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ITI Iteris

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  • 7.190
  • 0.0000.00%
Close Oct 16 16:00 ET
  • 7.190
  • 0.0000.00%
Post 16:20 ET
308.51MMarket Cap239.67P/E (TTM)

Iteris Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-189.42%-3.62M
352.45%11.38M
-25.60%4.69M
-30.79%1.95M
110.77%688K
155.84%4.05M
19.42%-4.51M
276.99%6.31M
562.13%2.82M
-141.70%-6.39M
Net income from continuing operations
-81.55%392K
121.08%3.13M
118.38%100K
117.33%355K
107.43%551K
143.81%2.13M
-109.82%-14.86M
83.10%-544K
11.91%-2.05M
-245.23%-7.41M
Operating gains losses
----
----
----
----
----
----
-95.48%8K
--0
----
----
Depreciation and amortization
19.72%1.12M
1.32%3.84M
14.51%1.07M
-0.87%915K
-3.15%923K
-4.89%933K
-6.55%3.79M
-6.58%937K
-8.88%923K
-5.55%953K
Deferred tax
4.55%23K
-10.17%53K
43.48%33K
-4.55%21K
-360.00%-23K
15.79%22K
112.16%59K
-42.50%23K
113.33%22K
97.37%-5K
Other non cash items
5.48%539K
-0.09%2.11M
176.23%558K
-27.48%520K
-67.42%516K
-5.02%511K
-65.40%2.11M
-188.83%-732K
53.86%717K
-66.82%1.58M
Change In working capital
-8,877.14%-6.28M
-148.32%-720K
-61.83%2.18M
-124.71%-682K
2.45%-2.15M
98.54%-70K
112.68%1.49M
274.53%5.72M
675.00%2.76M
68.16%-2.2M
-Change in receivables
-519.40%-5.78M
-59.36%1.3M
-92.27%248K
-43.11%1.27M
122.62%719K
-198.63%-933K
149.60%3.2M
171.60%3.21M
89.06%2.23M
-738.52%-3.18M
-Change in inventory
-103.32%-1.41M
9.44%-2.59M
-220.56%-1.98M
-271.32%-675K
66.59%753K
87.04%-693K
1.82%-2.86M
249.54%1.64M
147.19%394K
152.07%452K
-Change in prepaid assets
109.98%118K
-155.69%-724K
-156.79%-435K
1,177.42%396K
-72.89%497K
11.13%-1.18M
152.10%1.3M
151.27%766K
-85.02%31K
279.18%1.83M
-Change in payables and accrued expense
-62.19%1.27M
196.97%3.72M
981.12%4.9M
-242.71%-979K
-25,278.57%-3.55M
194.99%3.35M
-53.30%1.25M
-112.52%-556K
180.52%686K
99.53%-14K
-Change in other current liabilities
21.75%-482K
-72.69%-2.43M
-183.94%-554K
-19.31%-692K
56.36%-566K
-225.93%-616K
45.27%-1.41M
202.01%660K
-224.02%-580K
23.30%-1.3M
Cash from discontinued investing activities
0
0
0
-157.03%-329K
0
0
-552.94%-231K
Operating cash flow
-189.42%-3.62M
335.28%11.38M
-25.60%4.69M
-30.79%1.95M
110.39%688K
155.09%4.05M
15.47%-4.84M
274.69%6.31M
539.10%2.82M
-155.36%-6.62M
Investing cash flow
Cash flow from continuing investing activities
83.99%-121K
-61.95%-3.04M
-97.03%-729K
-90.13%-867K
-29.60%-683K
-45.11%-756K
-287.59%-1.87M
13.15%-370K
-612.50%-456K
-12.61%-527K
Capital expenditure reported
83.50%-97K
-84.10%-2.48M
-65.82%-587K
-137.89%-766K
-59.35%-537K
-76.58%-588K
17.68%-1.35M
-19.59%-354K
-403.13%-322K
-69.35%-337K
Net PPE purchase and sale
85.71%-24K
-5.49%-557K
-787.50%-142K
24.63%-101K
23.16%-146K
10.64%-168K
-13.30%-528K
87.69%-16K
---134K
29.37%-190K
Cash from discontinued investing activities
Investing cash flow
83.99%-121K
-61.95%-3.04M
-97.03%-729K
-90.13%-867K
-29.60%-683K
-45.11%-756K
-174.99%-1.87M
13.15%-370K
-3,157.14%-456K
-12.61%-527K
Financing cash flow
Cash flow from continuing financing activities
-343.43%-611K
343.28%905K
64.86%488K
-8,450.00%-171K
74.61%337K
129.22%251K
-123.80%-372K
71.10%296K
97.40%-2K
109.78%193K
Net common stock issuance
---621K
79.30%-183K
--0
---183K
--0
--0
---884K
--0
--0
--0
Proceeds from stock option exercised by employees
-96.11%10K
87.90%1.12M
53.46%488K
--18K
28.62%355K
25,600.00%257K
-66.31%595K
61.42%318K
--0
1.85%276K
Net other financing activities
----
63.86%-30K
--0
-200.00%-6K
78.31%-18K
-125.00%-6K
59.11%-83K
8.33%-22K
---2K
---83K
Cash from discontinued financing activities
Financing cash flow
-343.43%-611K
343.28%905K
64.86%488K
-8,450.00%-171K
74.61%337K
129.22%251K
-123.80%-372K
71.10%296K
97.40%-2K
109.78%193K
Net cash flow
Beginning cash position
55.29%25.98M
-29.75%16.73M
105.12%21.52M
153.44%20.61M
34.36%20.27M
-29.75%16.73M
-6.51%23.81M
-62.08%10.49M
-71.37%8.13M
-51.92%15.09M
Current changes in cash
-222.85%-4.35M
230.58%9.25M
-28.59%4.45M
-61.33%913K
104.92%342K
140.59%3.54M
-326.88%-7.08M
261.34%6.23M
422.10%2.36M
-134.27%-6.95M
End cash Position
6.70%21.63M
55.29%25.98M
55.29%25.98M
105.12%21.52M
153.44%20.61M
34.36%20.27M
-29.75%16.73M
-29.75%16.73M
-62.08%10.49M
-71.37%8.13M
Free cash flow
-213.65%-3.74M
224.34%8.34M
-33.24%3.96M
-54.13%1.08M
100.07%5K
141.83%3.29M
14.22%-6.71M
247.09%5.94M
434.70%2.36M
-133.53%-7.15M
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
(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -189.42%-3.62M352.45%11.38M-25.60%4.69M-30.79%1.95M110.77%688K155.84%4.05M19.42%-4.51M276.99%6.31M562.13%2.82M-141.70%-6.39M
Net income from continuing operations -81.55%392K121.08%3.13M118.38%100K117.33%355K107.43%551K143.81%2.13M-109.82%-14.86M83.10%-544K11.91%-2.05M-245.23%-7.41M
Operating gains losses -------------------------95.48%8K--0--------
Depreciation and amortization 19.72%1.12M1.32%3.84M14.51%1.07M-0.87%915K-3.15%923K-4.89%933K-6.55%3.79M-6.58%937K-8.88%923K-5.55%953K
Deferred tax 4.55%23K-10.17%53K43.48%33K-4.55%21K-360.00%-23K15.79%22K112.16%59K-42.50%23K113.33%22K97.37%-5K
Other non cash items 5.48%539K-0.09%2.11M176.23%558K-27.48%520K-67.42%516K-5.02%511K-65.40%2.11M-188.83%-732K53.86%717K-66.82%1.58M
Change In working capital -8,877.14%-6.28M-148.32%-720K-61.83%2.18M-124.71%-682K2.45%-2.15M98.54%-70K112.68%1.49M274.53%5.72M675.00%2.76M68.16%-2.2M
-Change in receivables -519.40%-5.78M-59.36%1.3M-92.27%248K-43.11%1.27M122.62%719K-198.63%-933K149.60%3.2M171.60%3.21M89.06%2.23M-738.52%-3.18M
-Change in inventory -103.32%-1.41M9.44%-2.59M-220.56%-1.98M-271.32%-675K66.59%753K87.04%-693K1.82%-2.86M249.54%1.64M147.19%394K152.07%452K
-Change in prepaid assets 109.98%118K-155.69%-724K-156.79%-435K1,177.42%396K-72.89%497K11.13%-1.18M152.10%1.3M151.27%766K-85.02%31K279.18%1.83M
-Change in payables and accrued expense -62.19%1.27M196.97%3.72M981.12%4.9M-242.71%-979K-25,278.57%-3.55M194.99%3.35M-53.30%1.25M-112.52%-556K180.52%686K99.53%-14K
-Change in other current liabilities 21.75%-482K-72.69%-2.43M-183.94%-554K-19.31%-692K56.36%-566K-225.93%-616K45.27%-1.41M202.01%660K-224.02%-580K23.30%-1.3M
Cash from discontinued investing activities 000-157.03%-329K00-552.94%-231K
Operating cash flow -189.42%-3.62M335.28%11.38M-25.60%4.69M-30.79%1.95M110.39%688K155.09%4.05M15.47%-4.84M274.69%6.31M539.10%2.82M-155.36%-6.62M
Investing cash flow
Cash flow from continuing investing activities 83.99%-121K-61.95%-3.04M-97.03%-729K-90.13%-867K-29.60%-683K-45.11%-756K-287.59%-1.87M13.15%-370K-612.50%-456K-12.61%-527K
Capital expenditure reported 83.50%-97K-84.10%-2.48M-65.82%-587K-137.89%-766K-59.35%-537K-76.58%-588K17.68%-1.35M-19.59%-354K-403.13%-322K-69.35%-337K
Net PPE purchase and sale 85.71%-24K-5.49%-557K-787.50%-142K24.63%-101K23.16%-146K10.64%-168K-13.30%-528K87.69%-16K---134K29.37%-190K
Cash from discontinued investing activities
Investing cash flow 83.99%-121K-61.95%-3.04M-97.03%-729K-90.13%-867K-29.60%-683K-45.11%-756K-174.99%-1.87M13.15%-370K-3,157.14%-456K-12.61%-527K
Financing cash flow
Cash flow from continuing financing activities -343.43%-611K343.28%905K64.86%488K-8,450.00%-171K74.61%337K129.22%251K-123.80%-372K71.10%296K97.40%-2K109.78%193K
Net common stock issuance ---621K79.30%-183K--0---183K--0--0---884K--0--0--0
Proceeds from stock option exercised by employees -96.11%10K87.90%1.12M53.46%488K--18K28.62%355K25,600.00%257K-66.31%595K61.42%318K--01.85%276K
Net other financing activities ----63.86%-30K--0-200.00%-6K78.31%-18K-125.00%-6K59.11%-83K8.33%-22K---2K---83K
Cash from discontinued financing activities
Financing cash flow -343.43%-611K343.28%905K64.86%488K-8,450.00%-171K74.61%337K129.22%251K-123.80%-372K71.10%296K97.40%-2K109.78%193K
Net cash flow
Beginning cash position 55.29%25.98M-29.75%16.73M105.12%21.52M153.44%20.61M34.36%20.27M-29.75%16.73M-6.51%23.81M-62.08%10.49M-71.37%8.13M-51.92%15.09M
Current changes in cash -222.85%-4.35M230.58%9.25M-28.59%4.45M-61.33%913K104.92%342K140.59%3.54M-326.88%-7.08M261.34%6.23M422.10%2.36M-134.27%-6.95M
End cash Position 6.70%21.63M55.29%25.98M55.29%25.98M105.12%21.52M153.44%20.61M34.36%20.27M-29.75%16.73M-29.75%16.73M-62.08%10.49M-71.37%8.13M
Free cash flow -213.65%-3.74M224.34%8.34M-33.24%3.96M-54.13%1.08M100.07%5K141.83%3.29M14.22%-6.71M247.09%5.94M434.70%2.36M-133.53%-7.15M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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Analyst Rating

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Price Target

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