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NVEC NVE Corp

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  • 69.634
  • -2.286-3.18%
Trading Jan 24 10:23 ET
336.83MMarket Cap22.46P/E (TTM)

NVE Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-18.77%3.84M
-60.20%2.13M
16.46%5.85M
-4.42%18.25M
-27.87%3.13M
-12.37%4.73M
-10.97%5.36M
50.86%5.03M
52.69%19.09M
27.52%4.34M
Net income from continuing operations
-27.15%3.05M
-14.76%4.03M
-6.95%4.1M
-24.54%17.12M
-53.68%3.81M
-1.11%4.18M
-22.44%4.72M
6.37%4.4M
56.43%22.69M
115.74%8.23M
Depreciation and amortization
9.63%84.22K
5.25%82.01K
-1.85%75.59K
56.63%308.15K
752.94%76.4K
165.52%76.81K
9.38%77.91K
-12.10%77.02K
-53.71%196.74K
-86.46%8.96K
Deferred tax
-3.15%-107.88K
82.35%-115.71K
-69.94%-147.84K
-720.06%-1M
-169.96%-156.61K
-68.76%-104.59K
-65,564,800.00%-655.65K
-8,700,100.00%-87K
561.95%161.89K
827.44%223.87K
Other non cash items
-225.59%-136.57K
-137.78%-86.09K
-202.98%-53.22K
-274.73%-106.35K
---10.64K
---41.95K
---36.21K
---17.57K
--60.87K
----
Change In working capital
55.90%940.03K
-239.50%-1.88M
336.91%1.86M
143.44%1.77M
85.62%-602.3K
-49.43%602.96K
842.04%1.35M
147.15%426.14K
-61.02%-4.08M
-721.76%-4.19M
-Change in receivables
138.40%1.6M
-131.76%-852.41K
14.33%1.04M
285.26%3.37M
79.69%-899.11K
-82.19%670.03K
214.36%2.68M
-23.31%913.87K
33.64%-1.82M
-165.57%-4.43M
-Change in inventory
3.15%-370.01K
62.56%-252.98K
-104.84%-6.05K
44.17%-741.58K
352.96%191.23K
42.50%-382.05K
-169.37%-675.6K
127.41%124.85K
-11.83%-1.33M
105.86%42.22K
-Change in prepaid assets
-143.47%-203.25K
86.51%-52.76K
2,139.21%208.88K
152.77%110.04K
-85.07%43.89K
220.44%467.55K
-353.08%-391.15K
96.19%-10.24K
-309.11%-208.53K
-45.05%293.89K
-Change in payables and accrued expense
44.89%-84.08K
-165.82%-720.21K
201.97%614.19K
-32.68%-964.15K
162.18%61.7K
89.95%-152.57K
-111.98%-270.94K
56.07%-602.34K
-156.18%-726.7K
-107.39%-99.23K
Cash from discontinued investing activities
Operating cash flow
-18.77%3.84M
-60.20%2.13M
16.46%5.85M
-4.42%18.25M
-27.87%3.13M
-12.37%4.73M
-10.97%5.36M
50.86%5.03M
52.69%19.09M
27.52%4.34M
Investing cash flow
Cash flow from continuing investing activities
250.92%3.27M
-104.19%-208.8K
-877.33%-5.3M
212.35%9.58M
4,795.35%7.3M
-2.11%-2.17M
145.74%4.99M
-112.46%-541.97K
-221.55%-8.53M
-95.15%149.12K
Net PPE purchase and sale
---37.35K
-1,557.17%-208.8K
-22,089.16%-916.63K
98.21%-16.73K
--0
--0
---12.6K
83.14%-4.13K
-93.11%-935.79K
93.39%-28.18K
Net investment purchase and sale
252.65%3.31M
--0
-714.40%-4.38M
224.77%9.6M
4,017.32%7.3M
-74.97%-2.17M
145.85%5M
-112.58%-537.84K
-202.55%-7.69M
-94.93%177.3K
Net other investing changes
----
----
----
----
----
----
----
----
--100K
--0
Cash from discontinued investing activities
Investing cash flow
250.92%3.27M
-104.19%-208.8K
-877.33%-5.3M
212.35%9.58M
4,795.35%7.3M
-2.11%-2.17M
145.74%4.99M
-112.46%-541.97K
-221.55%-8.53M
-95.15%149.12K
Financing cash flow
Cash flow from continuing financing activities
2.33%-4.72M
-0.01%-4.83M
-2.55%-4.83M
0.67%-19.21M
0.37%-4.83M
-0.05%-4.83M
-0.05%-4.83M
2.43%-4.71M
0.78%-19.34M
2.92%-4.85M
Net common stock issuance
----
----
----
--0
----
----
----
----
87.34%-20.7K
----
Cash dividends paid
-0.04%-4.84M
-0.01%-4.83M
-0.06%-4.83M
-0.04%-19.33M
-0.06%-4.83M
-0.05%-4.83M
-0.05%-4.83M
0.00%-4.83M
0.05%-19.32M
0.06%-4.83M
Proceeds from stock option exercised by employees
--114.19K
---29
--0
3,915,533.33%117.46K
-2,033.33%-64
--0
--0
--117.53K
---3
---3
Cash from discontinued financing activities
Financing cash flow
2.33%-4.72M
-0.01%-4.83M
-2.55%-4.83M
0.67%-19.21M
0.37%-4.83M
-0.05%-4.83M
-0.05%-4.83M
2.43%-4.71M
0.78%-19.34M
2.92%-4.85M
Net cash flow
Beginning cash position
-55.47%3.1M
317.07%6.01M
515.82%10.28M
-84.02%1.67M
130.82%4.68M
94.04%6.95M
-89.17%1.44M
-84.02%1.67M
0.21%10.45M
-77.37%2.03M
Current changes in cash
205.33%2.39M
-152.77%-2.91M
-1,760.32%-4.28M
198.11%8.61M
1,655.96%5.6M
-46.00%-2.27M
156.75%5.51M
-108.07%-229.96K
-39,701.33%-8.78M
-124.28%-359.82K
End cash Position
17.09%5.49M
-55.47%3.1M
317.07%6.01M
515.82%10.28M
515.82%10.28M
130.82%4.68M
94.04%6.95M
-89.17%1.44M
-84.02%1.67M
-84.02%1.67M
Free cash flow
-19.56%3.81M
-64.01%1.92M
-1.70%4.94M
0.41%18.23M
-27.40%3.13M
4.78%4.73M
-11.18%5.35M
51.85%5.02M
51.06%18.16M
44.82%4.31M
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)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -18.77%3.84M-60.20%2.13M16.46%5.85M-4.42%18.25M-27.87%3.13M-12.37%4.73M-10.97%5.36M50.86%5.03M52.69%19.09M27.52%4.34M
Net income from continuing operations -27.15%3.05M-14.76%4.03M-6.95%4.1M-24.54%17.12M-53.68%3.81M-1.11%4.18M-22.44%4.72M6.37%4.4M56.43%22.69M115.74%8.23M
Depreciation and amortization 9.63%84.22K5.25%82.01K-1.85%75.59K56.63%308.15K752.94%76.4K165.52%76.81K9.38%77.91K-12.10%77.02K-53.71%196.74K-86.46%8.96K
Deferred tax -3.15%-107.88K82.35%-115.71K-69.94%-147.84K-720.06%-1M-169.96%-156.61K-68.76%-104.59K-65,564,800.00%-655.65K-8,700,100.00%-87K561.95%161.89K827.44%223.87K
Other non cash items -225.59%-136.57K-137.78%-86.09K-202.98%-53.22K-274.73%-106.35K---10.64K---41.95K---36.21K---17.57K--60.87K----
Change In working capital 55.90%940.03K-239.50%-1.88M336.91%1.86M143.44%1.77M85.62%-602.3K-49.43%602.96K842.04%1.35M147.15%426.14K-61.02%-4.08M-721.76%-4.19M
-Change in receivables 138.40%1.6M-131.76%-852.41K14.33%1.04M285.26%3.37M79.69%-899.11K-82.19%670.03K214.36%2.68M-23.31%913.87K33.64%-1.82M-165.57%-4.43M
-Change in inventory 3.15%-370.01K62.56%-252.98K-104.84%-6.05K44.17%-741.58K352.96%191.23K42.50%-382.05K-169.37%-675.6K127.41%124.85K-11.83%-1.33M105.86%42.22K
-Change in prepaid assets -143.47%-203.25K86.51%-52.76K2,139.21%208.88K152.77%110.04K-85.07%43.89K220.44%467.55K-353.08%-391.15K96.19%-10.24K-309.11%-208.53K-45.05%293.89K
-Change in payables and accrued expense 44.89%-84.08K-165.82%-720.21K201.97%614.19K-32.68%-964.15K162.18%61.7K89.95%-152.57K-111.98%-270.94K56.07%-602.34K-156.18%-726.7K-107.39%-99.23K
Cash from discontinued investing activities
Operating cash flow -18.77%3.84M-60.20%2.13M16.46%5.85M-4.42%18.25M-27.87%3.13M-12.37%4.73M-10.97%5.36M50.86%5.03M52.69%19.09M27.52%4.34M
Investing cash flow
Cash flow from continuing investing activities 250.92%3.27M-104.19%-208.8K-877.33%-5.3M212.35%9.58M4,795.35%7.3M-2.11%-2.17M145.74%4.99M-112.46%-541.97K-221.55%-8.53M-95.15%149.12K
Net PPE purchase and sale ---37.35K-1,557.17%-208.8K-22,089.16%-916.63K98.21%-16.73K--0--0---12.6K83.14%-4.13K-93.11%-935.79K93.39%-28.18K
Net investment purchase and sale 252.65%3.31M--0-714.40%-4.38M224.77%9.6M4,017.32%7.3M-74.97%-2.17M145.85%5M-112.58%-537.84K-202.55%-7.69M-94.93%177.3K
Net other investing changes ----------------------------------100K--0
Cash from discontinued investing activities
Investing cash flow 250.92%3.27M-104.19%-208.8K-877.33%-5.3M212.35%9.58M4,795.35%7.3M-2.11%-2.17M145.74%4.99M-112.46%-541.97K-221.55%-8.53M-95.15%149.12K
Financing cash flow
Cash flow from continuing financing activities 2.33%-4.72M-0.01%-4.83M-2.55%-4.83M0.67%-19.21M0.37%-4.83M-0.05%-4.83M-0.05%-4.83M2.43%-4.71M0.78%-19.34M2.92%-4.85M
Net common stock issuance --------------0----------------87.34%-20.7K----
Cash dividends paid -0.04%-4.84M-0.01%-4.83M-0.06%-4.83M-0.04%-19.33M-0.06%-4.83M-0.05%-4.83M-0.05%-4.83M0.00%-4.83M0.05%-19.32M0.06%-4.83M
Proceeds from stock option exercised by employees --114.19K---29--03,915,533.33%117.46K-2,033.33%-64--0--0--117.53K---3---3
Cash from discontinued financing activities
Financing cash flow 2.33%-4.72M-0.01%-4.83M-2.55%-4.83M0.67%-19.21M0.37%-4.83M-0.05%-4.83M-0.05%-4.83M2.43%-4.71M0.78%-19.34M2.92%-4.85M
Net cash flow
Beginning cash position -55.47%3.1M317.07%6.01M515.82%10.28M-84.02%1.67M130.82%4.68M94.04%6.95M-89.17%1.44M-84.02%1.67M0.21%10.45M-77.37%2.03M
Current changes in cash 205.33%2.39M-152.77%-2.91M-1,760.32%-4.28M198.11%8.61M1,655.96%5.6M-46.00%-2.27M156.75%5.51M-108.07%-229.96K-39,701.33%-8.78M-124.28%-359.82K
End cash Position 17.09%5.49M-55.47%3.1M317.07%6.01M515.82%10.28M515.82%10.28M130.82%4.68M94.04%6.95M-89.17%1.44M-84.02%1.67M-84.02%1.67M
Free cash flow -19.56%3.81M-64.01%1.92M-1.70%4.94M0.41%18.23M-27.40%3.13M4.78%4.73M-11.18%5.35M51.85%5.02M51.06%18.16M44.82%4.31M
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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