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BSGM BIOSIG TECHNOLOGIES INC

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  • 2.0000
  • +0.0700+3.63%
Close Nov 22 16:00 ET
  • 2.0700
  • +0.0700+3.50%
Post 20:01 ET
34.47MMarket Cap-1492P/E (TTM)

BIOSIG TECHNOLOGIES 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
61.10%-1.49M
69.74%-1.48M
76.74%-1.31M
20.23%-17.31M
28.49%-2.94M
22.62%-3.83M
26.97%-4.9M
4.93%-5.65M
17.78%-21.71M
28.21%-4.11M
Net income from continuing operations
52.74%-1.91M
64.86%-3.91M
53.74%-3.42M
-5.24%-28.69M
12.41%-6.13M
37.55%-4.05M
-94.72%-11.13M
8.47%-7.38M
17.03%-27.26M
22.26%-7M
Operating gains losses
----
----
----
----
----
----
----
----
106.47%15K
--0
Depreciation and amortization
-66.30%31K
-46.74%49K
-7.14%78K
23.21%361K
12.05%93K
9.52%92K
29.58%92K
52.73%84K
47.98%293K
48.21%83K
Other non cash items
3,412.50%2.53M
6.85%78K
8.45%77K
-21.45%293K
-40.31%77K
-7.69%72K
-9.88%73K
-16.47%71K
-15.42%373K
20.56%129K
Change In working capital
-642.93%-2.26M
-16,847.62%-3.52M
210.88%632K
65.73%769K
-6.24%901K
-50.30%417K
101.61%21K
-1,738.71%-570K
113.45%464K
340.83%961K
-Change in receivables
-103.13%-1K
-166.67%-14K
105.88%35K
137.55%86K
114.55%16K
126.89%32K
--21K
--17K
---229K
-210.00%-110K
-Change in inventory
--0
--0
--0
-275.35%-498K
-309.81%-449K
-113.95%-30K
---10K
93.79%-9K
125.49%284K
21,500.00%214K
-Change in prepaid assets
170.83%51K
113.16%55K
94.70%-8K
276.67%113K
462.69%754K
-141.62%-72K
-30.63%-418K
-451.16%-151K
200.00%30K
-24.29%134K
-Change in payables and accrued expense
-485.31%-2.18M
-777.24%-3.48M
298.59%705K
76.55%1.37M
-25.14%646K
-12.27%565K
157.37%514K
-315.15%-355K
139.03%776K
7,745.45%863K
-Change in other current liabilities
-75.64%-137K
-10.26%-86K
-12.00%-84K
14.25%-313K
37.88%-82K
-18.18%-78K
3.70%-78K
12.79%-75K
7.83%-365K
-112.90%-132K
-Change in other working capital
--0
212.50%9K
-633.33%-16K
134.38%11K
300.00%16K
--0
0.00%-8K
137.50%3K
-184.21%-32K
-14.29%-8K
Cash from discontinued investing activities
Operating cash flow
61.10%-1.49M
69.74%-1.48M
76.74%-1.31M
20.23%-17.31M
28.49%-2.94M
22.62%-3.83M
26.97%-4.9M
4.93%-5.65M
17.78%-21.71M
28.21%-4.11M
Investing cash flow
Cash flow from continuing investing activities
0
0
0
-10.71%-186K
93.10%-4K
-20.00%-60K
-1,440.00%-77K
18.18%-45K
69.00%-168K
59.72%-58K
Net PPE purchase and sale
--0
--0
--0
-10.71%-186K
93.10%-4K
-20.00%-60K
-1,440.00%-77K
18.18%-45K
69.00%-168K
59.72%-58K
Cash from discontinued investing activities
Investing cash flow
--0
--0
--0
-10.71%-186K
93.10%-4K
-20.00%-60K
-1,440.00%-77K
18.18%-45K
69.00%-168K
59.72%-58K
Financing cash flow
Cash flow from continuing financing activities
0
-34.14%3.17M
-77.18%1.54M
63.96%17.33M
-24.57%2.75M
274.85%3.03M
54.23%4.81M
124.78%6.75M
2.31%10.57M
364,300.00%3.64M
Net issuance payments of debt
--0
--0
--500K
----
----
--0
--0
--0
----
----
Net common stock issuance
--0
-2.34%3.17M
-84.59%1.04M
48.37%15.36M
-19.77%2.75M
224.78%2.62M
4.01%3.25M
124.78%6.75M
0.48%10.35M
342,500.00%3.42M
Proceeds from stock option exercised by employees
----
----
----
--0
----
----
----
----
678.57%218K
----
Net other financing activities
----
----
----
--1.97M
--0
--404K
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
--0
-34.14%3.17M
-77.18%1.54M
63.96%17.33M
-24.57%2.75M
274.85%3.03M
54.23%4.81M
124.78%6.75M
2.31%10.57M
364,300.00%3.64M
Net cash flow
Beginning cash position
68.05%2.1M
-70.54%416K
-46.78%190K
-96.94%357K
-56.14%389K
-75.34%1.25M
-83.70%1.41M
-96.94%357K
-58.76%11.66M
-94.94%887K
Current changes in cash
-72.54%-1.49M
1,155.00%1.69M
-78.58%226K
98.52%-167K
62.45%-199K
79.40%-863K
95.54%-160K
135.24%1.06M
31.95%-11.3M
90.98%-530K
End cash Position
58.10%615K
68.05%2.1M
-70.54%416K
-46.78%190K
-46.78%190K
-56.14%389K
-75.34%1.25M
-83.70%1.41M
-96.94%357K
-96.94%357K
Free cash flow
61.70%-1.49M
70.21%-1.48M
76.92%-1.31M
20.00%-17.5M
29.39%-2.95M
22.19%-3.89M
25.88%-4.97M
5.05%-5.69M
18.81%-21.87M
28.99%-4.17M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
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(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 61.10%-1.49M69.74%-1.48M76.74%-1.31M20.23%-17.31M28.49%-2.94M22.62%-3.83M26.97%-4.9M4.93%-5.65M17.78%-21.71M28.21%-4.11M
Net income from continuing operations 52.74%-1.91M64.86%-3.91M53.74%-3.42M-5.24%-28.69M12.41%-6.13M37.55%-4.05M-94.72%-11.13M8.47%-7.38M17.03%-27.26M22.26%-7M
Operating gains losses --------------------------------106.47%15K--0
Depreciation and amortization -66.30%31K-46.74%49K-7.14%78K23.21%361K12.05%93K9.52%92K29.58%92K52.73%84K47.98%293K48.21%83K
Other non cash items 3,412.50%2.53M6.85%78K8.45%77K-21.45%293K-40.31%77K-7.69%72K-9.88%73K-16.47%71K-15.42%373K20.56%129K
Change In working capital -642.93%-2.26M-16,847.62%-3.52M210.88%632K65.73%769K-6.24%901K-50.30%417K101.61%21K-1,738.71%-570K113.45%464K340.83%961K
-Change in receivables -103.13%-1K-166.67%-14K105.88%35K137.55%86K114.55%16K126.89%32K--21K--17K---229K-210.00%-110K
-Change in inventory --0--0--0-275.35%-498K-309.81%-449K-113.95%-30K---10K93.79%-9K125.49%284K21,500.00%214K
-Change in prepaid assets 170.83%51K113.16%55K94.70%-8K276.67%113K462.69%754K-141.62%-72K-30.63%-418K-451.16%-151K200.00%30K-24.29%134K
-Change in payables and accrued expense -485.31%-2.18M-777.24%-3.48M298.59%705K76.55%1.37M-25.14%646K-12.27%565K157.37%514K-315.15%-355K139.03%776K7,745.45%863K
-Change in other current liabilities -75.64%-137K-10.26%-86K-12.00%-84K14.25%-313K37.88%-82K-18.18%-78K3.70%-78K12.79%-75K7.83%-365K-112.90%-132K
-Change in other working capital --0212.50%9K-633.33%-16K134.38%11K300.00%16K--00.00%-8K137.50%3K-184.21%-32K-14.29%-8K
Cash from discontinued investing activities
Operating cash flow 61.10%-1.49M69.74%-1.48M76.74%-1.31M20.23%-17.31M28.49%-2.94M22.62%-3.83M26.97%-4.9M4.93%-5.65M17.78%-21.71M28.21%-4.11M
Investing cash flow
Cash flow from continuing investing activities 000-10.71%-186K93.10%-4K-20.00%-60K-1,440.00%-77K18.18%-45K69.00%-168K59.72%-58K
Net PPE purchase and sale --0--0--0-10.71%-186K93.10%-4K-20.00%-60K-1,440.00%-77K18.18%-45K69.00%-168K59.72%-58K
Cash from discontinued investing activities
Investing cash flow --0--0--0-10.71%-186K93.10%-4K-20.00%-60K-1,440.00%-77K18.18%-45K69.00%-168K59.72%-58K
Financing cash flow
Cash flow from continuing financing activities 0-34.14%3.17M-77.18%1.54M63.96%17.33M-24.57%2.75M274.85%3.03M54.23%4.81M124.78%6.75M2.31%10.57M364,300.00%3.64M
Net issuance payments of debt --0--0--500K----------0--0--0--------
Net common stock issuance --0-2.34%3.17M-84.59%1.04M48.37%15.36M-19.77%2.75M224.78%2.62M4.01%3.25M124.78%6.75M0.48%10.35M342,500.00%3.42M
Proceeds from stock option exercised by employees --------------0----------------678.57%218K----
Net other financing activities --------------1.97M--0--404K----------------
Cash from discontinued financing activities
Financing cash flow --0-34.14%3.17M-77.18%1.54M63.96%17.33M-24.57%2.75M274.85%3.03M54.23%4.81M124.78%6.75M2.31%10.57M364,300.00%3.64M
Net cash flow
Beginning cash position 68.05%2.1M-70.54%416K-46.78%190K-96.94%357K-56.14%389K-75.34%1.25M-83.70%1.41M-96.94%357K-58.76%11.66M-94.94%887K
Current changes in cash -72.54%-1.49M1,155.00%1.69M-78.58%226K98.52%-167K62.45%-199K79.40%-863K95.54%-160K135.24%1.06M31.95%-11.3M90.98%-530K
End cash Position 58.10%615K68.05%2.1M-70.54%416K-46.78%190K-46.78%190K-56.14%389K-75.34%1.25M-83.70%1.41M-96.94%357K-96.94%357K
Free cash flow 61.70%-1.49M70.21%-1.48M76.92%-1.31M20.00%-17.5M29.39%-2.95M22.19%-3.89M25.88%-4.97M5.05%-5.69M18.81%-21.87M28.99%-4.17M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes------------

Analysis

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Price Target

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