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NNOX Nano X Imaging

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  • 6.220
  • +0.150+2.47%
Trading Nov 27 09:39 ET
364.01MMarket Cap-7232P/E (TTM)

Nano X Imaging 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
29.17%-8.13M
16.03%-8.49M
11.51%-9.45M
-3.21%-44.78M
14.45%-12.51M
-49.94%-11.48M
0.35%-10.11M
2.57%-10.67M
-13.99%-43.39M
24.24%-14.63M
Net income from continuing operations
36.28%-13.64M
21.82%-13.58M
-4.08%-12.24M
46.33%-60.78M
80.60%-10.25M
-11.91%-21.4M
11.47%-17.36M
45.72%-11.76M
-83.25%-113.24M
-139.79%-52.84M
Operating gains losses
223.33%185K
-105.08%-121K
-209.43%-174K
3,385.11%1.54M
785.56%1.59M
-341.18%-150K
60.40%-59K
461.36%159K
-570.00%-47K
--180K
Depreciation and amortization
1.17%2.93M
0.72%2.93M
1.07%2.94M
2.59%11.81M
5.81%3.1M
0.77%2.9M
2.00%2.91M
1.71%2.91M
402.27%11.51M
53.94%2.93M
Deferred tax
0.00%-95K
0.00%-94K
0.00%-94K
89.90%-377K
90.67%-94K
77.86%-95K
95.56%-94K
47.19%-94K
-3,118.10%-3.73M
-768.97%-1.01M
Other non cash items
----
----
----
77.97%-4.49M
100.20%18K
--17K
--137K
-1,345.99%-4.66M
---20.38M
---9.07M
Change In working capital
109.82%315K
-88.40%271K
-214.90%-1.45M
-165.46%-7.48M
-230.91%-7.87M
-121.03%-3.21M
122.16%2.34M
77.75%1.26M
316.13%11.43M
256.11%6.02M
-Change in receivables
-94.03%16K
46.34%-66K
112.69%42K
-785.14%-507K
-322.92%-321K
226.83%268K
-8.85%-123K
-748.72%-331K
285.00%74K
460.00%144K
-Change in inventory
--176K
--360K
---676K
----
----
--0
--0
--0
----
----
-Change in prepaid assets
232.70%529K
-107.21%-60K
-47.51%737K
57.09%1.94M
81.26%-455K
-68.01%159K
-41.16%832K
-19.86%1.4M
-28.36%1.24M
29.83%-2.43M
-Change in payables and accrued expense
90.35%-338K
-97.80%33K
-1,284.35%-1.74M
-183.73%-9.11M
-190.49%-7.25M
-235.71%-3.5M
222.32%1.5M
179.46%147K
985.73%10.88M
1,498.95%8.02M
-Change in other current assets
--0
18.18%-36K
54.23%219K
68.63%-251K
-290.54%-289K
-262.16%-60K
-980.00%-44K
118.49%142K
-113.90%-800K
86.01%-74K
-Change in other current liabilities
2,550.00%53K
-78.69%13K
21.43%17K
-48.40%129K
-87.88%52K
-99.98%2K
100.50%61K
227.27%14K
7.30%250K
-19.21%429K
-Change in other working capital
-68.06%-121K
-75.00%27K
57.89%-48K
252.17%315K
645.83%393K
-1,900.00%-72K
208.00%108K
-192.31%-114K
-202.48%-207K
-133.03%-72K
Cash from discontinued investing activities
Operating cash flow
29.17%-8.13M
16.03%-8.49M
11.51%-9.45M
-3.21%-44.78M
14.45%-12.51M
-49.94%-11.48M
0.35%-10.11M
2.57%-10.67M
-13.99%-43.39M
24.24%-14.63M
Investing cash flow
Cash flow from continuing investing activities
-33.83%5.74M
-83.06%2.52M
-121.46%-2.06M
142.59%35.43M
-82.19%2.27M
322.85%8.67M
117.14%14.87M
958.57%9.62M
112.56%14.61M
70.46%12.77M
Net PPE purchase and sale
21.58%-734K
-148.55%-855K
90.57%-141K
53.94%-3.3M
-344.44%-528K
42.47%-936K
82.31%-344K
60.81%-1.5M
69.03%-7.17M
103.65%216K
Net business purchase and sale
----
----
----
--0
----
----
----
----
--0
----
Net investment purchase and sale
-32.64%6.47M
-77.83%3.37M
-117.31%-1.92M
79.59%39.11M
-74.70%3.18M
524.44%9.61M
73.03%15.22M
312.28%11.11M
124.12%21.78M
0.32%12.55M
Net other investing changes
----
----
----
---373K
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-33.83%5.74M
-83.06%2.52M
-121.46%-2.06M
142.59%35.43M
-82.19%2.27M
322.85%8.67M
117.14%14.87M
958.57%9.62M
112.56%14.61M
70.46%12.77M
Financing cash flow
Cash flow from continuing financing activities
-94.09%1.62M
105.66%21K
-86.36%24K
3,289.55%27.25M
-81.03%33K
26,008.57%27.41M
-368.84%-371K
-54.52%176K
-89.10%804K
-83.33%174K
Net issuance payments of debt
----
----
----
--0
----
----
----
----
--0
----
Net common stock issuance
----
----
----
--27.14M
--0
----
----
----
--0
--0
Proceeds from stock option exercised by employees
489.45%1.62M
-94.99%21K
-86.36%24K
-4.85%903K
-89.66%33K
161.90%275K
203.62%419K
-54.52%176K
-73.51%949K
57.92%319K
Net other financing activities
----
----
----
-444.83%-790K
--0
--0
----
----
---145K
----
Cash from discontinued financing activities
Financing cash flow
-94.09%1.62M
105.66%21K
-86.36%24K
3,289.55%27.25M
-81.03%33K
26,008.57%27.41M
-368.84%-371K
-54.52%176K
-89.10%804K
-83.33%174K
Net cash flow
Beginning cash position
-7.32%38.98M
19.36%44.92M
46.32%56.38M
-42.30%38.53M
65.21%66.74M
-18.80%42.06M
-31.63%37.64M
-42.30%38.53M
-68.77%66.77M
-47.91%40.4M
Current changes in cash
-103.13%-771K
-235.63%-5.95M
-1,202.15%-11.49M
164.01%17.91M
-505.04%-10.21M
315.14%24.61M
238.80%4.39M
92.45%-882K
80.97%-27.98M
84.34%-1.69M
Effect of exchange rate changes
-126.47%-18K
-61.11%14K
363.64%29K
77.61%-60K
15.00%-153K
100.00%68K
141.86%36K
69.44%-11K
-2,580.00%-268K
---180K
End cash Position
-42.77%38.19M
-7.32%38.98M
19.36%44.92M
46.32%56.38M
46.32%56.38M
65.21%66.74M
-18.80%42.06M
-31.63%37.64M
-42.30%38.53M
-42.30%38.53M
Free cash flow
28.60%-8.86M
10.61%-9.35M
21.23%-9.59M
4.90%-48.08M
9.50%-13.04M
-33.74%-12.41M
13.53%-10.46M
17.61%-12.17M
17.42%-50.56M
42.86%-14.41M
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
--
--
--
--
--
--
(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 29.17%-8.13M16.03%-8.49M11.51%-9.45M-3.21%-44.78M14.45%-12.51M-49.94%-11.48M0.35%-10.11M2.57%-10.67M-13.99%-43.39M24.24%-14.63M
Net income from continuing operations 36.28%-13.64M21.82%-13.58M-4.08%-12.24M46.33%-60.78M80.60%-10.25M-11.91%-21.4M11.47%-17.36M45.72%-11.76M-83.25%-113.24M-139.79%-52.84M
Operating gains losses 223.33%185K-105.08%-121K-209.43%-174K3,385.11%1.54M785.56%1.59M-341.18%-150K60.40%-59K461.36%159K-570.00%-47K--180K
Depreciation and amortization 1.17%2.93M0.72%2.93M1.07%2.94M2.59%11.81M5.81%3.1M0.77%2.9M2.00%2.91M1.71%2.91M402.27%11.51M53.94%2.93M
Deferred tax 0.00%-95K0.00%-94K0.00%-94K89.90%-377K90.67%-94K77.86%-95K95.56%-94K47.19%-94K-3,118.10%-3.73M-768.97%-1.01M
Other non cash items ------------77.97%-4.49M100.20%18K--17K--137K-1,345.99%-4.66M---20.38M---9.07M
Change In working capital 109.82%315K-88.40%271K-214.90%-1.45M-165.46%-7.48M-230.91%-7.87M-121.03%-3.21M122.16%2.34M77.75%1.26M316.13%11.43M256.11%6.02M
-Change in receivables -94.03%16K46.34%-66K112.69%42K-785.14%-507K-322.92%-321K226.83%268K-8.85%-123K-748.72%-331K285.00%74K460.00%144K
-Change in inventory --176K--360K---676K----------0--0--0--------
-Change in prepaid assets 232.70%529K-107.21%-60K-47.51%737K57.09%1.94M81.26%-455K-68.01%159K-41.16%832K-19.86%1.4M-28.36%1.24M29.83%-2.43M
-Change in payables and accrued expense 90.35%-338K-97.80%33K-1,284.35%-1.74M-183.73%-9.11M-190.49%-7.25M-235.71%-3.5M222.32%1.5M179.46%147K985.73%10.88M1,498.95%8.02M
-Change in other current assets --018.18%-36K54.23%219K68.63%-251K-290.54%-289K-262.16%-60K-980.00%-44K118.49%142K-113.90%-800K86.01%-74K
-Change in other current liabilities 2,550.00%53K-78.69%13K21.43%17K-48.40%129K-87.88%52K-99.98%2K100.50%61K227.27%14K7.30%250K-19.21%429K
-Change in other working capital -68.06%-121K-75.00%27K57.89%-48K252.17%315K645.83%393K-1,900.00%-72K208.00%108K-192.31%-114K-202.48%-207K-133.03%-72K
Cash from discontinued investing activities
Operating cash flow 29.17%-8.13M16.03%-8.49M11.51%-9.45M-3.21%-44.78M14.45%-12.51M-49.94%-11.48M0.35%-10.11M2.57%-10.67M-13.99%-43.39M24.24%-14.63M
Investing cash flow
Cash flow from continuing investing activities -33.83%5.74M-83.06%2.52M-121.46%-2.06M142.59%35.43M-82.19%2.27M322.85%8.67M117.14%14.87M958.57%9.62M112.56%14.61M70.46%12.77M
Net PPE purchase and sale 21.58%-734K-148.55%-855K90.57%-141K53.94%-3.3M-344.44%-528K42.47%-936K82.31%-344K60.81%-1.5M69.03%-7.17M103.65%216K
Net business purchase and sale --------------0------------------0----
Net investment purchase and sale -32.64%6.47M-77.83%3.37M-117.31%-1.92M79.59%39.11M-74.70%3.18M524.44%9.61M73.03%15.22M312.28%11.11M124.12%21.78M0.32%12.55M
Net other investing changes ---------------373K------------------------
Cash from discontinued investing activities
Investing cash flow -33.83%5.74M-83.06%2.52M-121.46%-2.06M142.59%35.43M-82.19%2.27M322.85%8.67M117.14%14.87M958.57%9.62M112.56%14.61M70.46%12.77M
Financing cash flow
Cash flow from continuing financing activities -94.09%1.62M105.66%21K-86.36%24K3,289.55%27.25M-81.03%33K26,008.57%27.41M-368.84%-371K-54.52%176K-89.10%804K-83.33%174K
Net issuance payments of debt --------------0------------------0----
Net common stock issuance --------------27.14M--0--------------0--0
Proceeds from stock option exercised by employees 489.45%1.62M-94.99%21K-86.36%24K-4.85%903K-89.66%33K161.90%275K203.62%419K-54.52%176K-73.51%949K57.92%319K
Net other financing activities -------------444.83%-790K--0--0-----------145K----
Cash from discontinued financing activities
Financing cash flow -94.09%1.62M105.66%21K-86.36%24K3,289.55%27.25M-81.03%33K26,008.57%27.41M-368.84%-371K-54.52%176K-89.10%804K-83.33%174K
Net cash flow
Beginning cash position -7.32%38.98M19.36%44.92M46.32%56.38M-42.30%38.53M65.21%66.74M-18.80%42.06M-31.63%37.64M-42.30%38.53M-68.77%66.77M-47.91%40.4M
Current changes in cash -103.13%-771K-235.63%-5.95M-1,202.15%-11.49M164.01%17.91M-505.04%-10.21M315.14%24.61M238.80%4.39M92.45%-882K80.97%-27.98M84.34%-1.69M
Effect of exchange rate changes -126.47%-18K-61.11%14K363.64%29K77.61%-60K15.00%-153K100.00%68K141.86%36K69.44%-11K-2,580.00%-268K---180K
End cash Position -42.77%38.19M-7.32%38.98M19.36%44.92M46.32%56.38M46.32%56.38M65.21%66.74M-18.80%42.06M-31.63%37.64M-42.30%38.53M-42.30%38.53M
Free cash flow 28.60%-8.86M10.61%-9.35M21.23%-9.59M4.90%-48.08M9.50%-13.04M-33.74%-12.41M13.53%-10.46M17.61%-12.17M17.42%-50.56M42.86%-14.41M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------

Analysis

Analyst Rating

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Price Target

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