US Stock MarketDetailed Quotes

KOSS Koss Corp

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  • 8.250
  • +0.570+7.42%
Close Oct 16 16:00 ET
  • 8.380
  • +0.130+1.58%
Post 20:01 ET
76.72MMarket Cap-82500P/E (TTM)

Koss Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
(Q1)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-101.77%-190.53K
-246.29%-173.97K
320.55%328.63K
131.91%368.06K
-106.10%-713.25K
1,239.02%10.74M
144.11%118.92K
126.74%78.14K
-310.74%-1.15M
1,359.80%11.69M
Net income from continuing operations
-111.43%-950.91K
57.52%-110.37K
-39.78%-313.78K
76.42%-269.15K
-102.59%-257.61K
555.88%8.32M
-167.39%-259.84K
-155.67%-224.48K
-297.11%-1.14M
10,108.90%9.94M
Operating gains losses
54.46%96K
-501.07%-17.38K
-54.89%50.13K
239.39%123.19K
-241.69%-59.94K
127.81%62.15K
99.17%-2.89K
298.91%111.12K
-296.39%-88.38K
-17.56%42.3K
Depreciation and amortization
-16.51%192.27K
13.83%50.23K
-3.69%48.4K
-29.68%48.03K
-32.53%45.61K
-21.53%230.29K
-35.43%44.12K
-21.52%50.25K
-15.31%68.31K
-15.95%67.61K
Other non cash items
-5.96%-189.69K
-1.05%-38.8K
-30.60%-1.84K
-30.05%-1.92K
-6.82%-147.14K
81.09%-179.02K
3.88%-38.4K
84.97%-1.41K
99.80%-1.47K
17.56%-137.74K
Change In working capital
-60.21%889.66K
-105.74%-27.66K
359.36%589.22K
1,104.53%544.65K
-112.89%-216.56K
226.88%2.24M
215.50%482.19K
114.29%128.27K
-111.17%-54.22K
280.08%1.68M
-Change in receivables
-69.17%101.17K
155.63%103.9K
195.57%250.91K
-171.55%-260.44K
-89.71%6.79K
-23.59%328.14K
-139.76%-186.78K
109.88%84.89K
-47.84%364.01K
-45.25%66.02K
-Change in inventory
-11.69%1.95M
-71.44%187.33K
-32.61%505.66K
788.54%612.21K
-12.05%644.57K
180.88%2.21M
174.48%655.82K
17,345.16%750.34K
115.17%68.9K
152.70%732.87K
-Change in prepaid assets
39.77%-78.92K
-65.12%35.84K
20.61%-55.01K
160.06%118.29K
15.21%-178.04K
-148.98%-131.03K
-62.28%102.76K
-820.86%-69.29K
-74.66%45.49K
-8.19%-209.99K
-Change in payables and accrued expense
-4,710.99%-928.71K
-139.12%-354.21K
88.56%-67.22K
115.94%89.39K
-146.70%-596.67K
-104.38%-19.3K
34.41%-148.13K
-1,405.85%-587.82K
-709.54%-560.89K
108.11%1.28M
-Change in other working capital
-2.57%-153.63K
-100.88%-515
9.48%-45.12K
-152.32%-14.79K
50.09%-93.21K
12.13%-149.79K
209.75%58.52K
-874.47%-49.84K
195.58%28.27K
-126.50%-186.74K
Cash from discontinued investing activities
Operating cash flow
-101.77%-190.53K
-246.29%-173.97K
320.55%328.63K
131.91%368.06K
-106.10%-713.25K
1,239.02%10.74M
144.11%118.92K
126.74%78.14K
-310.74%-1.15M
1,359.80%11.69M
Investing cash flow
Cash flow from continuing investing activities
98.83%-198.43K
-104.85%-800
102.96%59.8K
100.91%136.11K
-294.46%-393.54K
-1,040.49%-17.02M
262.75%16.49K
-201.30%-2.02M
-82,246.46%-14.92M
34.76%-99.77K
Net PPE purchase and sale
-369.07%-461.76K
97.35%-800
-234.46%-59.37K
-129.54%-88.88K
-2,556.23%-312.72K
8.98%-98.44K
-198.11%-30.2K
22.40%-17.75K
-115.57%-38.72K
79.42%-11.77K
Net investment purchase and sale
102.05%345.08K
--0
105.96%119.16K
101.51%224.99K
--926
---16.84M
--46.69K
---2M
---14.88M
--0
Net other investing changes
7.10%-81.74K
--0
--0
--0
7.10%-81.74K
-104.59%-88K
---1
-100.00%1
99.38%-1
8.08%-87.99K
Cash from discontinued investing activities
Investing cash flow
98.83%-198.43K
-104.85%-800
102.96%59.8K
100.91%136.11K
-294.46%-393.54K
-1,040.49%-17.02M
262.75%16.49K
-201.30%-2.02M
-82,246.46%-14.92M
34.76%-99.77K
Financing cash flow
Cash flow from continuing financing activities
-21.23%134.98K
191.52%99.18K
0
93.51%35.8K
0
-87.68%171.35K
34.02K
48.39K
-29.66%18.5K
-94.84%70.44K
Proceeds from stock option exercised by employees
-21.23%134.98K
191.52%99.18K
--0
93.51%35.8K
--0
-87.68%171.35K
--34.02K
--48.39K
-29.66%18.5K
-94.84%70.44K
Cash from discontinued financing activities
Financing cash flow
-21.23%134.98K
191.52%99.18K
--0
93.51%35.8K
--0
-87.68%171.35K
--34.02K
--48.39K
-29.66%18.5K
-94.84%70.44K
Net cash flow
Beginning cash position
-66.43%3.09M
-0.31%2.91M
-47.55%2.52M
-90.49%1.98M
-66.43%3.09M
32.49%9.21M
-69.21%2.92M
-38.22%4.81M
188.54%20.87M
32.49%9.21M
Current changes in cash
95.85%-253.98K
-144.62%-75.6K
120.54%388.43K
103.36%539.98K
-109.49%-1.11M
-370.91%-6.12M
160.56%169.43K
-211.27%-1.89M
-2,990.56%-16.06M
4,020.65%11.66M
End cash Position
-8.22%2.84M
-8.22%2.84M
-0.31%2.91M
-47.55%2.52M
-90.49%1.98M
-66.43%3.09M
-66.43%3.09M
-69.21%2.92M
-38.22%4.81M
188.54%20.87M
Free cash flow
-106.13%-652.29K
-296.99%-174.77K
345.85%269.26K
123.42%279.19K
-108.78%-1.03M
1,112.40%10.64M
131.71%88.72K
119.17%60.39K
-325.20%-1.19M
1,285.48%11.68M
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
--
--
--
--
Unqualified Opinion
--
--
--
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(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022(Q1)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -101.77%-190.53K-246.29%-173.97K320.55%328.63K131.91%368.06K-106.10%-713.25K1,239.02%10.74M144.11%118.92K126.74%78.14K-310.74%-1.15M1,359.80%11.69M
Net income from continuing operations -111.43%-950.91K57.52%-110.37K-39.78%-313.78K76.42%-269.15K-102.59%-257.61K555.88%8.32M-167.39%-259.84K-155.67%-224.48K-297.11%-1.14M10,108.90%9.94M
Operating gains losses 54.46%96K-501.07%-17.38K-54.89%50.13K239.39%123.19K-241.69%-59.94K127.81%62.15K99.17%-2.89K298.91%111.12K-296.39%-88.38K-17.56%42.3K
Depreciation and amortization -16.51%192.27K13.83%50.23K-3.69%48.4K-29.68%48.03K-32.53%45.61K-21.53%230.29K-35.43%44.12K-21.52%50.25K-15.31%68.31K-15.95%67.61K
Other non cash items -5.96%-189.69K-1.05%-38.8K-30.60%-1.84K-30.05%-1.92K-6.82%-147.14K81.09%-179.02K3.88%-38.4K84.97%-1.41K99.80%-1.47K17.56%-137.74K
Change In working capital -60.21%889.66K-105.74%-27.66K359.36%589.22K1,104.53%544.65K-112.89%-216.56K226.88%2.24M215.50%482.19K114.29%128.27K-111.17%-54.22K280.08%1.68M
-Change in receivables -69.17%101.17K155.63%103.9K195.57%250.91K-171.55%-260.44K-89.71%6.79K-23.59%328.14K-139.76%-186.78K109.88%84.89K-47.84%364.01K-45.25%66.02K
-Change in inventory -11.69%1.95M-71.44%187.33K-32.61%505.66K788.54%612.21K-12.05%644.57K180.88%2.21M174.48%655.82K17,345.16%750.34K115.17%68.9K152.70%732.87K
-Change in prepaid assets 39.77%-78.92K-65.12%35.84K20.61%-55.01K160.06%118.29K15.21%-178.04K-148.98%-131.03K-62.28%102.76K-820.86%-69.29K-74.66%45.49K-8.19%-209.99K
-Change in payables and accrued expense -4,710.99%-928.71K-139.12%-354.21K88.56%-67.22K115.94%89.39K-146.70%-596.67K-104.38%-19.3K34.41%-148.13K-1,405.85%-587.82K-709.54%-560.89K108.11%1.28M
-Change in other working capital -2.57%-153.63K-100.88%-5159.48%-45.12K-152.32%-14.79K50.09%-93.21K12.13%-149.79K209.75%58.52K-874.47%-49.84K195.58%28.27K-126.50%-186.74K
Cash from discontinued investing activities
Operating cash flow -101.77%-190.53K-246.29%-173.97K320.55%328.63K131.91%368.06K-106.10%-713.25K1,239.02%10.74M144.11%118.92K126.74%78.14K-310.74%-1.15M1,359.80%11.69M
Investing cash flow
Cash flow from continuing investing activities 98.83%-198.43K-104.85%-800102.96%59.8K100.91%136.11K-294.46%-393.54K-1,040.49%-17.02M262.75%16.49K-201.30%-2.02M-82,246.46%-14.92M34.76%-99.77K
Net PPE purchase and sale -369.07%-461.76K97.35%-800-234.46%-59.37K-129.54%-88.88K-2,556.23%-312.72K8.98%-98.44K-198.11%-30.2K22.40%-17.75K-115.57%-38.72K79.42%-11.77K
Net investment purchase and sale 102.05%345.08K--0105.96%119.16K101.51%224.99K--926---16.84M--46.69K---2M---14.88M--0
Net other investing changes 7.10%-81.74K--0--0--07.10%-81.74K-104.59%-88K---1-100.00%199.38%-18.08%-87.99K
Cash from discontinued investing activities
Investing cash flow 98.83%-198.43K-104.85%-800102.96%59.8K100.91%136.11K-294.46%-393.54K-1,040.49%-17.02M262.75%16.49K-201.30%-2.02M-82,246.46%-14.92M34.76%-99.77K
Financing cash flow
Cash flow from continuing financing activities -21.23%134.98K191.52%99.18K093.51%35.8K0-87.68%171.35K34.02K48.39K-29.66%18.5K-94.84%70.44K
Proceeds from stock option exercised by employees -21.23%134.98K191.52%99.18K--093.51%35.8K--0-87.68%171.35K--34.02K--48.39K-29.66%18.5K-94.84%70.44K
Cash from discontinued financing activities
Financing cash flow -21.23%134.98K191.52%99.18K--093.51%35.8K--0-87.68%171.35K--34.02K--48.39K-29.66%18.5K-94.84%70.44K
Net cash flow
Beginning cash position -66.43%3.09M-0.31%2.91M-47.55%2.52M-90.49%1.98M-66.43%3.09M32.49%9.21M-69.21%2.92M-38.22%4.81M188.54%20.87M32.49%9.21M
Current changes in cash 95.85%-253.98K-144.62%-75.6K120.54%388.43K103.36%539.98K-109.49%-1.11M-370.91%-6.12M160.56%169.43K-211.27%-1.89M-2,990.56%-16.06M4,020.65%11.66M
End cash Position -8.22%2.84M-8.22%2.84M-0.31%2.91M-47.55%2.52M-90.49%1.98M-66.43%3.09M-66.43%3.09M-69.21%2.92M-38.22%4.81M188.54%20.87M
Free cash flow -106.13%-652.29K-296.99%-174.77K345.85%269.26K123.42%279.19K-108.78%-1.03M1,112.40%10.64M131.71%88.72K119.17%60.39K-325.20%-1.19M1,285.48%11.68M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

Analysis

Analyst Rating

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Price Target

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