66%6.1M8.83%3.86M127.64%840K-97.40%225K
Net cash flow
Beginning cash position -13.34%2.27M-69.11%2.62M193.10%1.66M241.22%5.67M-59.87%2.27M-69.11%2.62M56.94%8.47M-92.70%565K-82.23%1.66M36.21%5.66M
Current changes in cash -6,425.00%-1.83M83.37%-814K-87.77%287K-266.70%-3.93M172.95%2.86M98.76%-28K-281.46%-4.89M387.94%2.35M40.51%-1.07M-171.55%-3.92M
Effect of exchange rate changes 112.66%40K148.44%465K209.46%324K-236.00%-84K767.90%541K43.37%-316K-355.32%-960K-217.93%-296K-113.51%-25K70.76%-81K
End cash Position -78.87%480K-13.34%2.27M-13.34%2.27M193.10%1.66M241.22%5.67M-59.87%2.27M-69.11%2.62M-69.11%2.62M-92.70%565K-82.23%1.66M
Free cash flow -57.60%-3.93M-13.81%-11.56M-42.30%-2.24M-74.22%-3.33M16.26%-3.5M0.08%-2.5M-3.76%-10.16M48.34%-1.57M17.62%-1.91M-31.10%-4.18M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion------

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