US Stock MarketDetailed Quotes

CRNT Ceragon

Watchlist
  • 4.790
  • +0.050+1.05%
Close Dec 13 16:00 ET
  • 4.781
  • -0.009-0.19%
Post 20:01 ET
411.32MMarket Cap22.81P/E (TTM)

Ceragon 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
3.65%13.72M
51.59%4.82M
86.01%6.53M
730.99%30.89M
228.90%10.96M
53.97%13.24M
200.25%3.18M
293.23%3.51M
67.41%-4.9M
12.70%-8.5M
Net income from continuing operations
262.85%12.22M
275.14%7.83M
-79.52%403K
131.59%6.22M
91.99%-1.2M
490.15%3.37M
237.37%2.09M
186.01%1.97M
-32.78%-19.69M
-22.98%-15.02M
Operating gains losses
----
----
----
205.00%61K
--0
--31K
900.00%20K
-44.44%10K
-75.61%20K
--0
Depreciation and amortization
25.99%2.98M
13.90%2.94M
15.12%2.94M
-9.72%9.97M
-5.95%2.47M
-10.48%2.37M
-8.89%2.58M
-13.19%2.55M
-9.85%11.04M
-24.18%2.62M
Change In working capital
-137.12%-2.39M
-231.77%-7.69M
204.11%2.28M
6,035.06%10.68M
198.40%8.76M
13.72%6.43M
55.25%-2.32M
32.23%-2.19M
101.15%174K
255.62%2.94M
-Change in receivables
-418.18%-8.54M
-162.93%-17.41M
2,436.55%6.78M
-112.86%-2.37M
-88.36%1.86M
-59.69%2.68M
-153.74%-6.62M
81.46%-290K
265.27%18.43M
286.19%15.94M
-Change in inventory
73.74%-640K
32.81%1.19M
132.75%7.37M
156.50%6.3M
159.67%4.68M
35.17%-2.44M
128.79%893K
-10.84%3.17M
6.32%-11.16M
7.41%-7.85M
-Change in payables and accrued expense
43.30%7.6M
81.10%9.88M
-32.47%-9.38M
97.25%-170K
47.96%-3.84M
236.29%5.3M
104.31%5.46M
-133.26%-7.08M
-242.64%-6.17M
-254.48%-7.38M
-Change in other current assets
-94.37%138K
449.89%2.43M
-89.99%201K
543.99%20.78M
602.83%15.88M
13.95%2.45M
214.25%441K
351.82%2.01M
355.42%3.23M
-26.27%2.26M
-Change in other current liabilities
60.85%-565K
-66.84%-1.92M
25.33%-1.02M
32.05%-4.03M
90.63%-73K
-32.75%-1.44M
56.79%-1.15M
2.78%-1.37M
-28.51%-5.94M
50.63%-779K
-Change in other working capital
-189.15%-373K
-38.61%-1.85M
-220.71%-1.66M
-650.95%-9.83M
-1,418.27%-9.74M
-216.22%-129K
-245.79%-1.33M
7,142.11%1.38M
-81.29%1.78M
-91.68%739K
Cash from discontinued investing activities
Operating cash flow
3.65%13.72M
51.59%4.82M
86.01%6.53M
730.99%30.89M
228.90%10.96M
53.97%13.24M
200.25%3.18M
293.23%3.51M
67.41%-4.9M
12.70%-8.5M
Investing cash flow
Cash flow from continuing investing activities
-32.21%-3.15M
-81.94%-5.24M
16.34%-3.71M
-68.02%-20.87M
-425.13%-11.18M
46.94%-2.38M
6.50%-2.88M
-62.51%-4.43M
-32.21%-12.42M
36.03%-2.13M
Capital expenditure reported
44.17%-249K
-23.13%-676K
75.70%-313K
-50.43%-2.94M
5.16%-661K
45.81%-446K
-134.62%-549K
-534.48%-1.29M
-823.11%-1.96M
-263.02%-697K
Net PPE purchase and sale
-49.82%-2.9M
-95.79%-4.56M
-7.99%-3.39M
4.86%-9.96M
-77.93%-2.55M
47.19%-1.94M
18.10%-2.33M
-24.53%-3.14M
-13.95%-10.46M
54.34%-1.43M
Net business purchase and sale
----
----
----
---7.97M
----
----
----
----
--0
----
Cash from discontinued investing activities
Investing cash flow
-32.21%-3.15M
-81.94%-5.24M
16.34%-3.71M
-68.02%-20.87M
-425.13%-11.18M
46.94%-2.38M
6.50%-2.88M
-62.51%-4.43M
-32.21%-12.42M
36.03%-2.13M
Financing cash flow
Cash flow from continuing financing activities
-121.11%-2.99M
22.20%-1.77M
-142.34%-1.84M
-121.03%-4.86M
-173.57%-5.59M
20.73%-1.35M
-145.56%-2.27M
-64.43%4.35M
59.05%23.11M
158.33%7.6M
Net issuance payments of debt
-140.74%-3.25M
10.87%-2.05M
-148.28%-2.1M
-121.59%-4.9M
-173.68%-5.6M
32.50%-1.35M
-146.46%-2.3M
-64.20%4.35M
131.63%22.7M
162.07%7.6M
Proceeds from stock option exercised by employees
--265K
846.67%284K
--258K
-90.49%39K
--9K
--0
-6.25%30K
--0
-91.33%410K
--0
Cash from discontinued financing activities
Financing cash flow
-121.11%-2.99M
22.20%-1.77M
-142.34%-1.84M
-121.03%-4.86M
-173.57%-5.59M
20.73%-1.35M
-145.56%-2.27M
-64.43%4.35M
59.05%23.11M
158.33%7.6M
Net cash flow
Beginning cash position
7.23%26.3M
8.93%28.78M
23.05%28.24M
34.36%22.95M
30.82%33.97M
3.97%24.53M
5.86%26.42M
34.36%22.95M
-36.98%17.08M
-4.67%25.96M
Current changes in cash
-20.19%7.59M
-10.87%-2.18M
-71.45%979K
-11.01%5.16M
-91.66%-5.81M
294.93%9.51M
-54.96%-1.97M
-55.40%3.43M
158.62%5.79M
70.06%-3.03M
Effect of exchange rate changes
279.71%124K
-502.70%-298K
-1,041.30%-433K
77.33%133K
412.50%82K
-97.14%-69K
175.51%74K
-76.04%46K
154.35%75K
153.33%16K
End cash Position
0.14%34.01M
7.23%26.3M
8.93%28.78M
23.05%28.24M
23.05%28.24M
30.82%33.97M
3.97%24.53M
5.86%26.42M
34.36%22.95M
34.36%22.95M
Free cash flow
-2.62%10.57M
-237.75%-416K
406.30%2.82M
203.88%17.99M
172.90%7.75M
164.14%10.86M
104.83%302K
79.72%-921K
29.65%-17.32M
18.64%-10.63M
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
--
(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 3.65%13.72M51.59%4.82M86.01%6.53M730.99%30.89M228.90%10.96M53.97%13.24M200.25%3.18M293.23%3.51M67.41%-4.9M12.70%-8.5M
Net income from continuing operations 262.85%12.22M275.14%7.83M-79.52%403K131.59%6.22M91.99%-1.2M490.15%3.37M237.37%2.09M186.01%1.97M-32.78%-19.69M-22.98%-15.02M
Operating gains losses ------------205.00%61K--0--31K900.00%20K-44.44%10K-75.61%20K--0
Depreciation and amortization 25.99%2.98M13.90%2.94M15.12%2.94M-9.72%9.97M-5.95%2.47M-10.48%2.37M-8.89%2.58M-13.19%2.55M-9.85%11.04M-24.18%2.62M
Change In working capital -137.12%-2.39M-231.77%-7.69M204.11%2.28M6,035.06%10.68M198.40%8.76M13.72%6.43M55.25%-2.32M32.23%-2.19M101.15%174K255.62%2.94M
-Change in receivables -418.18%-8.54M-162.93%-17.41M2,436.55%6.78M-112.86%-2.37M-88.36%1.86M-59.69%2.68M-153.74%-6.62M81.46%-290K265.27%18.43M286.19%15.94M
-Change in inventory 73.74%-640K32.81%1.19M132.75%7.37M156.50%6.3M159.67%4.68M35.17%-2.44M128.79%893K-10.84%3.17M6.32%-11.16M7.41%-7.85M
-Change in payables and accrued expense 43.30%7.6M81.10%9.88M-32.47%-9.38M97.25%-170K47.96%-3.84M236.29%5.3M104.31%5.46M-133.26%-7.08M-242.64%-6.17M-254.48%-7.38M
-Change in other current assets -94.37%138K449.89%2.43M-89.99%201K543.99%20.78M602.83%15.88M13.95%2.45M214.25%441K351.82%2.01M355.42%3.23M-26.27%2.26M
-Change in other current liabilities 60.85%-565K-66.84%-1.92M25.33%-1.02M32.05%-4.03M90.63%-73K-32.75%-1.44M56.79%-1.15M2.78%-1.37M-28.51%-5.94M50.63%-779K
-Change in other working capital -189.15%-373K-38.61%-1.85M-220.71%-1.66M-650.95%-9.83M-1,418.27%-9.74M-216.22%-129K-245.79%-1.33M7,142.11%1.38M-81.29%1.78M-91.68%739K
Cash from discontinued investing activities
Operating cash flow 3.65%13.72M51.59%4.82M86.01%6.53M730.99%30.89M228.90%10.96M53.97%13.24M200.25%3.18M293.23%3.51M67.41%-4.9M12.70%-8.5M
Investing cash flow
Cash flow from continuing investing activities -32.21%-3.15M-81.94%-5.24M16.34%-3.71M-68.02%-20.87M-425.13%-11.18M46.94%-2.38M6.50%-2.88M-62.51%-4.43M-32.21%-12.42M36.03%-2.13M
Capital expenditure reported 44.17%-249K-23.13%-676K75.70%-313K-50.43%-2.94M5.16%-661K45.81%-446K-134.62%-549K-534.48%-1.29M-823.11%-1.96M-263.02%-697K
Net PPE purchase and sale -49.82%-2.9M-95.79%-4.56M-7.99%-3.39M4.86%-9.96M-77.93%-2.55M47.19%-1.94M18.10%-2.33M-24.53%-3.14M-13.95%-10.46M54.34%-1.43M
Net business purchase and sale ---------------7.97M------------------0----
Cash from discontinued investing activities
Investing cash flow -32.21%-3.15M-81.94%-5.24M16.34%-3.71M-68.02%-20.87M-425.13%-11.18M46.94%-2.38M6.50%-2.88M-62.51%-4.43M-32.21%-12.42M36.03%-2.13M
Financing cash flow
Cash flow from continuing financing activities -121.11%-2.99M22.20%-1.77M-142.34%-1.84M-121.03%-4.86M-173.57%-5.59M20.73%-1.35M-145.56%-2.27M-64.43%4.35M59.05%23.11M158.33%7.6M
Net issuance payments of debt -140.74%-3.25M10.87%-2.05M-148.28%-2.1M-121.59%-4.9M-173.68%-5.6M32.50%-1.35M-146.46%-2.3M-64.20%4.35M131.63%22.7M162.07%7.6M
Proceeds from stock option exercised by employees --265K846.67%284K--258K-90.49%39K--9K--0-6.25%30K--0-91.33%410K--0
Cash from discontinued financing activities
Financing cash flow -121.11%-2.99M22.20%-1.77M-142.34%-1.84M-121.03%-4.86M-173.57%-5.59M20.73%-1.35M-145.56%-2.27M-64.43%4.35M59.05%23.11M158.33%7.6M
Net cash flow
Beginning cash position 7.23%26.3M8.93%28.78M23.05%28.24M34.36%22.95M30.82%33.97M3.97%24.53M5.86%26.42M34.36%22.95M-36.98%17.08M-4.67%25.96M
Current changes in cash -20.19%7.59M-10.87%-2.18M-71.45%979K-11.01%5.16M-91.66%-5.81M294.93%9.51M-54.96%-1.97M-55.40%3.43M158.62%5.79M70.06%-3.03M
Effect of exchange rate changes 279.71%124K-502.70%-298K-1,041.30%-433K77.33%133K412.50%82K-97.14%-69K175.51%74K-76.04%46K154.35%75K153.33%16K
End cash Position 0.14%34.01M7.23%26.3M8.93%28.78M23.05%28.24M23.05%28.24M30.82%33.97M3.97%24.53M5.86%26.42M34.36%22.95M34.36%22.95M
Free cash flow -2.62%10.57M-237.75%-416K406.30%2.82M203.88%17.99M172.90%7.75M164.14%10.86M104.83%302K79.72%-921K29.65%-17.32M18.64%-10.63M
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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