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LUCY Innovative Eyewear

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  • 6.560
  • -0.160-2.38%
Close Nov 22 16:00 ET
16.02MMarket Cap-649P/E (TTM)

Innovative Eyewear Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-4.53%-1.4M
-11.92%-1.93M
-7.70%-1.47M
-78.83%-5.77M
-19.99%-1.34M
-37.94%-1.34M
-241.19%-1.72M
-115.96%-1.36M
-165.57%-3.22M
-176.83%-1.12M
Net income from continuing operations
-10.93%-1.72M
-51.30%-1.95M
-37.78%-1.97M
-17.28%-6.66M
-27.52%-2.39M
-10.45%-1.55M
-7.87%-1.29M
-18.59%-1.43M
-75.12%-5.68M
-35.49%-1.88M
Operating gains losses
----
----
----
---48.48K
----
----
----
----
----
----
Depreciation and amortization
76.06%33.86K
49.92%45.78K
81.23%29.47K
161.79%85.26K
48.61%19.23K
154.85%19.23K
380.21%30.53K
184.22%16.26K
324.22%32.57K
786.98%12.94K
Other non cash items
-16.14%59.53K
-35.51%58.27K
55.22%99.56K
-71.65%302.1K
-61.60%76.6K
-78.32%70.99K
-68.29%90.36K
-74.71%64.14K
22.63%1.07M
0.51%199.5K
Change In working capital
235.78%121.46K
33.47%-347.57K
133.82%147.66K
-57.64%-363.79K
612.03%684.67K
56.71%-89.45K
-2,551.09%-522.4K
-334.11%-436.61K
-27.41%-230.78K
-32.09%96.16K
-Change in receivables
-137.84%-12.86K
70.78%-2.54K
401.40%52.82K
97.99%-3.68K
70.59%-11.44K
4,877.92%33.97K
73.81%-8.69K
84.11%-17.53K
-321.93%-183.09K
-138.26%-38.9K
-Change in inventory
65.12%-52.98K
70.73%-82.95K
86.34%-61.55K
-1,281.43%-564.31K
-2.00%321.63K
35.59%-151.9K
-8,748.24%-283.41K
-988.38%-450.63K
119.07%47.77K
4,669.11%328.2K
-Change in prepaid assets
-154.64%-48.42K
319.97%189.09K
-466.45%-92.93K
27.63%-102.98K
-122.14%-23.36K
92.76%-19.02K
-5,291.00%-85.96K
93.38%25.36K
-228.01%-142.29K
707.04%105.51K
-Change in payables and accrued expense
525.95%231.41K
-221.77%-464.45K
1,670.74%259.01K
346.34%303.29K
242.69%396.04K
-87.36%36.97K
-1,062.27%-144.34K
-61.55%14.63K
-56.87%67.95K
-310.54%-277.55K
-Change in other current assets
----
--11.48K
-14.84%-11.48K
--0
----
----
--0
---10K
200.00%1.46K
----
-Change in other working capital
729.04%4.31K
--1.8K
15.26%1.8K
117.18%3.88K
--1.8K
--520
--0
--1.56K
---22.57K
----
Cash from discontinued investing activities
Operating cash flow
-4.53%-1.4M
-11.92%-1.93M
-7.70%-1.47M
-78.83%-5.77M
-19.99%-1.34M
-37.94%-1.34M
-241.19%-1.72M
-115.96%-1.36M
-165.57%-3.22M
-176.83%-1.12M
Investing cash flow
Cash flow from continuing investing activities
-5,238.35%-4.99M
99.08%-18.27K
30.24%-95.54K
9.64%-198.75K
3,215.05%2.01M
-61.97%-93.42K
-13,007.41%-1.98M
-65.69%-136.96K
-85.68%-219.95K
-106.75%-64.52K
Capital expenditure reported
----
----
----
--0
----
----
----
----
47.97%-37.67K
-35.64%-12.75K
Net PPE purchase and sale
--0
45.24%-3.45K
-14.80%-32.3K
37.06%-76.51K
191.00%28.21K
-40.10%-70.29K
23.99%-6.3K
12.37%-28.14K
-484.93%-121.56K
-206.30%-31K
Net intangibles purchase and sale
-296.63%-91.74K
-16.18%-26.49K
52.61%-51.58K
-184.99%-173.04K
11.99%-18.28K
-1,517.48%-23.13K
-236.84%-22.8K
-242.82%-108.83K
-140.25%-60.72K
-77.75%-20.78K
Net investment purchase and sale
---4.9M
----
----
--50.8K
--2M
--0
----
----
--0
--0
Net other investing changes
----
----
---11.66K
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-5,238.35%-4.99M
99.08%-18.27K
30.24%-95.54K
9.64%-198.75K
3,215.05%2.01M
-61.97%-93.42K
-13,007.41%-1.98M
-65.69%-136.96K
-85.68%-219.95K
-106.75%-64.52K
Financing cash flow
Cash flow from continuing financing activities
24,865.23%5.03M
-7.36%5.2M
-105.60%-75.99K
-4.23%6.66M
-40.46%-285.14K
-100.34%-20.33K
992.33%5.61M
101.04%1.36M
402.11%6.96M
-145.15%-203K
Net issuance payments of debt
--0
--0
--0
-113.32%-109.5K
--0
--0
--0
-114.90%-109.5K
-18.15%822K
-137.86%-203K
Net common stock issuance
--1.4M
----
----
-32.83%4.12M
--0
--0
----
----
1,144.95%6.13M
--0
Proceeds from stock option exercised by employees
--3.8M
--0
--0
--3.15M
--0
--0
--1.61M
--1.53M
--0
--0
Net other financing activities
-730.99%-168.9K
--0
-17.58%-75.99K
-7,433.38%-490.16K
---285.14K
-132.43%-20.33K
-3,567.28%-120.07K
-8.72%-64.63K
106.01%6.68K
--0
Cash from discontinued financing activities
Financing cash flow
24,865.23%5.03M
-7.36%5.2M
-105.60%-75.99K
-4.23%6.66M
-40.46%-285.14K
-100.34%-20.33K
992.33%5.61M
101.04%1.36M
402.11%6.96M
-145.15%-203K
Net cash flow
Beginning cash position
10.09%5.9M
-23.23%2.65M
19.39%4.29M
4,404.26%3.59M
-21.55%3.9M
15,257.66%5.36M
8,162.86%3.45M
4,404.26%3.59M
195.03%79.73K
7,549.14%4.98M
Current changes in cash
6.86%-1.35M
70.37%3.25M
-1,060.02%-1.64M
-80.17%696.34K
127.71%383.78K
-129.40%-1.45M
27,840.68%1.91M
-272.03%-141.28K
6,562.46%3.51M
-9,541.18%-1.39M
End cash Position
16.40%4.54M
10.09%5.9M
-23.23%2.65M
19.39%4.29M
19.39%4.29M
-21.55%3.9M
15,257.66%5.36M
8,162.86%3.45M
4,404.26%3.59M
4,404.26%3.59M
Free cash flow
-4.12%-1.49M
-11.77%-1.96M
-3.46%-1.55M
-74.71%-6.02M
-12.77%-1.33M
-39.29%-1.43M
-236.88%-1.75M
-110.14%-1.5M
-158.47%-3.44M
-171.80%-1.18M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -4.53%-1.4M-11.92%-1.93M-7.70%-1.47M-78.83%-5.77M-19.99%-1.34M-37.94%-1.34M-241.19%-1.72M-115.96%-1.36M-165.57%-3.22M-176.83%-1.12M
Net income from continuing operations -10.93%-1.72M-51.30%-1.95M-37.78%-1.97M-17.28%-6.66M-27.52%-2.39M-10.45%-1.55M-7.87%-1.29M-18.59%-1.43M-75.12%-5.68M-35.49%-1.88M
Operating gains losses ---------------48.48K------------------------
Depreciation and amortization 76.06%33.86K49.92%45.78K81.23%29.47K161.79%85.26K48.61%19.23K154.85%19.23K380.21%30.53K184.22%16.26K324.22%32.57K786.98%12.94K
Other non cash items -16.14%59.53K-35.51%58.27K55.22%99.56K-71.65%302.1K-61.60%76.6K-78.32%70.99K-68.29%90.36K-74.71%64.14K22.63%1.07M0.51%199.5K
Change In working capital 235.78%121.46K33.47%-347.57K133.82%147.66K-57.64%-363.79K612.03%684.67K56.71%-89.45K-2,551.09%-522.4K-334.11%-436.61K-27.41%-230.78K-32.09%96.16K
-Change in receivables -137.84%-12.86K70.78%-2.54K401.40%52.82K97.99%-3.68K70.59%-11.44K4,877.92%33.97K73.81%-8.69K84.11%-17.53K-321.93%-183.09K-138.26%-38.9K
-Change in inventory 65.12%-52.98K70.73%-82.95K86.34%-61.55K-1,281.43%-564.31K-2.00%321.63K35.59%-151.9K-8,748.24%-283.41K-988.38%-450.63K119.07%47.77K4,669.11%328.2K
-Change in prepaid assets -154.64%-48.42K319.97%189.09K-466.45%-92.93K27.63%-102.98K-122.14%-23.36K92.76%-19.02K-5,291.00%-85.96K93.38%25.36K-228.01%-142.29K707.04%105.51K
-Change in payables and accrued expense 525.95%231.41K-221.77%-464.45K1,670.74%259.01K346.34%303.29K242.69%396.04K-87.36%36.97K-1,062.27%-144.34K-61.55%14.63K-56.87%67.95K-310.54%-277.55K
-Change in other current assets ------11.48K-14.84%-11.48K--0----------0---10K200.00%1.46K----
-Change in other working capital 729.04%4.31K--1.8K15.26%1.8K117.18%3.88K--1.8K--520--0--1.56K---22.57K----
Cash from discontinued investing activities
Operating cash flow -4.53%-1.4M-11.92%-1.93M-7.70%-1.47M-78.83%-5.77M-19.99%-1.34M-37.94%-1.34M-241.19%-1.72M-115.96%-1.36M-165.57%-3.22M-176.83%-1.12M
Investing cash flow
Cash flow from continuing investing activities -5,238.35%-4.99M99.08%-18.27K30.24%-95.54K9.64%-198.75K3,215.05%2.01M-61.97%-93.42K-13,007.41%-1.98M-65.69%-136.96K-85.68%-219.95K-106.75%-64.52K
Capital expenditure reported --------------0----------------47.97%-37.67K-35.64%-12.75K
Net PPE purchase and sale --045.24%-3.45K-14.80%-32.3K37.06%-76.51K191.00%28.21K-40.10%-70.29K23.99%-6.3K12.37%-28.14K-484.93%-121.56K-206.30%-31K
Net intangibles purchase and sale -296.63%-91.74K-16.18%-26.49K52.61%-51.58K-184.99%-173.04K11.99%-18.28K-1,517.48%-23.13K-236.84%-22.8K-242.82%-108.83K-140.25%-60.72K-77.75%-20.78K
Net investment purchase and sale ---4.9M----------50.8K--2M--0----------0--0
Net other investing changes -----------11.66K----------------------------
Cash from discontinued investing activities
Investing cash flow -5,238.35%-4.99M99.08%-18.27K30.24%-95.54K9.64%-198.75K3,215.05%2.01M-61.97%-93.42K-13,007.41%-1.98M-65.69%-136.96K-85.68%-219.95K-106.75%-64.52K
Financing cash flow
Cash flow from continuing financing activities 24,865.23%5.03M-7.36%5.2M-105.60%-75.99K-4.23%6.66M-40.46%-285.14K-100.34%-20.33K992.33%5.61M101.04%1.36M402.11%6.96M-145.15%-203K
Net issuance payments of debt --0--0--0-113.32%-109.5K--0--0--0-114.90%-109.5K-18.15%822K-137.86%-203K
Net common stock issuance --1.4M---------32.83%4.12M--0--0--------1,144.95%6.13M--0
Proceeds from stock option exercised by employees --3.8M--0--0--3.15M--0--0--1.61M--1.53M--0--0
Net other financing activities -730.99%-168.9K--0-17.58%-75.99K-7,433.38%-490.16K---285.14K-132.43%-20.33K-3,567.28%-120.07K-8.72%-64.63K106.01%6.68K--0
Cash from discontinued financing activities
Financing cash flow 24,865.23%5.03M-7.36%5.2M-105.60%-75.99K-4.23%6.66M-40.46%-285.14K-100.34%-20.33K992.33%5.61M101.04%1.36M402.11%6.96M-145.15%-203K
Net cash flow
Beginning cash position 10.09%5.9M-23.23%2.65M19.39%4.29M4,404.26%3.59M-21.55%3.9M15,257.66%5.36M8,162.86%3.45M4,404.26%3.59M195.03%79.73K7,549.14%4.98M
Current changes in cash 6.86%-1.35M70.37%3.25M-1,060.02%-1.64M-80.17%696.34K127.71%383.78K-129.40%-1.45M27,840.68%1.91M-272.03%-141.28K6,562.46%3.51M-9,541.18%-1.39M
End cash Position 16.40%4.54M10.09%5.9M-23.23%2.65M19.39%4.29M19.39%4.29M-21.55%3.9M15,257.66%5.36M8,162.86%3.45M4,404.26%3.59M4,404.26%3.59M
Free cash flow -4.12%-1.49M-11.77%-1.96M-3.46%-1.55M-74.71%-6.02M-12.77%-1.33M-39.29%-1.43M-236.88%-1.75M-110.14%-1.5M-158.47%-3.44M-171.80%-1.18M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

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