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SOTK Sono-Tek

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  • 3.924
  • +0.054+1.40%
Close Jan 17 16:00 ET
61.81MMarket Cap56.06P/E (TTM)

Sono-Tek Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Nov 30, 2024
(Q2)Aug 31, 2024
(Q1)May 31, 2024
(FY)Feb 29, 2024
(Q4)Feb 29, 2024
(Q3)Nov 30, 2023
(Q2)Aug 31, 2023
(Q1)May 31, 2023
(FY)Feb 28, 2023
(Q4)Feb 28, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
284.39%1.29M
-250.13%-418.41K
-60.40%327.96K
-12.16%1.16M
-184.26%-278.45K
-56.48%335.54K
233.95%278.69K
91.83%828.09K
-42.87%1.33M
-34.81%330.48K
Net income from continuing operations
-60.27%274.18K
-37.06%340.69K
519.48%330.84K
126.68%1.44M
147.62%156.62K
557.94%690.17K
233.87%541.27K
-82.53%53.41K
-74.99%635.91K
-88.62%63.25K
Depreciation and amortization
28.93%192.79K
23.86%177.89K
17.22%158.49K
16.89%597.17K
16.73%168.82K
13.73%149.52K
12.97%143.62K
25.61%135.21K
17.30%510.87K
42.08%144.63K
Deferred tax
-674.24%-76.87K
135.21%51.7K
-14.85%-142.78K
13.69%-442.21K
44.79%-184.43K
107.19%13.39K
-752.01%-146.85K
-747.08%-124.32K
-2,807.70%-512.34K
-708.11%-334.06K
Change In working capital
239.55%795.41K
-189.64%-998.54K
-109.99%-74.29K
-248.18%-651.65K
-218.83%-480.67K
-187.07%-569.97K
39.64%-344.75K
1,644.82%743.74K
211.02%439.78K
266.28%404.5K
-Change in receivables
-21.67%-399.84K
-63.55%-477.88K
-85.96%69.13K
132.80%163.16K
296.01%291.6K
-161.28%-328.63K
40.51%-292.2K
225.01%492.39K
-174.77%-497.46K
-131.59%-148.77K
-Change in inventory
131.17%82.34K
323.83%638.83K
46.32%-269.23K
-131.78%-2.03M
-43,935.65%-975.83K
45.27%-264.14K
-319.18%-285.41K
3.54%-501.57K
-549.67%-874.53K
-100.58%-2.22K
-Change in prepaid assets
1.23%50.93K
-144.79%-25.62K
-8.67%59.14K
-33.14%46.31K
-21.79%-125.95K
-54.73%50.31K
204.26%57.21K
-44.39%64.75K
140.27%69.26K
43.63%-103.42K
-Change in payables and accrued expense
312.52%923.95K
-360.20%-1.02M
273.98%146.56K
707.97%584.3K
112.27%52.82K
-56.92%223.98K
245.63%391.75K
-133.42%-84.24K
113.20%72.32K
-136.23%-430.62K
-Change in other working capital
154.89%138.03K
46.99%-114.54K
-110.34%-79.89K
-65.18%581.54K
-74.60%276.7K
-735.38%-251.48K
-290.19%-216.08K
55.36%772.41K
116,942.54%1.67M
249.72%1.09M
Cash from discontinued investing activities
Operating cash flow
284.39%1.29M
-250.13%-418.41K
-60.40%327.96K
-12.16%1.16M
-184.26%-278.45K
-56.48%335.54K
233.95%278.69K
91.83%828.09K
-42.87%1.33M
-34.81%330.48K
Investing cash flow
Cash flow from continuing investing activities
218.36%956.18K
445.84%3.87M
-154.41%-60.74K
15.20%-2.38M
-274.34%-568.69K
57.57%-807.86K
64.57%-1.12M
-95.35%111.65K
-72.30%-2.81M
94.07%-151.92K
Net PPE purchase and sale
-163.07%-212.4K
-62.84%-157.68K
77.87%-32.97K
-42.96%-794.69K
-228.86%-468.11K
52.31%-80.74K
49.01%-96.83K
-174.25%-149K
-70.02%-555.87K
-237.76%-142.35K
Net investment purchase and sale
260.71%1.17M
494.04%4.03M
-110.65%-27.77K
29.54%-1.59M
-950.86%-100.58K
58.08%-727.12K
65.57%-1.02M
-89.39%260.65K
-72.87%-2.26M
99.62%-9.57K
Cash from discontinued investing activities
Investing cash flow
218.36%956.18K
445.84%3.87M
-154.41%-60.74K
15.20%-2.38M
-274.34%-568.69K
57.57%-807.86K
64.57%-1.12M
-95.35%111.65K
-72.30%-2.81M
94.07%-151.92K
Financing cash flow
Cash flow from continuing financing activities
Cash from discontinued financing activities
Net cash flow
Beginning cash position
69.44%5.85M
-44.07%2.4M
-36.36%2.13M
-30.70%3.35M
-6.11%2.98M
-19.84%3.45M
-44.05%4.29M
-30.70%3.35M
18.52%4.84M
-53.52%3.18M
Current changes in cash
575.51%2.25M
510.77%3.45M
-71.56%267.22K
17.91%-1.22M
-574.42%-847.15K
58.31%-472.33K
75.04%-840.08K
-66.85%939.74K
-296.43%-1.49M
108.96%178.56K
End cash Position
171.59%8.1M
69.44%5.85M
-44.07%2.4M
-36.36%2.13M
-36.36%2.13M
-6.11%2.98M
-19.84%3.45M
-44.05%4.29M
-30.70%3.35M
-30.70%3.35M
Free cash flow
322.83%1.08M
-416.78%-576.09K
-56.56%294.99K
-52.00%369.18K
-496.83%-746.57K
-57.65%254.8K
145.70%181.86K
79.96%679.09K
-61.39%769.17K
-59.52%188.14K
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
--
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--
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Unqualified Opinion
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(Q3)Nov 30, 2024(Q2)Aug 31, 2024(Q1)May 31, 2024(FY)Feb 29, 2024(Q4)Feb 29, 2024(Q3)Nov 30, 2023(Q2)Aug 31, 2023(Q1)May 31, 2023(FY)Feb 28, 2023(Q4)Feb 28, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 284.39%1.29M-250.13%-418.41K-60.40%327.96K-12.16%1.16M-184.26%-278.45K-56.48%335.54K233.95%278.69K91.83%828.09K-42.87%1.33M-34.81%330.48K
Net income from continuing operations -60.27%274.18K-37.06%340.69K519.48%330.84K126.68%1.44M147.62%156.62K557.94%690.17K233.87%541.27K-82.53%53.41K-74.99%635.91K-88.62%63.25K
Depreciation and amortization 28.93%192.79K23.86%177.89K17.22%158.49K16.89%597.17K16.73%168.82K13.73%149.52K12.97%143.62K25.61%135.21K17.30%510.87K42.08%144.63K
Deferred tax -674.24%-76.87K135.21%51.7K-14.85%-142.78K13.69%-442.21K44.79%-184.43K107.19%13.39K-752.01%-146.85K-747.08%-124.32K-2,807.70%-512.34K-708.11%-334.06K
Change In working capital 239.55%795.41K-189.64%-998.54K-109.99%-74.29K-248.18%-651.65K-218.83%-480.67K-187.07%-569.97K39.64%-344.75K1,644.82%743.74K211.02%439.78K266.28%404.5K
-Change in receivables -21.67%-399.84K-63.55%-477.88K-85.96%69.13K132.80%163.16K296.01%291.6K-161.28%-328.63K40.51%-292.2K225.01%492.39K-174.77%-497.46K-131.59%-148.77K
-Change in inventory 131.17%82.34K323.83%638.83K46.32%-269.23K-131.78%-2.03M-43,935.65%-975.83K45.27%-264.14K-319.18%-285.41K3.54%-501.57K-549.67%-874.53K-100.58%-2.22K
-Change in prepaid assets 1.23%50.93K-144.79%-25.62K-8.67%59.14K-33.14%46.31K-21.79%-125.95K-54.73%50.31K204.26%57.21K-44.39%64.75K140.27%69.26K43.63%-103.42K
-Change in payables and accrued expense 312.52%923.95K-360.20%-1.02M273.98%146.56K707.97%584.3K112.27%52.82K-56.92%223.98K245.63%391.75K-133.42%-84.24K113.20%72.32K-136.23%-430.62K
-Change in other working capital 154.89%138.03K46.99%-114.54K-110.34%-79.89K-65.18%581.54K-74.60%276.7K-735.38%-251.48K-290.19%-216.08K55.36%772.41K116,942.54%1.67M249.72%1.09M
Cash from discontinued investing activities
Operating cash flow 284.39%1.29M-250.13%-418.41K-60.40%327.96K-12.16%1.16M-184.26%-278.45K-56.48%335.54K233.95%278.69K91.83%828.09K-42.87%1.33M-34.81%330.48K
Investing cash flow
Cash flow from continuing investing activities 218.36%956.18K445.84%3.87M-154.41%-60.74K15.20%-2.38M-274.34%-568.69K57.57%-807.86K64.57%-1.12M-95.35%111.65K-72.30%-2.81M94.07%-151.92K
Net PPE purchase and sale -163.07%-212.4K-62.84%-157.68K77.87%-32.97K-42.96%-794.69K-228.86%-468.11K52.31%-80.74K49.01%-96.83K-174.25%-149K-70.02%-555.87K-237.76%-142.35K
Net investment purchase and sale 260.71%1.17M494.04%4.03M-110.65%-27.77K29.54%-1.59M-950.86%-100.58K58.08%-727.12K65.57%-1.02M-89.39%260.65K-72.87%-2.26M99.62%-9.57K
Cash from discontinued investing activities
Investing cash flow 218.36%956.18K445.84%3.87M-154.41%-60.74K15.20%-2.38M-274.34%-568.69K57.57%-807.86K64.57%-1.12M-95.35%111.65K-72.30%-2.81M94.07%-151.92K
Financing cash flow
Cash flow from continuing financing activities
Cash from discontinued financing activities
Net cash flow
Beginning cash position 69.44%5.85M-44.07%2.4M-36.36%2.13M-30.70%3.35M-6.11%2.98M-19.84%3.45M-44.05%4.29M-30.70%3.35M18.52%4.84M-53.52%3.18M
Current changes in cash 575.51%2.25M510.77%3.45M-71.56%267.22K17.91%-1.22M-574.42%-847.15K58.31%-472.33K75.04%-840.08K-66.85%939.74K-296.43%-1.49M108.96%178.56K
End cash Position 171.59%8.1M69.44%5.85M-44.07%2.4M-36.36%2.13M-36.36%2.13M-6.11%2.98M-19.84%3.45M-44.05%4.29M-30.70%3.35M-30.70%3.35M
Free cash flow 322.83%1.08M-416.78%-576.09K-56.56%294.99K-52.00%369.18K-496.83%-746.57K-57.65%254.8K145.70%181.86K79.96%679.09K-61.39%769.17K-59.52%188.14K
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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