US Stock MarketDetailed Quotes

LIDR AEye

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  • 1.1000
  • -0.0100-0.90%
Close Oct 2 16:00 ET
  • 1.1300
  • +0.0300+2.73%
Post 19:26 ET
9.82MMarket Cap-107P/E (TTM)

AEye 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
58.32%-6.36M
54.14%-7.89M
29.20%-50.73M
42.84%-9.22M
59.56%-9.06M
10.76%-15.25M
-7.31%-17.2M
-28.63%-71.65M
-0.06%-16.12M
-5.48%-22.41M
Net income from continuing operations
50.18%-7.99M
61.09%-10.22M
11.74%-87.13M
-17.02%-27.78M
27.84%-17.05M
39.43%-16.03M
-5.56%-26.27M
-51.84%-98.71M
5.16%-23.74M
-35.82%-23.62M
Operating gains losses
----
----
-23.38%59K
--6K
--105K
--1K
-265.63%-53K
103.06%77K
--0
----
Depreciation and amortization
-91.96%27K
-91.21%29K
8.79%1.55M
-12.58%549K
0.30%332K
31.76%336K
58.65%330K
40.24%1.42M
156.33%628K
22.14%331K
Other non cash items
1.97%363K
4.00%364K
54.64%2.8M
107.33%1.7M
17.40%398K
5.64%356K
10.41%350K
-45.86%1.81M
-48.30%819K
-42.93%339K
Change In working capital
89.80%-451K
-196.93%-852K
-125.25%-4.46M
-858.82%-774K
97.73%-142K
-313.67%-4.42M
-58.14%879K
51.28%-1.98M
-95.21%102K
6.95%-6.25M
-Change in receivables
123.95%40K
-89.88%50K
-87.49%451K
928.57%72K
111.95%52K
-262.14%-167K
-87.43%494K
188.66%3.61M
100.17%7K
-4,733.33%-435K
-Change in inventory
103.36%71K
104.66%18K
6.64%-2.46M
158.73%222K
80.96%-179K
-140.45%-2.12M
11.47%-386K
-0.04%-2.63M
13.30%-378K
-144.79%-940K
-Change in prepaid assets
-129.63%-48K
-71.64%772K
301.68%2.28M
188.61%607K
9.89%-1.21M
-58.46%162K
433.73%2.72M
69.08%-1.13M
-141.52%-685K
73.04%-1.35M
-Change in payables and accrued expense
-142.21%-260K
7.60%-1.03M
-412.01%-2.88M
-193.09%-1.81M
82.62%-574K
-82.39%616K
7.67%-1.12M
-84.73%924K
-48.89%1.94M
-173.12%-3.3M
-Change in other current assets
103.31%74K
36.62%97K
-46.11%284K
41.12%151K
25,422.22%2.3M
-20,418.18%-2.24M
-82.25%71K
135.54%527K
107.98%107K
350.00%9K
-Change in other current liabilities
-12.61%-402K
-92.60%-755K
14.62%-1.15M
99.44%-2K
-217.74%-394K
33.15%-357K
-20.62%-392K
---1.34M
---358K
---124K
-Change in other working capital
----
----
48.89%-987K
96.61%-18K
-14.78%-132K
37.07%-326K
33.38%-511K
-212.27%-1.93M
-120.95%-531K
11.54%-115K
Cash from discontinued investing activities
Operating cash flow
58.32%-6.36M
54.14%-7.89M
29.20%-50.73M
42.84%-9.22M
59.56%-9.06M
10.76%-15.25M
-7.31%-17.2M
-28.63%-71.65M
-0.06%-16.12M
-5.48%-22.41M
Investing cash flow
Cash flow from continuing investing activities
-80.78%2.63M
-98.29%368K
-19.15%55.35M
48.98%-11.09M
-52.37%31.3M
40.13%13.66M
45.84%21.48M
145.18%68.46M
-4.29%-21.73M
150.37%65.72M
Net PPE purchase and sale
22.22%-147K
83.37%-87K
60.29%-1.67M
38.60%-490K
71.64%-466K
80.81%-189K
32.43%-523K
-311.36%-4.2M
-159.09%-798K
-251.07%-1.64M
Net investment purchase and sale
-79.99%2.77M
-97.93%455K
-21.53%57.02M
49.38%-10.6M
-52.84%31.76M
29.03%13.85M
41.94%22M
148.27%72.66M
-1.96%-20.93M
151.81%67.36M
Cash from discontinued investing activities
Investing cash flow
-80.78%2.63M
-98.29%368K
-19.15%55.35M
48.98%-11.09M
-52.37%31.3M
40.13%13.66M
45.84%21.48M
145.18%68.46M
-4.29%-21.73M
150.37%65.72M
Financing cash flow
Cash flow from continuing financing activities
302.66%5.41M
104.22%120K
-183.77%-6.76M
105.40%85K
-112.13%-1.33M
-769.17%-2.67M
-66.47%-2.85M
-96.10%8.07M
-17.80%-1.58M
-94.32%10.95M
Net issuance payments of debt
105.46%146K
--0
-169.46%-6.24M
--0
-112.62%-1.26M
---2.67M
---2.3M
90.49%8.98M
---1.02M
178.95%10M
Net common stock issuance
--5.4M
--165K
-95.30%136K
--0
-90.74%136K
--0
--0
--2.89M
--0
--1.47M
Proceeds from stock option exercised by employees
-13.98%160K
--0
-32.79%789K
55.63%221K
-83.79%59K
-58.30%186K
45.50%323K
186.96%1.17M
184.00%142K
124.45%364K
Net other financing activities
-58.47%-290K
94.82%-45K
70.89%-1.45M
80.38%-136K
70.37%-261K
87.54%-183K
55.05%-868K
-102.44%-4.97M
50.04%-693K
-100.43%-881K
Cash from discontinued financing activities
Financing cash flow
302.66%5.41M
104.22%120K
-183.77%-6.76M
105.40%85K
-112.13%-1.33M
-769.17%-2.67M
-66.47%-2.85M
-96.10%8.07M
-17.80%-1.58M
-94.32%10.95M
Net cash flow
Beginning cash position
-48.41%11.69M
-10.05%19.08M
29.88%21.21M
-35.19%39.3M
188.01%18.39M
69.96%22.65M
29.88%21.21M
-1.00%16.33M
11.03%60.64M
-52.26%6.39M
Current changes in cash
139.45%1.68M
-614.75%-7.4M
-143.68%-2.13M
48.72%-20.22M
-61.46%20.91M
38.64%-4.26M
147.80%1.44M
3,058.18%4.88M
-2.98%-39.43M
31.55%54.25M
End cash Position
-27.33%13.37M
-48.41%11.69M
-10.05%19.08M
-10.05%19.08M
-35.19%39.3M
188.01%18.39M
69.96%22.65M
29.88%21.21M
29.88%21.21M
11.03%60.64M
Free cash flow
57.93%-6.5M
55.20%-7.97M
30.55%-52.68M
42.40%-9.75M
59.78%-9.68M
14.47%-15.46M
-5.94%-17.79M
-33.72%-75.85M
-3.04%-16.92M
-10.77%-24.06M
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
--
--
(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 58.32%-6.36M54.14%-7.89M29.20%-50.73M42.84%-9.22M59.56%-9.06M10.76%-15.25M-7.31%-17.2M-28.63%-71.65M-0.06%-16.12M-5.48%-22.41M
Net income from continuing operations 50.18%-7.99M61.09%-10.22M11.74%-87.13M-17.02%-27.78M27.84%-17.05M39.43%-16.03M-5.56%-26.27M-51.84%-98.71M5.16%-23.74M-35.82%-23.62M
Operating gains losses ---------23.38%59K--6K--105K--1K-265.63%-53K103.06%77K--0----
Depreciation and amortization -91.96%27K-91.21%29K8.79%1.55M-12.58%549K0.30%332K31.76%336K58.65%330K40.24%1.42M156.33%628K22.14%331K
Other non cash items 1.97%363K4.00%364K54.64%2.8M107.33%1.7M17.40%398K5.64%356K10.41%350K-45.86%1.81M-48.30%819K-42.93%339K
Change In working capital 89.80%-451K-196.93%-852K-125.25%-4.46M-858.82%-774K97.73%-142K-313.67%-4.42M-58.14%879K51.28%-1.98M-95.21%102K6.95%-6.25M
-Change in receivables 123.95%40K-89.88%50K-87.49%451K928.57%72K111.95%52K-262.14%-167K-87.43%494K188.66%3.61M100.17%7K-4,733.33%-435K
-Change in inventory 103.36%71K104.66%18K6.64%-2.46M158.73%222K80.96%-179K-140.45%-2.12M11.47%-386K-0.04%-2.63M13.30%-378K-144.79%-940K
-Change in prepaid assets -129.63%-48K-71.64%772K301.68%2.28M188.61%607K9.89%-1.21M-58.46%162K433.73%2.72M69.08%-1.13M-141.52%-685K73.04%-1.35M
-Change in payables and accrued expense -142.21%-260K7.60%-1.03M-412.01%-2.88M-193.09%-1.81M82.62%-574K-82.39%616K7.67%-1.12M-84.73%924K-48.89%1.94M-173.12%-3.3M
-Change in other current assets 103.31%74K36.62%97K-46.11%284K41.12%151K25,422.22%2.3M-20,418.18%-2.24M-82.25%71K135.54%527K107.98%107K350.00%9K
-Change in other current liabilities -12.61%-402K-92.60%-755K14.62%-1.15M99.44%-2K-217.74%-394K33.15%-357K-20.62%-392K---1.34M---358K---124K
-Change in other working capital --------48.89%-987K96.61%-18K-14.78%-132K37.07%-326K33.38%-511K-212.27%-1.93M-120.95%-531K11.54%-115K
Cash from discontinued investing activities
Operating cash flow 58.32%-6.36M54.14%-7.89M29.20%-50.73M42.84%-9.22M59.56%-9.06M10.76%-15.25M-7.31%-17.2M-28.63%-71.65M-0.06%-16.12M-5.48%-22.41M
Investing cash flow
Cash flow from continuing investing activities -80.78%2.63M-98.29%368K-19.15%55.35M48.98%-11.09M-52.37%31.3M40.13%13.66M45.84%21.48M145.18%68.46M-4.29%-21.73M150.37%65.72M
Net PPE purchase and sale 22.22%-147K83.37%-87K60.29%-1.67M38.60%-490K71.64%-466K80.81%-189K32.43%-523K-311.36%-4.2M-159.09%-798K-251.07%-1.64M
Net investment purchase and sale -79.99%2.77M-97.93%455K-21.53%57.02M49.38%-10.6M-52.84%31.76M29.03%13.85M41.94%22M148.27%72.66M-1.96%-20.93M151.81%67.36M
Cash from discontinued investing activities
Investing cash flow -80.78%2.63M-98.29%368K-19.15%55.35M48.98%-11.09M-52.37%31.3M40.13%13.66M45.84%21.48M145.18%68.46M-4.29%-21.73M150.37%65.72M
Financing cash flow
Cash flow from continuing financing activities 302.66%5.41M104.22%120K-183.77%-6.76M105.40%85K-112.13%-1.33M-769.17%-2.67M-66.47%-2.85M-96.10%8.07M-17.80%-1.58M-94.32%10.95M
Net issuance payments of debt 105.46%146K--0-169.46%-6.24M--0-112.62%-1.26M---2.67M---2.3M90.49%8.98M---1.02M178.95%10M
Net common stock issuance --5.4M--165K-95.30%136K--0-90.74%136K--0--0--2.89M--0--1.47M
Proceeds from stock option exercised by employees -13.98%160K--0-32.79%789K55.63%221K-83.79%59K-58.30%186K45.50%323K186.96%1.17M184.00%142K124.45%364K
Net other financing activities -58.47%-290K94.82%-45K70.89%-1.45M80.38%-136K70.37%-261K87.54%-183K55.05%-868K-102.44%-4.97M50.04%-693K-100.43%-881K
Cash from discontinued financing activities
Financing cash flow 302.66%5.41M104.22%120K-183.77%-6.76M105.40%85K-112.13%-1.33M-769.17%-2.67M-66.47%-2.85M-96.10%8.07M-17.80%-1.58M-94.32%10.95M
Net cash flow
Beginning cash position -48.41%11.69M-10.05%19.08M29.88%21.21M-35.19%39.3M188.01%18.39M69.96%22.65M29.88%21.21M-1.00%16.33M11.03%60.64M-52.26%6.39M
Current changes in cash 139.45%1.68M-614.75%-7.4M-143.68%-2.13M48.72%-20.22M-61.46%20.91M38.64%-4.26M147.80%1.44M3,058.18%4.88M-2.98%-39.43M31.55%54.25M
End cash Position -27.33%13.37M-48.41%11.69M-10.05%19.08M-10.05%19.08M-35.19%39.3M188.01%18.39M69.96%22.65M29.88%21.21M29.88%21.21M11.03%60.64M
Free cash flow 57.93%-6.5M55.20%-7.97M30.55%-52.68M42.40%-9.75M59.78%-9.68M14.47%-15.46M-5.94%-17.79M-33.72%-75.85M-3.04%-16.92M-10.77%-24.06M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

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