US Stock MarketDetailed Quotes

EYEN Eyenovia

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  • 0.495
  • +0.032+6.93%
Close Sep 27 16:00 ET
  • 0.490
  • -0.005-1.07%
Post 19:47 ET
38.08MMarket Cap-634P/E (TTM)

Eyenovia Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-73.38%-8.17M
-42.15%-9.89M
5.05%-23.84M
-16.97%-6.32M
14.32%-5.84M
-0.33%-4.71M
14.98%-6.96M
-20.27%-25.11M
8.03%-5.4M
-33.81%-6.82M
Net income from continuing operations
-77.83%-11.05M
-90.30%-10.92M
2.68%-27.26M
-30.11%-7.97M
-0.41%-7.34M
14.13%-6.22M
21.80%-5.74M
-119.21%-28.01M
-305.26%-6.12M
-31.25%-7.31M
Depreciation and amortization
137.94%295.4K
292.48%247.73K
154.76%783.21K
253.39%277.52K
283.65%318.42K
744.96%124.15K
-61.78%63.12K
38.76%307.43K
7.11%78.53K
13.69%83K
Other non cash items
523.04%1.94M
10.15%312.16K
36.59%1.21M
-61.62%310.16K
1,069.61%306.6K
1,086.36%311.02K
981.05%283.4K
5,181.73%886.7K
3,312.16%808.05K
-0.82%26.21K
Change In working capital
-145.91%-262.74K
80.76%-458.85K
34.60%-1.48M
145.81%485.04K
79.82%-152.34K
-61.75%572.3K
-22.61%-2.38M
78.86%-2.26M
89.05%-1.06M
-1,350.30%-755.01K
-Change in receivables
-106.63%-36.13K
-82.97%35.79K
70.61%1.06M
172.97%273.18K
131.93%31.99K
-16.85%544.67K
-52.33%210.11K
-55.56%621.28K
38.42%-374.36K
-64.67%-100.2K
-Change in inventory
--426.77K
---567.6K
---122.02K
---59.5K
---62.51K
--0
--0
--0
--0
----
-Change in prepaid assets
170.31%573.77K
27.14%-154.49K
215.47%435.88K
45.24%395.09K
-89.78%40.55K
-43.72%212.26K
76.64%-212.03K
-67.41%138.17K
-29.95%272.03K
34.25%396.77K
-Change in payables and accrued expense
-729.33%-1.54M
1,193.33%755.93K
101.84%9.74K
157.19%319.37K
94.67%-54.45K
-111.84%-186.04K
86.71%-69.14K
-3.85%-528.46K
-384.28%-558.4K
-110.37%-1.02M
-Change in other current liabilities
8.90%-135.6K
45.57%-74.1K
-21.96%-503.05K
80.19%-91.78K
-360.09%-126.27K
-262.06%-148.85K
-52.14%-136.15K
---412.48K
---463.38K
--48.55K
-Change in other working capital
200.38%451.31K
79.13%-454.38K
-13.41%-2.36M
-637.63%-351.33K
123.29%18.35K
112.52%150.25K
-150.82%-2.18M
82.68%-2.08M
100.68%65.35K
-125.32%-78.79K
Cash from discontinued investing activities
Operating cash flow
-73.38%-8.17M
-42.15%-9.89M
5.05%-23.84M
-16.97%-6.32M
14.32%-5.84M
-0.33%-4.71M
14.98%-6.96M
-20.27%-25.11M
8.03%-5.4M
-33.81%-6.82M
Investing cash flow
Cash flow from continuing investing activities
96.44%-45.75K
86.38%-114.11K
-353.91%-3.97M
53.42%-145.23K
-942.81%-1.7M
-568.90%-1.28M
-303.57%-838.05K
45.95%-874.75K
31.24%-311.79K
68.43%-163.32K
Net PPE purchase and sale
96.44%-45.75K
86.38%-114.11K
-225.53%-2.85M
53.42%-145.23K
-255.23%-580.16K
-568.90%-1.28M
-303.57%-838.05K
45.95%-874.75K
31.24%-311.79K
68.43%-163.32K
Net intangibles purchase and sale
----
----
---1.12M
--0
----
----
----
--0
--0
----
Cash from discontinued investing activities
Investing cash flow
96.44%-45.75K
86.38%-114.11K
-353.91%-3.97M
53.42%-145.23K
-942.81%-1.7M
-568.90%-1.28M
-303.57%-838.05K
45.95%-874.75K
31.24%-311.79K
68.43%-163.32K
Financing cash flow
Cash flow from continuing financing activities
-49.11%2.54M
-7.84%3.13M
-7.97%19.79M
-81.42%614.27K
275.23%10.78M
1,670.05%5M
-78.27%3.4M
0.23%21.51M
-73.10%3.31M
1,619.90%2.87M
Net issuance payments of debt
-121.74%-1.02M
38.37%-61.65K
140.64%4.39M
--0
9.23%-205.45K
1,492.72%4.7M
10.52%-100.03K
-73.15%1.82M
1,681.27%2.5M
3.97%-226.33K
Net common stock issuance
797.24%3.73M
-8.72%3.29M
-18.19%16.71M
-55.26%610.05K
278.08%12.08M
1,461.83%415.59K
-77.23%3.61M
59.76%20.43M
-89.33%1.36M
251.83%3.19M
Proceeds from stock option exercised by employees
----
----
165.92%49.73K
--22.53K
--0
----
----
-99.20%18.7K
--0
--0
Net other financing activities
-17.76%-163.04K
8.72%-98.8K
-78.18%-1.36M
96.71%-18.3K
-1,041.92%-1.09M
-420.31%-138.45K
-29.79%-108.24K
-69.47%-762.9K
-45.23%-557.07K
---95.84K
Cash from discontinued financing activities
Financing cash flow
-49.11%2.54M
-7.84%3.13M
-7.97%19.79M
-81.42%614.27K
275.23%10.78M
1,670.05%5M
-78.27%3.4M
0.23%21.51M
-73.10%3.31M
1,619.90%2.87M
Net cash flow
Beginning cash position
-56.81%7.98M
-35.05%14.85M
-16.36%22.86M
-18.09%20.7M
-40.55%17.47M
-46.62%18.47M
-16.36%22.86M
-3.65%27.34M
18.23%25.27M
8.11%29.38M
Current changes in cash
-468.53%-5.68M
-56.30%-6.87M
-79.16%-8.01M
-142.86%-5.85M
178.73%3.23M
80.84%-998.23K
-160.61%-4.4M
-332.21%-4.47M
-140.43%-2.41M
29.18%-4.11M
End cash Position
-86.83%2.3M
-56.81%7.98M
-35.05%14.85M
-35.05%14.85M
-18.09%20.7M
-40.55%17.47M
-46.62%18.47M
-16.36%22.86M
-16.36%22.86M
18.23%25.27M
Free cash flow
-38.95%-8.22M
-26.98%-10.01M
-7.03%-27.81M
-13.13%-6.47M
-8.07%-7.54M
-20.95%-5.92M
6.11%-7.88M
-15.50%-25.98M
9.69%-5.72M
-24.38%-6.98M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(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(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -73.38%-8.17M-42.15%-9.89M5.05%-23.84M-16.97%-6.32M14.32%-5.84M-0.33%-4.71M14.98%-6.96M-20.27%-25.11M8.03%-5.4M-33.81%-6.82M
Net income from continuing operations -77.83%-11.05M-90.30%-10.92M2.68%-27.26M-30.11%-7.97M-0.41%-7.34M14.13%-6.22M21.80%-5.74M-119.21%-28.01M-305.26%-6.12M-31.25%-7.31M
Depreciation and amortization 137.94%295.4K292.48%247.73K154.76%783.21K253.39%277.52K283.65%318.42K744.96%124.15K-61.78%63.12K38.76%307.43K7.11%78.53K13.69%83K
Other non cash items 523.04%1.94M10.15%312.16K36.59%1.21M-61.62%310.16K1,069.61%306.6K1,086.36%311.02K981.05%283.4K5,181.73%886.7K3,312.16%808.05K-0.82%26.21K
Change In working capital -145.91%-262.74K80.76%-458.85K34.60%-1.48M145.81%485.04K79.82%-152.34K-61.75%572.3K-22.61%-2.38M78.86%-2.26M89.05%-1.06M-1,350.30%-755.01K
-Change in receivables -106.63%-36.13K-82.97%35.79K70.61%1.06M172.97%273.18K131.93%31.99K-16.85%544.67K-52.33%210.11K-55.56%621.28K38.42%-374.36K-64.67%-100.2K
-Change in inventory --426.77K---567.6K---122.02K---59.5K---62.51K--0--0--0--0----
-Change in prepaid assets 170.31%573.77K27.14%-154.49K215.47%435.88K45.24%395.09K-89.78%40.55K-43.72%212.26K76.64%-212.03K-67.41%138.17K-29.95%272.03K34.25%396.77K
-Change in payables and accrued expense -729.33%-1.54M1,193.33%755.93K101.84%9.74K157.19%319.37K94.67%-54.45K-111.84%-186.04K86.71%-69.14K-3.85%-528.46K-384.28%-558.4K-110.37%-1.02M
-Change in other current liabilities 8.90%-135.6K45.57%-74.1K-21.96%-503.05K80.19%-91.78K-360.09%-126.27K-262.06%-148.85K-52.14%-136.15K---412.48K---463.38K--48.55K
-Change in other working capital 200.38%451.31K79.13%-454.38K-13.41%-2.36M-637.63%-351.33K123.29%18.35K112.52%150.25K-150.82%-2.18M82.68%-2.08M100.68%65.35K-125.32%-78.79K
Cash from discontinued investing activities
Operating cash flow -73.38%-8.17M-42.15%-9.89M5.05%-23.84M-16.97%-6.32M14.32%-5.84M-0.33%-4.71M14.98%-6.96M-20.27%-25.11M8.03%-5.4M-33.81%-6.82M
Investing cash flow
Cash flow from continuing investing activities 96.44%-45.75K86.38%-114.11K-353.91%-3.97M53.42%-145.23K-942.81%-1.7M-568.90%-1.28M-303.57%-838.05K45.95%-874.75K31.24%-311.79K68.43%-163.32K
Net PPE purchase and sale 96.44%-45.75K86.38%-114.11K-225.53%-2.85M53.42%-145.23K-255.23%-580.16K-568.90%-1.28M-303.57%-838.05K45.95%-874.75K31.24%-311.79K68.43%-163.32K
Net intangibles purchase and sale -----------1.12M--0--------------0--0----
Cash from discontinued investing activities
Investing cash flow 96.44%-45.75K86.38%-114.11K-353.91%-3.97M53.42%-145.23K-942.81%-1.7M-568.90%-1.28M-303.57%-838.05K45.95%-874.75K31.24%-311.79K68.43%-163.32K
Financing cash flow
Cash flow from continuing financing activities -49.11%2.54M-7.84%3.13M-7.97%19.79M-81.42%614.27K275.23%10.78M1,670.05%5M-78.27%3.4M0.23%21.51M-73.10%3.31M1,619.90%2.87M
Net issuance payments of debt -121.74%-1.02M38.37%-61.65K140.64%4.39M--09.23%-205.45K1,492.72%4.7M10.52%-100.03K-73.15%1.82M1,681.27%2.5M3.97%-226.33K
Net common stock issuance 797.24%3.73M-8.72%3.29M-18.19%16.71M-55.26%610.05K278.08%12.08M1,461.83%415.59K-77.23%3.61M59.76%20.43M-89.33%1.36M251.83%3.19M
Proceeds from stock option exercised by employees --------165.92%49.73K--22.53K--0---------99.20%18.7K--0--0
Net other financing activities -17.76%-163.04K8.72%-98.8K-78.18%-1.36M96.71%-18.3K-1,041.92%-1.09M-420.31%-138.45K-29.79%-108.24K-69.47%-762.9K-45.23%-557.07K---95.84K
Cash from discontinued financing activities
Financing cash flow -49.11%2.54M-7.84%3.13M-7.97%19.79M-81.42%614.27K275.23%10.78M1,670.05%5M-78.27%3.4M0.23%21.51M-73.10%3.31M1,619.90%2.87M
Net cash flow
Beginning cash position -56.81%7.98M-35.05%14.85M-16.36%22.86M-18.09%20.7M-40.55%17.47M-46.62%18.47M-16.36%22.86M-3.65%27.34M18.23%25.27M8.11%29.38M
Current changes in cash -468.53%-5.68M-56.30%-6.87M-79.16%-8.01M-142.86%-5.85M178.73%3.23M80.84%-998.23K-160.61%-4.4M-332.21%-4.47M-140.43%-2.41M29.18%-4.11M
End cash Position -86.83%2.3M-56.81%7.98M-35.05%14.85M-35.05%14.85M-18.09%20.7M-40.55%17.47M-46.62%18.47M-16.36%22.86M-16.36%22.86M18.23%25.27M
Free cash flow -38.95%-8.22M-26.98%-10.01M-7.03%-27.81M-13.13%-6.47M-8.07%-7.54M-20.95%-5.92M6.11%-7.88M-15.50%-25.98M9.69%-5.72M-24.38%-6.98M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

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Price Target

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