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NATH Nathan's Famous

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  • 104.770
  • +3.980+3.95%
Close Feb 26 16:00 ET
  • 104.770
  • 0.0000.00%
Post 17:45 ET
428.46MMarket Cap18.06P/E (TTM)

Nathan's Famous Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 29, 2024
(Q2)Sep 29, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 24, 2023
(Q2)Sep 24, 2023
(Q1)Jun 25, 2023
(FY)Mar 26, 2023
(Q4)Mar 26, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
62.51%3.62M
6.67%9.83M
132.45%4.99M
0.83%20M
-1.57%6.41M
-37.31%2.23M
2.41%9.22M
178.60%2.15M
20.39%19.84M
-1.11%6.51M
Net income from continuing operations
72.00%4.48M
5.59%6.03M
25.57%9.28M
-0.04%19.62M
19.75%3.91M
-20.10%2.61M
-4.15%5.71M
3.52%7.39M
44.33%19.62M
51.30%3.27M
Operating gains losses
--55K
----
----
-61.94%169K
--0
----
----
----
-67.21%444K
--357K
Depreciation and amortization
-12.31%235K
-21.59%247K
-20.45%249K
0.00%1.14M
-19.80%239K
-11.55%268K
4.65%315K
34.33%313K
7.69%1.14M
20.65%298K
Deferred tax
-115.08%-30K
-178.95%-15K
89.13%-5K
-20.29%165K
-103.35%-7K
1,270.59%199K
1,050.00%19K
-370.59%-46K
146.62%207K
148.16%209K
Other non cash items
-76.70%24K
-120.00%-8K
-72.73%6K
-43.94%199K
-61.36%34K
-24.26%103K
-39.39%40K
-66.15%22K
-32.64%355K
-17.76%88K
Change In working capital
-8.24%-1.43M
1.71%3.03M
17.28%-4.79M
17.79%-2.17M
10.73%1.96M
-303.35%-1.32M
10.88%2.98M
14.52%-5.79M
-2,132.31%-2.64M
-42.26%1.77M
-Change in receivables
-56.84%928K
-7.99%4.81M
6.85%-5.81M
96.56%-74K
48.42%-1.22M
-30.53%2.15M
11.71%5.23M
17.54%-6.23M
-12.63%-2.15M
-425.58%-2.37M
-Change in inventory
13.62%417K
52.87%-74K
60.44%-89K
-1,682.35%-303K
-41.87%-288K
-5.17%367K
-194.58%-157K
38.69%-225K
-116.67%-17K
-34.44%-203K
-Change in prepaid assets
58.70%-306K
53.79%792K
8.24%578K
38.11%-281K
25.06%-589K
-207.47%-741K
17.05%515K
301.50%534K
-291.38%-454K
-26.77%-786K
-Change in payables and accrued expense
20.61%-2.42M
0.72%-2.48M
264.10%568K
-426.79%-1.23M
-20.47%4.16M
12.10%-3.05M
0.36%-2.5M
-86.11%156K
-77.76%377K
69.35%5.23M
-Change in other current assets
16.67%7K
0.00%7K
0.00%7K
0.00%27K
0.00%7K
-14.29%6K
0.00%7K
16.67%7K
-79.70%27K
40.00%7K
-Change in other current liabilities
81.82%20K
-19.05%17K
36.00%34K
15.87%73K
--16K
-15.38%11K
-8.70%21K
-7.41%25K
163.00%63K
--0
-Change in other working capital
-17.19%-75K
67.86%-45K
-53.85%-80K
21.88%-382K
-11.50%-126K
45.30%-64K
-12.00%-140K
61.19%-52K
-250.93%-489K
-250.67%-113K
Cash from discontinued investing activities
Operating cash flow
62.51%3.62M
6.67%9.83M
132.45%4.99M
0.83%20M
-1.57%6.41M
-37.31%2.23M
2.41%9.22M
178.60%2.15M
20.39%19.84M
-1.11%6.51M
Investing cash flow
Cash flow from continuing investing activities
44.59%-41K
7.29%-89K
43.84%-41K
46.40%-313K
-12.90%-70K
40.32%-74K
37.66%-96K
70.08%-73K
8.18%-584K
63.74%-62K
Net PPE purchase and sale
44.59%-41K
7.29%-89K
43.84%-41K
46.40%-313K
-12.90%-70K
40.32%-74K
37.66%-96K
70.08%-73K
8.18%-584K
63.74%-62K
Cash from discontinued investing activities
Investing cash flow
44.59%-41K
7.29%-89K
43.84%-41K
46.40%-313K
-12.90%-70K
40.32%-74K
37.66%-96K
70.08%-73K
8.18%-584K
63.74%-62K
Financing cash flow
Cash flow from continuing financing activities
50.54%-11.08M
27.71%-28.52M
93.63%-2.04M
-1,120.15%-22.4M
15.77%-39.46M
24.64%-32.04M
Net issuance payments of debt
57.00%-8.6M
----
----
----
----
---20M
----
----
----
----
Net common stock issuance
----
----
----
--0
----
----
----
----
---1.89M
--0
Cash dividends paid
-0.10%-2.04M
----
----
-7.91%-8.16M
-0.10%-2.04M
-11.11%-2.04M
----
----
-22.52%-7.56M
-10.04%-2.04M
Net other financing activities
---437K
----
----
32.13%-20.36M
---20M
----
----
----
26.23%-30M
----
Cash from discontinued financing activities
Financing cash flow
50.54%-11.08M
----
----
27.71%-28.52M
93.63%-2.04M
-1,120.15%-22.4M
----
----
15.77%-39.46M
24.64%-32.04M
Net cash flow
Beginning cash position
-15.61%31.21M
-18.65%25.98M
-29.58%21.03M
-40.35%29.86M
-69.83%16.73M
-31.34%36.98M
-33.00%31.94M
-40.35%29.86M
-38.24%50.06M
-35.64%55.45M
Current changes in cash
62.98%-7.5M
3.69%5.23M
138.65%4.95M
56.27%-8.83M
116.78%4.3M
-1,367.75%-20.25M
-18.53%5.04M
186.64%2.08M
34.83%-20.2M
29.12%-25.59M
End cash Position
41.71%23.71M
-15.61%31.21M
-18.65%25.98M
-29.58%21.03M
-29.58%21.03M
-69.83%16.73M
-31.34%36.98M
-33.00%31.94M
-40.35%29.86M
-40.35%29.86M
Free cash flow
66.19%3.58M
6.82%9.74M
138.65%4.95M
2.49%19.69M
-1.71%6.34M
-37.20%2.16M
3.60%9.12M
293.74%2.08M
21.27%19.21M
0.56%6.45M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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(Q3)Dec 29, 2024(Q2)Sep 29, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 24, 2023(Q2)Sep 24, 2023(Q1)Jun 25, 2023(FY)Mar 26, 2023(Q4)Mar 26, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 62.51%3.62M6.67%9.83M132.45%4.99M0.83%20M-1.57%6.41M-37.31%2.23M2.41%9.22M178.60%2.15M20.39%19.84M-1.11%6.51M
Net income from continuing operations 72.00%4.48M5.59%6.03M25.57%9.28M-0.04%19.62M19.75%3.91M-20.10%2.61M-4.15%5.71M3.52%7.39M44.33%19.62M51.30%3.27M
Operating gains losses --55K---------61.94%169K--0-------------67.21%444K--357K
Depreciation and amortization -12.31%235K-21.59%247K-20.45%249K0.00%1.14M-19.80%239K-11.55%268K4.65%315K34.33%313K7.69%1.14M20.65%298K
Deferred tax -115.08%-30K-178.95%-15K89.13%-5K-20.29%165K-103.35%-7K1,270.59%199K1,050.00%19K-370.59%-46K146.62%207K148.16%209K
Other non cash items -76.70%24K-120.00%-8K-72.73%6K-43.94%199K-61.36%34K-24.26%103K-39.39%40K-66.15%22K-32.64%355K-17.76%88K
Change In working capital -8.24%-1.43M1.71%3.03M17.28%-4.79M17.79%-2.17M10.73%1.96M-303.35%-1.32M10.88%2.98M14.52%-5.79M-2,132.31%-2.64M-42.26%1.77M
-Change in receivables -56.84%928K-7.99%4.81M6.85%-5.81M96.56%-74K48.42%-1.22M-30.53%2.15M11.71%5.23M17.54%-6.23M-12.63%-2.15M-425.58%-2.37M
-Change in inventory 13.62%417K52.87%-74K60.44%-89K-1,682.35%-303K-41.87%-288K-5.17%367K-194.58%-157K38.69%-225K-116.67%-17K-34.44%-203K
-Change in prepaid assets 58.70%-306K53.79%792K8.24%578K38.11%-281K25.06%-589K-207.47%-741K17.05%515K301.50%534K-291.38%-454K-26.77%-786K
-Change in payables and accrued expense 20.61%-2.42M0.72%-2.48M264.10%568K-426.79%-1.23M-20.47%4.16M12.10%-3.05M0.36%-2.5M-86.11%156K-77.76%377K69.35%5.23M
-Change in other current assets 16.67%7K0.00%7K0.00%7K0.00%27K0.00%7K-14.29%6K0.00%7K16.67%7K-79.70%27K40.00%7K
-Change in other current liabilities 81.82%20K-19.05%17K36.00%34K15.87%73K--16K-15.38%11K-8.70%21K-7.41%25K163.00%63K--0
-Change in other working capital -17.19%-75K67.86%-45K-53.85%-80K21.88%-382K-11.50%-126K45.30%-64K-12.00%-140K61.19%-52K-250.93%-489K-250.67%-113K
Cash from discontinued investing activities
Operating cash flow 62.51%3.62M6.67%9.83M132.45%4.99M0.83%20M-1.57%6.41M-37.31%2.23M2.41%9.22M178.60%2.15M20.39%19.84M-1.11%6.51M
Investing cash flow
Cash flow from continuing investing activities 44.59%-41K7.29%-89K43.84%-41K46.40%-313K-12.90%-70K40.32%-74K37.66%-96K70.08%-73K8.18%-584K63.74%-62K
Net PPE purchase and sale 44.59%-41K7.29%-89K43.84%-41K46.40%-313K-12.90%-70K40.32%-74K37.66%-96K70.08%-73K8.18%-584K63.74%-62K
Cash from discontinued investing activities
Investing cash flow 44.59%-41K7.29%-89K43.84%-41K46.40%-313K-12.90%-70K40.32%-74K37.66%-96K70.08%-73K8.18%-584K63.74%-62K
Financing cash flow
Cash flow from continuing financing activities 50.54%-11.08M27.71%-28.52M93.63%-2.04M-1,120.15%-22.4M15.77%-39.46M24.64%-32.04M
Net issuance payments of debt 57.00%-8.6M-------------------20M----------------
Net common stock issuance --------------0-------------------1.89M--0
Cash dividends paid -0.10%-2.04M---------7.91%-8.16M-0.10%-2.04M-11.11%-2.04M---------22.52%-7.56M-10.04%-2.04M
Net other financing activities ---437K--------32.13%-20.36M---20M------------26.23%-30M----
Cash from discontinued financing activities
Financing cash flow 50.54%-11.08M--------27.71%-28.52M93.63%-2.04M-1,120.15%-22.4M--------15.77%-39.46M24.64%-32.04M
Net cash flow
Beginning cash position -15.61%31.21M-18.65%25.98M-29.58%21.03M-40.35%29.86M-69.83%16.73M-31.34%36.98M-33.00%31.94M-40.35%29.86M-38.24%50.06M-35.64%55.45M
Current changes in cash 62.98%-7.5M3.69%5.23M138.65%4.95M56.27%-8.83M116.78%4.3M-1,367.75%-20.25M-18.53%5.04M186.64%2.08M34.83%-20.2M29.12%-25.59M
End cash Position 41.71%23.71M-15.61%31.21M-18.65%25.98M-29.58%21.03M-29.58%21.03M-69.83%16.73M-31.34%36.98M-33.00%31.94M-40.35%29.86M-40.35%29.86M
Free cash flow 66.19%3.58M6.82%9.74M138.65%4.95M2.49%19.69M-1.71%6.34M-37.20%2.16M3.60%9.12M293.74%2.08M21.27%19.21M0.56%6.45M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion------------

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