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MITK Mitek Systems

Watchlist
  • 8.780
  • -0.120-1.35%
Close Dec 13 16:00 ET
  • 8.780
  • 0.0000.00%
Post 20:01 ET
405.67MMarket Cap-62.71P/E (TTM)

Mitek Systems Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
(Q1)Dec 31, 2022
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-21.55%12.99M
12.11%7.06M
-279.90%-9.46M
49.56%31.59M
-31.98%3.47M
161.61%16.55M
-15.25%6.3M
133.67%5.26M
-43.44%21.12M
-58.57%5.11M
Net income from continuing operations
150.47%216K
-94.55%282K
-222.58%-5.79M
117.30%8.03M
-512.57%-1.44M
-99.07%-428K
1,089.20%5.17M
51.28%4.73M
-53.70%3.69M
-80.63%350K
Depreciation and amortization
-8.41%4.29M
-13.07%4.3M
-12.26%4.24M
25.23%18.72M
-9.47%4.26M
-9.24%4.68M
88.63%4.94M
96.42%4.83M
67.13%14.95M
82.27%4.71M
Deferred tax
76.89%-328K
95.52%-151K
50.62%-1.71M
38.85%-5.5M
137.76%2.75M
-50.64%-1.42M
-711.57%-3.37M
-893.97%-3.46M
-8,660.00%-8.99M
-2,079.08%-7.28M
Other non cash items
-42.17%2.44M
18.83%2.85M
-3.13%2.11M
68.60%9.6M
-53.34%809K
124.65%4.22M
610.06%2.4M
24.58%2.17M
4.46%5.7M
-26.90%1.73M
Change In working capital
-54.73%3.04M
13.70%-5.09M
-89.13%-10.34M
2.73%-9.01M
-314.32%-4.36M
292.85%6.71M
-1,213.02%-5.9M
34.47%-5.47M
-548.64%-9.26M
15.92%2.03M
-Change in receivables
169.99%9.63M
-1.13%-11.18M
39.77%-3.28M
63.10%-8.16M
158.84%4.78M
143.37%3.57M
-113.69%-11.05M
-844.37%-5.45M
-6,657.57%-22.1M
-1,274.71%-8.13M
-Change in payables and accrued expense
-129.04%-1.47M
-57.63%1.72M
-517.02%-5.44M
410.56%7.15M
-459.10%-3.28M
302.94%5.07M
10.52%4.06M
129.38%1.3M
36.42%1.4M
-54.31%912K
-Change in other current assets
-1,309.27%-3.79M
-40.82%-1.86M
-1,972.73%-3.19M
-369.54%-1.12M
-96.84%40K
124.11%313K
-200.68%-1.32M
82.18%-154K
131.33%417K
823.36%1.27M
-Change in other current liabilities
58.04%403K
-180.09%-1.21M
102.54%717K
-255.37%-1.66M
-3,657.14%-1.84M
-60.59%255K
-198.41%-432K
941.18%354K
344.40%1.07M
-174.24%-49K
-Change in other working capital
30.41%-1.73M
160.70%7.44M
156.34%857K
-152.43%-5.22M
-150.57%-4.06M
-160.24%-2.49M
916.01%2.86M
39.06%-1.52M
455.87%9.95M
805.89%8.03M
Cash from discontinued investing activities
Operating cash flow
-21.55%12.99M
12.11%7.06M
-279.90%-9.46M
49.56%31.59M
-31.98%3.47M
161.61%16.55M
-15.25%6.3M
133.67%5.26M
-43.44%21.12M
-58.57%5.11M
Investing cash flow
Cash flow from continuing investing activities
103.70%448K
-50.37%9.5M
-3.80%17.89M
-499.06%-6.78M
-940.38%-32.41M
-2,831.48%-12.11M
603.87%19.13M
805.36%18.6M
101.00%1.7M
116.72%3.86M
Net PPE purchase and sale
-51.76%-431K
-121.56%-483K
-56.49%-241K
8.17%-1.03M
-91.88%-378K
3.73%-284K
35.69%-218K
47.80%-154K
18.82%-1.13M
53.21%-197K
Net business purchase and sale
----
----
----
99.78%-267K
----
----
----
----
-877.54%-122.67M
--3.94M
Net investment purchase and sale
107.43%879K
-48.43%9.98M
-3.31%18.13M
-104.37%-5.48M
-27,015.25%-31.76M
-9,919.49%-11.82M
-84.29%19.35M
698.21%18.75M
180.16%125.5M
100.52%118K
Cash from discontinued investing activities
Investing cash flow
103.70%448K
-50.37%9.5M
-3.80%17.89M
-499.06%-6.78M
-940.38%-32.41M
-2,831.48%-12.11M
603.87%19.13M
805.36%18.6M
101.00%1.7M
116.72%3.86M
Financing cash flow
Cash flow from continuing financing activities
-17,700.00%-9.86M
-84.36%99K
-597.44%-3.11M
108.05%1.7M
4.32%386K
100.72%56K
117.59%633K
106.18%626K
-114.72%-21.14M
-55.64%370K
Net issuance payments of debt
--178K
--203K
1,963.89%671K
0.00%-36K
--0
--0
--0
-111.76%-36K
-100.02%-36K
--0
Net common stock issuance
----
----
----
--0
--0
----
----
----
-7,887.37%-15.18M
464.74%693K
Proceeds from stock option exercised by employees
-89.29%6K
-70.62%186K
29.31%856K
0.70%1.74M
-31.44%386K
64.71%56K
-42.61%633K
2,548.00%662K
-93.83%1.73M
-46.02%563K
Net other financing activities
--0
---290K
---4.64M
----
----
----
----
----
80.61%-7.66M
-88,700.00%-886K
Cash from discontinued financing activities
Financing cash flow
-17,700.00%-9.86M
-84.36%99K
-597.44%-3.11M
108.05%1.7M
4.32%386K
100.72%56K
117.59%633K
106.18%626K
-114.72%-21.14M
-55.64%370K
Net cash flow
Beginning cash position
-2.54%80.94M
13.00%64.54M
83.76%58.91M
5.76%32.06M
306.12%87.49M
246.26%83.05M
135.88%57.12M
5.76%32.06M
51.67%30.31M
-46.87%21.54M
Current changes in cash
-20.53%3.58M
-36.09%16.66M
-78.30%5.31M
1,481.32%26.5M
-405.89%-28.55M
341.60%4.5M
66,735.90%26.07M
519.79%24.48M
-84.09%1.68M
194.21%9.33M
Effect of exchange rate changes
-184.48%-165K
-91.79%-257K
-45.47%313K
394.37%351K
-102.62%-31K
89.97%-58K
50.19%-134K
315.79%574K
134.30%71K
457.70%1.18M
End cash Position
-3.59%84.35M
-2.54%80.94M
13.00%64.54M
83.76%58.91M
83.76%58.91M
306.12%87.49M
246.26%83.05M
135.88%57.12M
5.76%32.06M
5.76%32.06M
Free cash flow
-22.83%12.55M
8.19%6.58M
-290.05%-9.7M
52.81%30.55M
-36.95%3.1M
169.69%16.27M
-14.28%6.08M
161.04%5.11M
-44.39%19.99M
-58.76%4.91M
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
--
(Q3)Jun 30, 2024(Q2)Mar 31, 2024(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023(Q1)Dec 31, 2022(FY)Sep 30, 2022(Q4)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -21.55%12.99M12.11%7.06M-279.90%-9.46M49.56%31.59M-31.98%3.47M161.61%16.55M-15.25%6.3M133.67%5.26M-43.44%21.12M-58.57%5.11M
Net income from continuing operations 150.47%216K-94.55%282K-222.58%-5.79M117.30%8.03M-512.57%-1.44M-99.07%-428K1,089.20%5.17M51.28%4.73M-53.70%3.69M-80.63%350K
Depreciation and amortization -8.41%4.29M-13.07%4.3M-12.26%4.24M25.23%18.72M-9.47%4.26M-9.24%4.68M88.63%4.94M96.42%4.83M67.13%14.95M82.27%4.71M
Deferred tax 76.89%-328K95.52%-151K50.62%-1.71M38.85%-5.5M137.76%2.75M-50.64%-1.42M-711.57%-3.37M-893.97%-3.46M-8,660.00%-8.99M-2,079.08%-7.28M
Other non cash items -42.17%2.44M18.83%2.85M-3.13%2.11M68.60%9.6M-53.34%809K124.65%4.22M610.06%2.4M24.58%2.17M4.46%5.7M-26.90%1.73M
Change In working capital -54.73%3.04M13.70%-5.09M-89.13%-10.34M2.73%-9.01M-314.32%-4.36M292.85%6.71M-1,213.02%-5.9M34.47%-5.47M-548.64%-9.26M15.92%2.03M
-Change in receivables 169.99%9.63M-1.13%-11.18M39.77%-3.28M63.10%-8.16M158.84%4.78M143.37%3.57M-113.69%-11.05M-844.37%-5.45M-6,657.57%-22.1M-1,274.71%-8.13M
-Change in payables and accrued expense -129.04%-1.47M-57.63%1.72M-517.02%-5.44M410.56%7.15M-459.10%-3.28M302.94%5.07M10.52%4.06M129.38%1.3M36.42%1.4M-54.31%912K
-Change in other current assets -1,309.27%-3.79M-40.82%-1.86M-1,972.73%-3.19M-369.54%-1.12M-96.84%40K124.11%313K-200.68%-1.32M82.18%-154K131.33%417K823.36%1.27M
-Change in other current liabilities 58.04%403K-180.09%-1.21M102.54%717K-255.37%-1.66M-3,657.14%-1.84M-60.59%255K-198.41%-432K941.18%354K344.40%1.07M-174.24%-49K
-Change in other working capital 30.41%-1.73M160.70%7.44M156.34%857K-152.43%-5.22M-150.57%-4.06M-160.24%-2.49M916.01%2.86M39.06%-1.52M455.87%9.95M805.89%8.03M
Cash from discontinued investing activities
Operating cash flow -21.55%12.99M12.11%7.06M-279.90%-9.46M49.56%31.59M-31.98%3.47M161.61%16.55M-15.25%6.3M133.67%5.26M-43.44%21.12M-58.57%5.11M
Investing cash flow
Cash flow from continuing investing activities 103.70%448K-50.37%9.5M-3.80%17.89M-499.06%-6.78M-940.38%-32.41M-2,831.48%-12.11M603.87%19.13M805.36%18.6M101.00%1.7M116.72%3.86M
Net PPE purchase and sale -51.76%-431K-121.56%-483K-56.49%-241K8.17%-1.03M-91.88%-378K3.73%-284K35.69%-218K47.80%-154K18.82%-1.13M53.21%-197K
Net business purchase and sale ------------99.78%-267K-----------------877.54%-122.67M--3.94M
Net investment purchase and sale 107.43%879K-48.43%9.98M-3.31%18.13M-104.37%-5.48M-27,015.25%-31.76M-9,919.49%-11.82M-84.29%19.35M698.21%18.75M180.16%125.5M100.52%118K
Cash from discontinued investing activities
Investing cash flow 103.70%448K-50.37%9.5M-3.80%17.89M-499.06%-6.78M-940.38%-32.41M-2,831.48%-12.11M603.87%19.13M805.36%18.6M101.00%1.7M116.72%3.86M
Financing cash flow
Cash flow from continuing financing activities -17,700.00%-9.86M-84.36%99K-597.44%-3.11M108.05%1.7M4.32%386K100.72%56K117.59%633K106.18%626K-114.72%-21.14M-55.64%370K
Net issuance payments of debt --178K--203K1,963.89%671K0.00%-36K--0--0--0-111.76%-36K-100.02%-36K--0
Net common stock issuance --------------0--0-------------7,887.37%-15.18M464.74%693K
Proceeds from stock option exercised by employees -89.29%6K-70.62%186K29.31%856K0.70%1.74M-31.44%386K64.71%56K-42.61%633K2,548.00%662K-93.83%1.73M-46.02%563K
Net other financing activities --0---290K---4.64M--------------------80.61%-7.66M-88,700.00%-886K
Cash from discontinued financing activities
Financing cash flow -17,700.00%-9.86M-84.36%99K-597.44%-3.11M108.05%1.7M4.32%386K100.72%56K117.59%633K106.18%626K-114.72%-21.14M-55.64%370K
Net cash flow
Beginning cash position -2.54%80.94M13.00%64.54M83.76%58.91M5.76%32.06M306.12%87.49M246.26%83.05M135.88%57.12M5.76%32.06M51.67%30.31M-46.87%21.54M
Current changes in cash -20.53%3.58M-36.09%16.66M-78.30%5.31M1,481.32%26.5M-405.89%-28.55M341.60%4.5M66,735.90%26.07M519.79%24.48M-84.09%1.68M194.21%9.33M
Effect of exchange rate changes -184.48%-165K-91.79%-257K-45.47%313K394.37%351K-102.62%-31K89.97%-58K50.19%-134K315.79%574K134.30%71K457.70%1.18M
End cash Position -3.59%84.35M-2.54%80.94M13.00%64.54M83.76%58.91M83.76%58.91M306.12%87.49M246.26%83.05M135.88%57.12M5.76%32.06M5.76%32.06M
Free cash flow -22.83%12.55M8.19%6.58M-290.05%-9.7M52.81%30.55M-36.95%3.1M169.69%16.27M-14.28%6.08M161.04%5.11M-44.39%19.99M-58.76%4.91M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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