(Q2)Aug 3, 2024 | (Q1)May 4, 2024 | (FY)Feb 3, 2024 | (Q4)Feb 3, 2024 | (Q3)Oct 28, 2023 | (Q2)Jul 29, 2023 | (Q1)Apr 29, 2023 | (FY)Jan 28, 2023 | (Q4)Jan 28, 2023 | (Q3)Oct 29, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 134.68%18.12M | 126.42%23.67M | 88.53%-11.82M | -857.65%-41.88M | 192.25%11.89M | 120.88%7.72M | 121.43%10.45M | 39.92%-103.02M | 90.95%-4.37M | 68.77%-12.89M |
Net income from continuing operations | 17.27%-49.61M | 17.05%-56.29M | -15.89%-286.73M | -111.52%-113.37M | 22.24%-45.53M | 6.71%-59.97M | 4.41%-67.86M | 30.31%-247.42M | 78.80%-53.6M | -80.47%-58.56M |
Depreciation and amortization | 24.91%4.63M | 27.87%4.46M | 31.93%15.53M | 37.13%4.69M | 9.00%3.65M | 40.23%3.71M | 47.63%3.48M | 13.28%11.77M | 57.44%3.42M | 14.95%3.35M |
Other non cash items | -20.35%-7.91M | 168.42%1.33M | -65.02%1.11M | 678.13%7.03M | 471.59%2.6M | -958.82%-6.57M | -161.27%-1.94M | -61.09%3.18M | -201.16%-1.22M | -41.12%454K |
Change In working capital | -168.86%-4.6M | -51.82%13.51M | 144.14%21.19M | -261.55%-4.91M | -134.66%-8.61M | 132.64%6.67M | 204.09%28.04M | 24.66%-48.02M | 112.86%3.04M | 73.25%-3.67M |
-Change in receivables | -156.29%-36.02M | -23.82%15.86M | 2.20%-46.42M | -47.05%-50.24M | 80.29%-2.94M | -318.69%-14.06M | 534.70%20.82M | -0.88%-47.46M | -46.24%-34.17M | -94.88%-14.93M |
-Change in inventory | -195.29%-10.13M | -201.27%-8.27M | 344.30%18.33M | 23.79%4.87M | 2.02%-5.34M | 262.10%10.64M | 191.52%8.17M | 61.31%-7.5M | 136.53%3.93M | -1,202.87%-5.45M |
-Change in prepaid assets | 534.67%9.03M | 433.50%3.93M | -157.47%-29.08M | -94.03%-11.63M | -640.83%-17.69M | 1,592.86%1.42M | 60.65%-1.18M | -691.94%-11.29M | -1,624.94%-5.99M | -10.61%-2.39M |
-Change in payables and accrued expense | 135.65%7.69M | -13.55%-9.66M | 97.23%26.6M | 17.13%26.8M | -81.87%5.04M | 112.09%3.26M | 16.82%-8.51M | -80.72%13.49M | -33.59%22.88M | 145.48%27.82M |
-Change in other current assets | 482.10%619K | -40.90%315K | 127.34%509K | 170.76%242K | 93.46%-104K | 94.46%-162K | -82.19%533K | 84.89%-1.86M | 97.00%-342K | -178.95%-1.59M |
-Change in other working capital | 334.83%24.23M | 38.13%11.34M | 673.95%51.25M | 49.75%25.05M | 274.13%12.42M | 42,761.54%5.57M | 374.70%8.21M | 112.39%6.62M | 227.87%16.73M | 49.49%-7.13M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 134.68%18.12M | 126.42%23.67M | 88.53%-11.82M | -857.65%-41.88M | 192.25%11.89M | 120.88%7.72M | 121.43%10.45M | 39.92%-103.02M | 90.95%-4.37M | 68.77%-12.89M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -115.22%-36.29M | 117.21%3.05M | 87.55%-78.69M | 82.89%-42.65M | 99.60%-1.45M | -169.26%-16.86M | -66.19%-17.73M | -3,053.72%-631.85M | -2,524.35%-249.31M | -9,561.87%-365.61M |
Net PPE purchase and sale | -66.18%-4.99M | -102.56%-5.06M | 67.05%-10.95M | 65.10%-2.1M | 67.45%-3.36M | 52.03%-3M | 76.57%-2.5M | -71.76%-33.24M | 36.14%-6M | -179.78%-10.31M |
Net investment purchase and sale | -125.95%-31.2M | 153.27%8.11M | 88.70%-67.68M | 83.33%-40.55M | 100.53%1.9M | ---13.81M | ---15.23M | ---598.99M | ---243.26M | ---355.73M |
Net other investing changes | ---- | ---- | -113.09%-50K | --0 | --0 | ---- | ---- | 156.01%382K | 50.00%-50K | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -115.22%-36.29M | 117.21%3.05M | 87.55%-78.69M | 82.89%-42.65M | 99.60%-1.45M | -169.26%-16.86M | -66.19%-17.73M | -3,053.72%-631.85M | -2,524.35%-249.31M | -9,561.87%-365.61M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 24.90%15.67M | 207.96%312K | 47.74%21M | 33.36%8.98M | 55.39%-236K | 28.75%12.54M | 83.33%-289K | -97.97%14.21M | -99.04%6.73M | -39.21%-529K |
Net issuance payments of debt | 4.07%-448K | -10.71%-496K | -69.22%-2.21M | -76.51%-789K | -35.77%-501K | -89.84%-467K | -85.89%-448K | -139.08%-1.3M | -113.88%-447K | -136.54%-369K |
Net common stock issuance | ---- | ---- | --0 | ---- | ---- | ---- | ---- | --0 | ---- | ---- |
Proceeds from stock option exercised by employees | 23.86%16.12M | 408.18%808K | 28.56%23.2M | 36.05%9.77M | 61.59%265K | 24.45%13.01M | -36.14%159K | 1,223.09%18.05M | 2,806.48%7.18M | -34.92%164K |
Net other financing activities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 98.26%-2.53M | --0 | 31.36%-324K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 24.90%15.67M | 207.96%312K | 47.74%21M | 33.36%8.98M | 55.39%-236K | 28.75%12.54M | 83.33%-289K | -97.97%14.21M | -99.04%6.73M | -39.21%-529K |
Net cash flow | ||||||||||
Beginning cash position | -16.03%181.67M | -30.85%154.74M | -76.30%223.77M | -51.12%229.78M | -74.08%220.12M | -75.50%216.35M | -76.30%223.77M | 117.43%944.31M | 57.10%470.14M | 146.41%849.23M |
Current changes in cash | -173.61%-2.51M | 457.39%27.03M | 90.36%-69.51M | 69.41%-75.55M | 102.69%10.2M | 110.16%3.4M | 87.64%-7.56M | -241.27%-720.66M | -138.27%-246.95M | -734.37%-379.02M |
Effect of exchange rate changes | -223.66%-460K | -170.55%-103K | 322.12%477K | -14.21%501K | -622.67%-542K | 281.46%372K | 176.44%146K | 188.98%113K | 437.57%584K | -263.04%-75K |
End cash Position | -18.82%178.7M | -16.03%181.67M | -30.85%154.74M | -30.85%154.74M | -51.12%229.78M | -74.08%220.12M | -75.50%216.35M | -76.30%223.77M | -76.30%223.77M | 57.10%470.14M |
Free cash flow | 178.31%13.13M | 133.92%18.61M | 83.29%-22.77M | -323.80%-43.97M | 136.79%8.53M | 110.91%4.72M | 113.38%7.96M | 28.60%-136.26M | 82.02%-10.38M | 48.39%-23.2M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
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