CA Stock MarketDetailed Quotes

KITS Kits Eyecare Ltd

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  • 9.950
  • -0.010-0.10%
15min DelayTrading Nov 4 13:42 ET
325.25MMarket Cap995.00P/E (TTM)

Kits Eyecare Ltd 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
95.65%2.88M
104.46%4.13M
-48.58%2.41M
-473.04%-2.34M
-67.47%1.25M
-35.44%1.47M
293.02%2.02M
124.03%4.68M
97.80%-408K
-24.25%3.85M
Net income from continuing operations
115.79%187K
106.27%64K
51.34%-2.22M
64.55%-491K
2,300.00%480K
-28.28%-1.18M
54.95%-1.02M
68.86%-4.55M
88.90%-1.39M
100.63%20K
Operating gains losses
-130.48%-57K
-137.93%-138K
137.34%146K
41.49%133K
69.87%-116K
194.44%187K
-159.18%-58K
-200.77%-391K
59.32%94K
20.62%-385K
Depreciation and amortization
-21.49%592K
-12.93%754K
-9.51%3.19M
-14.36%793K
-12.22%776K
-12.63%754K
1.76%866K
31.84%3.52M
-50.19%926K
-65.97%884K
Remuneration paid in stock
164.22%539K
-12.34%270K
-61.11%513K
-65.31%119K
-138.31%-118K
-43.65%204K
0.65%308K
-12.99%1.32M
-70.38%343K
-68.44%308K
Deferred tax
177.82%207K
106.57%18K
48.94%-676K
-18.18%-208K
128.80%72K
-44.57%-266K
61.62%-274K
68.67%-1.32M
95.08%-176K
78.22%-250K
Other non cashItems
-20.10%318K
-19.56%329K
-32.92%1.09M
-125.63%-101K
-8.06%388K
-1.49%398K
-0.49%409K
-16.19%1.63M
-73.77%394K
-65.89%422K
Change In working capital
-19.10%1.11M
59.31%2.83M
-91.57%343K
-327.65%-2.58M
-109.34%-229K
-29.49%1.38M
568.05%1.78M
160.07%4.07M
91.46%-604K
-47.53%2.45M
-Change in receivables
-78.38%-198K
44.86%268K
-96.28%-897K
-400.63%-791K
59.09%-180K
-256.34%-111K
164.29%185K
-168.31%-457K
-115.64%-158K
-47.16%-440K
-Change in inventory
-1,251.72%-668K
-112.84%-248K
134.31%1.01M
100.34%14K
-195.87%-998K
-93.85%58K
337.22%1.93M
61.86%-2.93M
46.75%-4.1M
-11.03%1.04M
-Change in prepaid assets
-1,198.78%-901K
-165.67%-176K
935.29%142K
51.98%-182K
-109.74%-26K
218.84%82K
65.43%268K
-132.08%-17K
51.35%-379K
-26.24%267K
-Change in payables and accrued expense
46.16%2.1M
421.59%2.76M
-112.98%-845K
-150.81%-1.78M
-64.89%356K
133.93%1.43M
-161.97%-857K
7,026.60%6.51M
1,505.05%3.5M
-66.33%1.01M
-Change in other working capital
1,012.79%785K
-7.60%231K
-2.39%938K
-71.11%154K
8.60%619K
-121.77%-86K
146.73%250K
245.68%961K
204.57%533K
33.18%570K
Tax refund paid
---24K
--0
-97.26%11K
--0
--0
--0
--11K
165.56%401K
--0
0.00%401K
Cash from discontinued investing activities
Operating cash flow
95.65%2.88M
104.46%4.13M
-48.58%2.41M
-473.04%-2.34M
-67.47%1.25M
-35.44%1.47M
293.02%2.02M
124.03%4.68M
97.80%-408K
-24.25%3.85M
Investing cash flow
Cash flow from continuing investing activities
-80.92%-512K
-333.33%-26K
-118.22%-563K
-168.85%-164K
-25.00%-110K
-277.33%-283K
82.35%-6K
92.90%-258K
98.07%-61K
55.33%-88K
Net PPE purchase and sale
-80.92%-512K
-333.33%-26K
-118.22%-563K
-168.85%-164K
-25.00%-110K
-277.33%-283K
82.35%-6K
92.90%-258K
98.07%-61K
55.33%-88K
Cash from discontinued investing activities
Investing cash flow
-80.92%-512K
-333.33%-26K
-118.22%-563K
-168.85%-164K
-25.00%-110K
-277.33%-283K
82.35%-6K
92.90%-258K
98.07%-61K
55.33%-88K
Financing cash flow
Cash flow from continuing financing activities
8.77%-1.24M
0.24%-1.24M
1.09%-5.07M
6.80%-1.21M
2.85%-1.26M
-6.77%-1.36M
1.34%-1.25M
-112.36%-5.13M
-103.04%-1.3M
66.14%-1.3M
Net issuance payments of debt
8.77%-1.24M
0.24%-1.24M
-0.18%-5.14M
3.47%-1.25M
1.16%-1.28M
-6.77%-1.36M
1.34%-1.25M
48.10%-5.13M
85.15%-1.3M
66.14%-1.3M
Proceeds from stock option exercised by employees
----
----
--65K
--43K
--22K
----
----
--0
--0
--0
Cash from discontinued financing activities
Financing cash flow
8.77%-1.24M
0.24%-1.24M
1.09%-5.07M
6.80%-1.21M
2.85%-1.26M
-6.77%-1.36M
1.34%-1.25M
-112.36%-5.13M
-103.04%-1.3M
66.14%-1.3M
Net cash flow
Beginning cash position
-6.03%18.39M
-14.64%16.04M
-8.36%18.79M
-5.41%19.3M
4.95%19.83M
6.79%19.57M
-8.36%18.79M
788.43%20.51M
-3.40%20.4M
-7.87%18.89M
Current changes in cash
762.35%1.13M
273.11%2.86M
-355.57%-3.23M
-110.26%-3.71M
-104.79%-118K
-118.26%-170K
132.68%766K
-103.86%-709K
-108.43%-1.76M
133.74%2.47M
Effect of exchange rate changes
-149.64%-209K
-2,900.00%-504K
147.71%480K
196.05%450K
57.17%-409K
213.78%421K
-89.35%18K
-437.97%-1.01M
357.63%152K
17.53%-955K
End cash Position
-2.60%19.31M
-6.03%18.39M
-14.64%16.04M
-14.64%16.04M
-5.41%19.3M
4.94%19.83M
6.79%19.57M
-8.36%18.79M
-8.36%18.79M
0.00%20.4M
Free cash from
99.16%2.36M
103.78%4.1M
-58.32%1.84M
-433.48%-2.5M
-69.63%1.14M
-46.09%1.19M
286.39%2.01M
119.13%4.42M
97.84%-469K
-23.00%3.76M
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
--
--
(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 95.65%2.88M104.46%4.13M-48.58%2.41M-473.04%-2.34M-67.47%1.25M-35.44%1.47M293.02%2.02M124.03%4.68M97.80%-408K-24.25%3.85M
Net income from continuing operations 115.79%187K106.27%64K51.34%-2.22M64.55%-491K2,300.00%480K-28.28%-1.18M54.95%-1.02M68.86%-4.55M88.90%-1.39M100.63%20K
Operating gains losses -130.48%-57K-137.93%-138K137.34%146K41.49%133K69.87%-116K194.44%187K-159.18%-58K-200.77%-391K59.32%94K20.62%-385K
Depreciation and amortization -21.49%592K-12.93%754K-9.51%3.19M-14.36%793K-12.22%776K-12.63%754K1.76%866K31.84%3.52M-50.19%926K-65.97%884K
Remuneration paid in stock 164.22%539K-12.34%270K-61.11%513K-65.31%119K-138.31%-118K-43.65%204K0.65%308K-12.99%1.32M-70.38%343K-68.44%308K
Deferred tax 177.82%207K106.57%18K48.94%-676K-18.18%-208K128.80%72K-44.57%-266K61.62%-274K68.67%-1.32M95.08%-176K78.22%-250K
Other non cashItems -20.10%318K-19.56%329K-32.92%1.09M-125.63%-101K-8.06%388K-1.49%398K-0.49%409K-16.19%1.63M-73.77%394K-65.89%422K
Change In working capital -19.10%1.11M59.31%2.83M-91.57%343K-327.65%-2.58M-109.34%-229K-29.49%1.38M568.05%1.78M160.07%4.07M91.46%-604K-47.53%2.45M
-Change in receivables -78.38%-198K44.86%268K-96.28%-897K-400.63%-791K59.09%-180K-256.34%-111K164.29%185K-168.31%-457K-115.64%-158K-47.16%-440K
-Change in inventory -1,251.72%-668K-112.84%-248K134.31%1.01M100.34%14K-195.87%-998K-93.85%58K337.22%1.93M61.86%-2.93M46.75%-4.1M-11.03%1.04M
-Change in prepaid assets -1,198.78%-901K-165.67%-176K935.29%142K51.98%-182K-109.74%-26K218.84%82K65.43%268K-132.08%-17K51.35%-379K-26.24%267K
-Change in payables and accrued expense 46.16%2.1M421.59%2.76M-112.98%-845K-150.81%-1.78M-64.89%356K133.93%1.43M-161.97%-857K7,026.60%6.51M1,505.05%3.5M-66.33%1.01M
-Change in other working capital 1,012.79%785K-7.60%231K-2.39%938K-71.11%154K8.60%619K-121.77%-86K146.73%250K245.68%961K204.57%533K33.18%570K
Tax refund paid ---24K--0-97.26%11K--0--0--0--11K165.56%401K--00.00%401K
Cash from discontinued investing activities
Operating cash flow 95.65%2.88M104.46%4.13M-48.58%2.41M-473.04%-2.34M-67.47%1.25M-35.44%1.47M293.02%2.02M124.03%4.68M97.80%-408K-24.25%3.85M
Investing cash flow
Cash flow from continuing investing activities -80.92%-512K-333.33%-26K-118.22%-563K-168.85%-164K-25.00%-110K-277.33%-283K82.35%-6K92.90%-258K98.07%-61K55.33%-88K
Net PPE purchase and sale -80.92%-512K-333.33%-26K-118.22%-563K-168.85%-164K-25.00%-110K-277.33%-283K82.35%-6K92.90%-258K98.07%-61K55.33%-88K
Cash from discontinued investing activities
Investing cash flow -80.92%-512K-333.33%-26K-118.22%-563K-168.85%-164K-25.00%-110K-277.33%-283K82.35%-6K92.90%-258K98.07%-61K55.33%-88K
Financing cash flow
Cash flow from continuing financing activities 8.77%-1.24M0.24%-1.24M1.09%-5.07M6.80%-1.21M2.85%-1.26M-6.77%-1.36M1.34%-1.25M-112.36%-5.13M-103.04%-1.3M66.14%-1.3M
Net issuance payments of debt 8.77%-1.24M0.24%-1.24M-0.18%-5.14M3.47%-1.25M1.16%-1.28M-6.77%-1.36M1.34%-1.25M48.10%-5.13M85.15%-1.3M66.14%-1.3M
Proceeds from stock option exercised by employees ----------65K--43K--22K----------0--0--0
Cash from discontinued financing activities
Financing cash flow 8.77%-1.24M0.24%-1.24M1.09%-5.07M6.80%-1.21M2.85%-1.26M-6.77%-1.36M1.34%-1.25M-112.36%-5.13M-103.04%-1.3M66.14%-1.3M
Net cash flow
Beginning cash position -6.03%18.39M-14.64%16.04M-8.36%18.79M-5.41%19.3M4.95%19.83M6.79%19.57M-8.36%18.79M788.43%20.51M-3.40%20.4M-7.87%18.89M
Current changes in cash 762.35%1.13M273.11%2.86M-355.57%-3.23M-110.26%-3.71M-104.79%-118K-118.26%-170K132.68%766K-103.86%-709K-108.43%-1.76M133.74%2.47M
Effect of exchange rate changes -149.64%-209K-2,900.00%-504K147.71%480K196.05%450K57.17%-409K213.78%421K-89.35%18K-437.97%-1.01M357.63%152K17.53%-955K
End cash Position -2.60%19.31M-6.03%18.39M-14.64%16.04M-14.64%16.04M-5.41%19.3M4.94%19.83M6.79%19.57M-8.36%18.79M-8.36%18.79M0.00%20.4M
Free cash from 99.16%2.36M103.78%4.1M-58.32%1.84M-433.48%-2.5M-69.63%1.14M-46.09%1.19M286.39%2.01M119.13%4.42M97.84%-469K-23.00%3.76M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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