US Stock MarketDetailed Quotes

INSP Inspire Medical Systems

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  • 185.610
  • -1.540-0.82%
Close Feb 14 16:00 ET
  • 186.500
  • +0.890+0.48%
Pre 05:16 ET
5.51BMarket Cap106.06P/E (TTM)

Inspire Medical Systems Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
428.32%130.25M
300.65%69.18M
1,337.14%52.28M
-101.53%-78K
759.23%8.86M
113.10%24.65M
-10.39%17.27M
-66.93%3.64M
185.52%5.09M
89.46%-1.34M
Net income from continuing operations
352.96%53.51M
138.60%35.22M
316.59%18.5M
181.94%9.79M
35.13%-10.01M
52.87%-21.15M
368.67%14.76M
49.31%-8.54M
17.52%-11.95M
7.61%-15.42M
Depreciation and amortization
130.15%6.55M
203.30%2.48M
138.10%1.85M
109.86%1.38M
41.48%839K
53.18%2.85M
43.59%817K
51.46%777K
58.03%659K
65.18%593K
Other non cash items
-28.71%1.52M
-52.76%411K
-8.47%443K
-65.63%144K
46.20%519K
142.09%2.13M
109.13%870K
280.60%484K
26.59%419K
-11.25%355K
Change In working capital
7.53%-37.71M
115.60%3.11M
161.06%5.68M
-540.87%-41.54M
2.71%-4.95M
-2,353.09%-40.78M
-10,052.00%-19.9M
-171.48%-9.3M
-33.07%-6.48M
22.07%-5.09M
-Change in receivables
91.39%-2.6M
78.80%-3.95M
-16.86%-9.9M
-67.54%-7.72M
1,173.47%18.96M
-11.85%-30.22M
-47.60%-18.63M
-3.47%-8.47M
20.94%-4.61M
489.79%1.49M
-Change in inventory
-110.16%-46.23M
-63.25%-12.69M
-59.42%-8.41M
-94.13%-10.05M
-299.50%-15.09M
-511.58%-22M
-338.45%-7.77M
-178.59%-5.27M
-1,613.74%-5.18M
23.96%-3.78M
-Change in prepaid assets
50.74%-2.34M
217.23%2.12M
1,612.09%14.45M
-489.35%-18.93M
102.25%13K
-69.02%-4.76M
-64.19%-1.81M
311.71%844K
-50.59%-3.21M
-368.06%-579K
-Change in payables and accrued expense
-16.83%13.47M
112.05%17.62M
165.02%9.54M
-174.42%-4.85M
-297.30%-8.84M
-38.42%16.19M
-22.11%8.31M
-74.81%3.6M
137.23%6.51M
-58.82%-2.23M
Cash from discontinued investing activities
Operating cash flow
428.32%130.25M
300.65%69.18M
1,337.14%52.28M
-101.53%-78K
759.23%8.86M
113.10%24.65M
-10.39%17.27M
-66.93%3.64M
185.52%5.09M
89.46%-1.34M
Investing cash flow
Cash flow from continuing investing activities
61.63%-113.12M
102.48%3.76M
28.61%-102.97M
14.81%5.62M
-420.52%-19.54M
-1,404.50%-294.82M
-5,043.15%-151.72M
-3,734.16%-144.24M
142.87%4.9M
-156.18%-3.75M
Net PPE purchase and sale
-65.57%-39.12M
12.52%-7.03M
-14.58%-8.01M
-155.26%-12.39M
-211.64%-11.7M
-159.77%-23.63M
-172.31%-8.03M
-98.97%-6.99M
-242.14%-4.86M
-208.89%-3.75M
Net investment purchase and sale
72.71%-74M
107.51%10.79M
30.81%-94.96M
84.75%18.01M
---7.84M
-2,482.79%-271.19M
---143.69M
-54,801.20%-137.25M
197.50%9.75M
--0
Cash from discontinued investing activities
Investing cash flow
61.63%-113.12M
102.48%3.76M
28.61%-102.97M
14.81%5.62M
-420.52%-19.54M
-1,404.50%-294.82M
-5,043.15%-151.72M
-3,734.16%-144.24M
142.87%4.9M
-156.18%-3.75M
Financing cash flow
Cash flow from continuing financing activities
-475.58%-52.39M
-593.41%-70.14M
182.57%9.89M
-52.54%7.09M
-86.36%768K
-94.07%13.95M
-238.77%-10.12M
-98.44%3.5M
2,312.60%14.93M
84.99%5.63M
Net issuance payments of debt
--0
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----
----
--0
----
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Net common stock issuance
---75M
----
----
----
----
--0
----
----
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Proceeds from stock option exercised by employees
-10.72%27.77M
-74.23%982K
254.21%14.23M
-43.73%8.95M
-50.98%3.62M
96.65%31.11M
-47.73%3.81M
128.05%4.02M
331.97%15.91M
138.97%7.38M
Net other financing activities
69.90%-5.17M
127.86%3.88M
-740.12%-4.34M
-91.76%-1.86M
-63.12%-2.85M
-39,802.33%-17.16M
---13.93M
---516K
---971K
-3,960.47%-1.75M
Cash from discontinued financing activities
Financing cash flow
-475.58%-52.39M
-593.41%-70.14M
182.57%9.89M
-52.54%7.09M
-86.36%768K
-94.07%13.95M
-238.77%-10.12M
-98.44%3.5M
2,312.60%14.93M
84.99%5.63M
Net cash flow
Beginning cash position
-57.98%185.54M
-55.29%147.51M
-59.74%188.04M
-60.32%175.42M
-57.98%185.54M
105.90%441.59M
-21.04%329.9M
150.34%467.05M
117.49%442.13M
105.90%441.59M
Current changes in cash
86.23%-35.27M
101.94%2.8M
70.24%-40.8M
-49.32%12.63M
-1,955.24%-9.91M
-212.85%-256.22M
-712.38%-144.57M
-159.26%-137.1M
248.75%24.92M
104.78%534K
Effect of exchange rate changes
-171.95%-118K
-178.67%-166K
633.33%272K
-400.00%-10K
-3,666.67%-214K
118.67%164K
19.89%211K
59.84%-51K
-106.06%-2K
185.71%6K
End cash Position
-19.07%150.15M
-19.07%150.15M
-55.29%147.51M
-59.74%188.04M
-60.32%175.42M
-57.98%185.54M
-57.98%185.54M
-21.04%329.9M
150.34%467.05M
117.49%442.13M
Free cash flow
8,798.73%91.12M
573.10%62.15M
1,421.67%44.28M
-5,362.03%-12.47M
44.36%-2.84M
-58.59%1.02M
-43.42%9.23M
-144.73%-3.35M
103.21%237K
63.50%-5.1M
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
--
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(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 428.32%130.25M300.65%69.18M1,337.14%52.28M-101.53%-78K759.23%8.86M113.10%24.65M-10.39%17.27M-66.93%3.64M185.52%5.09M89.46%-1.34M
Net income from continuing operations 352.96%53.51M138.60%35.22M316.59%18.5M181.94%9.79M35.13%-10.01M52.87%-21.15M368.67%14.76M49.31%-8.54M17.52%-11.95M7.61%-15.42M
Depreciation and amortization 130.15%6.55M203.30%2.48M138.10%1.85M109.86%1.38M41.48%839K53.18%2.85M43.59%817K51.46%777K58.03%659K65.18%593K
Other non cash items -28.71%1.52M-52.76%411K-8.47%443K-65.63%144K46.20%519K142.09%2.13M109.13%870K280.60%484K26.59%419K-11.25%355K
Change In working capital 7.53%-37.71M115.60%3.11M161.06%5.68M-540.87%-41.54M2.71%-4.95M-2,353.09%-40.78M-10,052.00%-19.9M-171.48%-9.3M-33.07%-6.48M22.07%-5.09M
-Change in receivables 91.39%-2.6M78.80%-3.95M-16.86%-9.9M-67.54%-7.72M1,173.47%18.96M-11.85%-30.22M-47.60%-18.63M-3.47%-8.47M20.94%-4.61M489.79%1.49M
-Change in inventory -110.16%-46.23M-63.25%-12.69M-59.42%-8.41M-94.13%-10.05M-299.50%-15.09M-511.58%-22M-338.45%-7.77M-178.59%-5.27M-1,613.74%-5.18M23.96%-3.78M
-Change in prepaid assets 50.74%-2.34M217.23%2.12M1,612.09%14.45M-489.35%-18.93M102.25%13K-69.02%-4.76M-64.19%-1.81M311.71%844K-50.59%-3.21M-368.06%-579K
-Change in payables and accrued expense -16.83%13.47M112.05%17.62M165.02%9.54M-174.42%-4.85M-297.30%-8.84M-38.42%16.19M-22.11%8.31M-74.81%3.6M137.23%6.51M-58.82%-2.23M
Cash from discontinued investing activities
Operating cash flow 428.32%130.25M300.65%69.18M1,337.14%52.28M-101.53%-78K759.23%8.86M113.10%24.65M-10.39%17.27M-66.93%3.64M185.52%5.09M89.46%-1.34M
Investing cash flow
Cash flow from continuing investing activities 61.63%-113.12M102.48%3.76M28.61%-102.97M14.81%5.62M-420.52%-19.54M-1,404.50%-294.82M-5,043.15%-151.72M-3,734.16%-144.24M142.87%4.9M-156.18%-3.75M
Net PPE purchase and sale -65.57%-39.12M12.52%-7.03M-14.58%-8.01M-155.26%-12.39M-211.64%-11.7M-159.77%-23.63M-172.31%-8.03M-98.97%-6.99M-242.14%-4.86M-208.89%-3.75M
Net investment purchase and sale 72.71%-74M107.51%10.79M30.81%-94.96M84.75%18.01M---7.84M-2,482.79%-271.19M---143.69M-54,801.20%-137.25M197.50%9.75M--0
Cash from discontinued investing activities
Investing cash flow 61.63%-113.12M102.48%3.76M28.61%-102.97M14.81%5.62M-420.52%-19.54M-1,404.50%-294.82M-5,043.15%-151.72M-3,734.16%-144.24M142.87%4.9M-156.18%-3.75M
Financing cash flow
Cash flow from continuing financing activities -475.58%-52.39M-593.41%-70.14M182.57%9.89M-52.54%7.09M-86.36%768K-94.07%13.95M-238.77%-10.12M-98.44%3.5M2,312.60%14.93M84.99%5.63M
Net issuance payments of debt --0------------------0----------------
Net common stock issuance ---75M------------------0----------------
Proceeds from stock option exercised by employees -10.72%27.77M-74.23%982K254.21%14.23M-43.73%8.95M-50.98%3.62M96.65%31.11M-47.73%3.81M128.05%4.02M331.97%15.91M138.97%7.38M
Net other financing activities 69.90%-5.17M127.86%3.88M-740.12%-4.34M-91.76%-1.86M-63.12%-2.85M-39,802.33%-17.16M---13.93M---516K---971K-3,960.47%-1.75M
Cash from discontinued financing activities
Financing cash flow -475.58%-52.39M-593.41%-70.14M182.57%9.89M-52.54%7.09M-86.36%768K-94.07%13.95M-238.77%-10.12M-98.44%3.5M2,312.60%14.93M84.99%5.63M
Net cash flow
Beginning cash position -57.98%185.54M-55.29%147.51M-59.74%188.04M-60.32%175.42M-57.98%185.54M105.90%441.59M-21.04%329.9M150.34%467.05M117.49%442.13M105.90%441.59M
Current changes in cash 86.23%-35.27M101.94%2.8M70.24%-40.8M-49.32%12.63M-1,955.24%-9.91M-212.85%-256.22M-712.38%-144.57M-159.26%-137.1M248.75%24.92M104.78%534K
Effect of exchange rate changes -171.95%-118K-178.67%-166K633.33%272K-400.00%-10K-3,666.67%-214K118.67%164K19.89%211K59.84%-51K-106.06%-2K185.71%6K
End cash Position -19.07%150.15M-19.07%150.15M-55.29%147.51M-59.74%188.04M-60.32%175.42M-57.98%185.54M-57.98%185.54M-21.04%329.9M150.34%467.05M117.49%442.13M
Free cash flow 8,798.73%91.12M573.10%62.15M1,421.67%44.28M-5,362.03%-12.47M44.36%-2.84M-58.59%1.02M-43.42%9.23M-144.73%-3.35M103.21%237K63.50%-5.1M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------
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