US Stock MarketDetailed Quotes

LMNR Limoneira

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  • 27.890
  • -0.110-0.39%
Close Oct 18 16:00 ET
  • 27.890
  • 0.0000.00%
Post 16:02 ET
503.47MMarket Cap87.16P/E (TTM)

Limoneira Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jul 31, 2024
(Q2)Apr 30, 2024
(Q1)Jan 31, 2024
(FY)Oct 31, 2023
(Q4)Oct 31, 2023
(Q3)Jul 31, 2023
(Q2)Apr 30, 2023
(Q1)Jan 31, 2023
(FY)Oct 31, 2022
(Q4)Oct 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
319.49%24.56M
-210.08%-3.02M
51.53%-10.27M
-207.01%-15.87M
-183.92%-3.28M
-51.53%5.86M
-60.77%2.75M
-159.62%-21.19M
54.40%14.83M
154.34%3.91M
Net income from continuing operations
597.28%6.22M
502.15%6.56M
-123.67%-3.68M
2,023.42%9.12M
-27.92%-3.54M
-117.06%-1.25M
-203.69%-1.63M
335.15%15.53M
87.84%-474K
40.72%-2.77M
Operating gains losses
826.56%14.51M
-285.14%-16.54M
99.48%-206K
-533.65%-33.95M
16.08%-4.46M
1,859.55%1.57M
4,892.18%8.94M
-29,308.09%-40M
-86.37%-5.36M
-1,283.33%-5.31M
Depreciation and amortization
4.75%2.12M
2.74%2.1M
-15.90%2.06M
-12.47%8.58M
-12.68%2.07M
-18.23%2.02M
-17.68%2.04M
-1.33%2.45M
-0.14%9.8M
1.89%2.37M
Deferred tax
898.68%3.02M
672.59%5.22M
-161.37%-4.19M
-455.29%-1.95M
-794.15%-7.48M
-111.41%-378K
-226.32%-912K
357.62%6.83M
389.95%548K
36.16%-837K
Other non cash items
10.40%467K
208.24%486K
-24.64%422K
-57.68%962K
-62.26%428K
-26.05%423K
-322.28%-449K
53.42%560K
165.85%2.27M
258.86%1.13M
Change In working capital
-232.88%-3.61M
69.16%-1.91M
27.34%-5.54M
-146.47%-2.47M
0.71%8.65M
227.71%2.72M
-523.40%-6.21M
-192.00%-7.63M
60.11%5.31M
315.67%8.59M
-Change in receivables
101.39%32K
-5,974.19%-5.46M
-1.07%-1.69M
-55.83%815K
51.24%4.7M
-187.81%-2.3M
105.51%93K
23.40%-1.68M
136.35%1.85M
135.75%3.11M
-Change in prepaid assets
-122.14%-1.06M
97.71%-129K
-137.05%-196K
557.54%1.49M
-52.72%1.82M
366.57%4.77M
-686.87%-5.63M
131.56%529K
68.17%-325K
831.69%3.86M
-Change in payables and accrued expense
-513.70%-2.21M
602.51%5M
61.14%-2.87M
-211.83%-5.73M
-46.19%2.12M
-6.65%533K
-151.39%-995K
-459.74%-7.38M
-51.54%5.12M
-47.20%3.93M
-Change in other current assets
-32.79%82K
-217.59%-869K
-125.21%-336K
387.44%3.69M
160.78%1.49M
103.48%122K
-62.86%739K
-50.32%1.33M
-99.07%-1.28M
-15.38%-2.45M
-Change in other current liabilities
-14.50%-466K
-10.49%-453K
-3.95%-447K
-5,465.31%-2.73M
-1,127.78%-1.48M
-1,465.38%-407K
-645.45%-410K
-283.93%-430K
90.43%-49K
254.84%144K
Cash from discontinued investing activities
Operating cash flow
319.49%24.56M
-210.08%-3.02M
51.53%-10.27M
-207.01%-15.87M
-183.92%-3.28M
-51.53%5.86M
-60.77%2.75M
-159.62%-21.19M
54.40%14.83M
154.34%3.91M
Investing cash flow
Cash flow from continuing investing activities
-22.85%-3.76M
65.27%-1.28M
-101.65%-1.64M
366.10%90.58M
-107.20%-1.78M
36.95%-3.06M
-1,337.58%-3.69M
13,493.24%99.11M
289.83%19.43M
1,726.23%24.74M
Capital expenditure reported
15.13%-3.01M
54.87%-1.47M
-4.14%-2.24M
-2.37%-10.31M
43.79%-1.35M
0.20%-3.54M
-59.86%-3.27M
-3.41%-2.15M
-2.36%-10.07M
-54.19%-2.39M
Net business purchase and sale
---307K
--73K
-6.91%-294K
-1,664.58%-847K
-1,091.67%-572K
--0
--0
---275K
---48K
---48K
Net investment purchase and sale
-1.09%-465K
20.00%-32K
-36.36%-15K
-3.36%-523K
0.00%-12K
-1.32%-460K
0.00%-40K
---11K
22.51%-506K
-1,100.00%-12K
Net other investing changes
-98.40%15K
139.79%152K
-99.14%849K
352.23%99.55M
-99.44%108K
209.70%939K
-116.04%-382K
7,279.70%98.89M
15,187.50%22.01M
59,740.63%19.15M
Cash from discontinued investing activities
Investing cash flow
-22.85%-3.76M
65.27%-1.28M
-101.65%-1.64M
366.10%90.58M
-107.20%-1.78M
36.95%-3.06M
-1,337.58%-3.69M
13,493.24%99.11M
289.83%19.43M
1,726.23%24.74M
Financing cash flow
Cash flow from continuing financing activities
-1,192.78%-21.12M
407.57%5.2M
113.29%8.82M
-114.58%-71.92M
92.07%-2.28M
77.11%-1.63M
75.70%-1.69M
-814.20%-66.32M
-6,376.59%-33.52M
-444.04%-28.7M
Net issuance payments of debt
-12,178.13%-19.65M
4,197.38%7.83M
116.92%10.97M
-140.79%-65.47M
99.02%-262K
97.62%-160K
96.41%-191K
-657.26%-64.86M
-486.35%-27.19M
-373.61%-26.8M
Net common stock issuance
----
----
---684K
----
----
----
----
--0
----
----
Cash dividends paid
-0.34%-1.48M
0.00%-1.47M
-0.89%-1.48M
-1.15%-5.88M
-0.75%-1.47M
-1.66%-1.47M
-1.59%-1.47M
-0.62%-1.46M
-0.21%-5.82M
-0.76%-1.46M
Net other financing activities
--0
----
----
-11.18%-567K
-21.85%-541K
--0
----
----
27.14%-510K
---444K
Cash from discontinued financing activities
Financing cash flow
-1,192.78%-21.12M
407.57%5.2M
113.29%8.82M
-114.58%-71.92M
92.07%-2.28M
77.11%-1.63M
75.70%-1.69M
-814.20%-66.32M
-6,376.59%-33.52M
-444.04%-28.7M
Net cash flow
Beginning cash position
-85.74%1.4M
-95.77%527K
323.69%3.63M
95.22%857K
1,006.23%11.01M
924.27%9.83M
1,427.45%12.46M
95.22%857K
-12.38%439K
28.39%995K
Current changes in cash
-128.26%-327K
134.04%896K
-126.68%-3.1M
273.32%2.79M
-12,775.44%-7.34M
1,364.56%1.16M
-874.12%-2.63M
2,920.57%11.6M
861.22%746K
84.80%-57K
Effect of exchange rate changes
-11.76%15K
-2,200.00%-21K
-212.50%-9K
96.65%-11K
54.32%-37K
138.64%17K
100.51%1K
214.29%8K
-1,011.11%-328K
-307.69%-81K
End cash Position
-90.10%1.09M
-85.74%1.4M
-95.77%527K
323.69%3.63M
323.69%3.63M
1,006.23%11.01M
924.27%9.83M
1,427.45%12.46M
95.22%857K
95.22%857K
Free cash flow
832.27%21.55M
-766.67%-4.5M
46.40%-12.51M
-649.43%-26.18M
-404.81%-4.63M
-72.89%2.31M
-110.47%-519K
-127.89%-23.34M
2,180.35%4.76M
117.35%1.52M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Jul 31, 2024(Q2)Apr 30, 2024(Q1)Jan 31, 2024(FY)Oct 31, 2023(Q4)Oct 31, 2023(Q3)Jul 31, 2023(Q2)Apr 30, 2023(Q1)Jan 31, 2023(FY)Oct 31, 2022(Q4)Oct 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 319.49%24.56M-210.08%-3.02M51.53%-10.27M-207.01%-15.87M-183.92%-3.28M-51.53%5.86M-60.77%2.75M-159.62%-21.19M54.40%14.83M154.34%3.91M
Net income from continuing operations 597.28%6.22M502.15%6.56M-123.67%-3.68M2,023.42%9.12M-27.92%-3.54M-117.06%-1.25M-203.69%-1.63M335.15%15.53M87.84%-474K40.72%-2.77M
Operating gains losses 826.56%14.51M-285.14%-16.54M99.48%-206K-533.65%-33.95M16.08%-4.46M1,859.55%1.57M4,892.18%8.94M-29,308.09%-40M-86.37%-5.36M-1,283.33%-5.31M
Depreciation and amortization 4.75%2.12M2.74%2.1M-15.90%2.06M-12.47%8.58M-12.68%2.07M-18.23%2.02M-17.68%2.04M-1.33%2.45M-0.14%9.8M1.89%2.37M
Deferred tax 898.68%3.02M672.59%5.22M-161.37%-4.19M-455.29%-1.95M-794.15%-7.48M-111.41%-378K-226.32%-912K357.62%6.83M389.95%548K36.16%-837K
Other non cash items 10.40%467K208.24%486K-24.64%422K-57.68%962K-62.26%428K-26.05%423K-322.28%-449K53.42%560K165.85%2.27M258.86%1.13M
Change In working capital -232.88%-3.61M69.16%-1.91M27.34%-5.54M-146.47%-2.47M0.71%8.65M227.71%2.72M-523.40%-6.21M-192.00%-7.63M60.11%5.31M315.67%8.59M
-Change in receivables 101.39%32K-5,974.19%-5.46M-1.07%-1.69M-55.83%815K51.24%4.7M-187.81%-2.3M105.51%93K23.40%-1.68M136.35%1.85M135.75%3.11M
-Change in prepaid assets -122.14%-1.06M97.71%-129K-137.05%-196K557.54%1.49M-52.72%1.82M366.57%4.77M-686.87%-5.63M131.56%529K68.17%-325K831.69%3.86M
-Change in payables and accrued expense -513.70%-2.21M602.51%5M61.14%-2.87M-211.83%-5.73M-46.19%2.12M-6.65%533K-151.39%-995K-459.74%-7.38M-51.54%5.12M-47.20%3.93M
-Change in other current assets -32.79%82K-217.59%-869K-125.21%-336K387.44%3.69M160.78%1.49M103.48%122K-62.86%739K-50.32%1.33M-99.07%-1.28M-15.38%-2.45M
-Change in other current liabilities -14.50%-466K-10.49%-453K-3.95%-447K-5,465.31%-2.73M-1,127.78%-1.48M-1,465.38%-407K-645.45%-410K-283.93%-430K90.43%-49K254.84%144K
Cash from discontinued investing activities
Operating cash flow 319.49%24.56M-210.08%-3.02M51.53%-10.27M-207.01%-15.87M-183.92%-3.28M-51.53%5.86M-60.77%2.75M-159.62%-21.19M54.40%14.83M154.34%3.91M
Investing cash flow
Cash flow from continuing investing activities -22.85%-3.76M65.27%-1.28M-101.65%-1.64M366.10%90.58M-107.20%-1.78M36.95%-3.06M-1,337.58%-3.69M13,493.24%99.11M289.83%19.43M1,726.23%24.74M
Capital expenditure reported 15.13%-3.01M54.87%-1.47M-4.14%-2.24M-2.37%-10.31M43.79%-1.35M0.20%-3.54M-59.86%-3.27M-3.41%-2.15M-2.36%-10.07M-54.19%-2.39M
Net business purchase and sale ---307K--73K-6.91%-294K-1,664.58%-847K-1,091.67%-572K--0--0---275K---48K---48K
Net investment purchase and sale -1.09%-465K20.00%-32K-36.36%-15K-3.36%-523K0.00%-12K-1.32%-460K0.00%-40K---11K22.51%-506K-1,100.00%-12K
Net other investing changes -98.40%15K139.79%152K-99.14%849K352.23%99.55M-99.44%108K209.70%939K-116.04%-382K7,279.70%98.89M15,187.50%22.01M59,740.63%19.15M
Cash from discontinued investing activities
Investing cash flow -22.85%-3.76M65.27%-1.28M-101.65%-1.64M366.10%90.58M-107.20%-1.78M36.95%-3.06M-1,337.58%-3.69M13,493.24%99.11M289.83%19.43M1,726.23%24.74M
Financing cash flow
Cash flow from continuing financing activities -1,192.78%-21.12M407.57%5.2M113.29%8.82M-114.58%-71.92M92.07%-2.28M77.11%-1.63M75.70%-1.69M-814.20%-66.32M-6,376.59%-33.52M-444.04%-28.7M
Net issuance payments of debt -12,178.13%-19.65M4,197.38%7.83M116.92%10.97M-140.79%-65.47M99.02%-262K97.62%-160K96.41%-191K-657.26%-64.86M-486.35%-27.19M-373.61%-26.8M
Net common stock issuance -----------684K------------------0--------
Cash dividends paid -0.34%-1.48M0.00%-1.47M-0.89%-1.48M-1.15%-5.88M-0.75%-1.47M-1.66%-1.47M-1.59%-1.47M-0.62%-1.46M-0.21%-5.82M-0.76%-1.46M
Net other financing activities --0---------11.18%-567K-21.85%-541K--0--------27.14%-510K---444K
Cash from discontinued financing activities
Financing cash flow -1,192.78%-21.12M407.57%5.2M113.29%8.82M-114.58%-71.92M92.07%-2.28M77.11%-1.63M75.70%-1.69M-814.20%-66.32M-6,376.59%-33.52M-444.04%-28.7M
Net cash flow
Beginning cash position -85.74%1.4M-95.77%527K323.69%3.63M95.22%857K1,006.23%11.01M924.27%9.83M1,427.45%12.46M95.22%857K-12.38%439K28.39%995K
Current changes in cash -128.26%-327K134.04%896K-126.68%-3.1M273.32%2.79M-12,775.44%-7.34M1,364.56%1.16M-874.12%-2.63M2,920.57%11.6M861.22%746K84.80%-57K
Effect of exchange rate changes -11.76%15K-2,200.00%-21K-212.50%-9K96.65%-11K54.32%-37K138.64%17K100.51%1K214.29%8K-1,011.11%-328K-307.69%-81K
End cash Position -90.10%1.09M-85.74%1.4M-95.77%527K323.69%3.63M323.69%3.63M1,006.23%11.01M924.27%9.83M1,427.45%12.46M95.22%857K95.22%857K
Free cash flow 832.27%21.55M-766.67%-4.5M46.40%-12.51M-649.43%-26.18M-404.81%-4.63M-72.89%2.31M-110.47%-519K-127.89%-23.34M2,180.35%4.76M117.35%1.52M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

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