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TRNS Transcat

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  • 109.120
  • -2.100-1.89%
Close Dec 13 16:00 ET
  • 109.120
  • 0.0000.00%
Post 16:20 ET
1.01BMarket Cap53.75P/E (TTM)

Transcat Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 28, 2024
(Q1)Jun 29, 2024
(FY)Mar 30, 2024
(Q4)Mar 30, 2024
(Q3)Dec 23, 2023
(Q2)Sep 23, 2023
(Q1)Jun 24, 2023
(FY)Mar 25, 2023
(Q4)Mar 25, 2023
(Q3)Dec 24, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-18.98%6.84M
18.42%8.92M
92.41%32.62M
92.44%5.73M
24.91%10.92M
164.29%8.44M
268.87%7.54M
-3.79%16.95M
-43.21%2.98M
79.25%8.74M
Net income from continuing operations
614.35%3.29M
49.47%4.41M
27.69%13.65M
88.35%6.89M
109.12%3.35M
-80.48%460K
-4.00%2.95M
-6.08%10.69M
20.01%3.66M
-1.72%1.6M
Operating gains losses
1,466.67%47K
-150.00%-4K
-39.77%53K
11.54%29K
-53.57%13K
-87.50%3K
-20.00%8K
0.00%88K
204.00%26K
-3.45%28K
Depreciation and amortization
33.82%4.4M
47.42%4.11M
23.63%13.54M
36.54%3.7M
33.25%3.76M
18.36%3.29M
5.64%2.79M
14.51%10.96M
1.65%2.71M
2.02%2.82M
Deferred tax
147.62%10K
-109.09%-4K
-758.60%-1.6M
-1,123.13%-1.64M
850.00%19K
32.26%-21K
291.30%44K
-133.27%-186K
-124.19%-134K
200.00%2K
Change In working capital
-162.38%-2.03M
-129.10%-197K
125.49%2.05M
-17.10%-4.46M
-24.04%2.58M
206.54%3.26M
114.80%677K
-26.91%-8.05M
-199.69%-3.81M
3,866.67%3.39M
-Change in receivables
-46.10%-1.07M
-9.66%2.81M
75.91%-1.26M
28.24%-5.08M
-53.53%1.44M
74.04%-731K
97.40%3.12M
-54.07%-5.23M
-54.60%-7.08M
98.08%3.09M
-Change in inventory
98.60%2.83M
-112.05%-235K
168.64%2.32M
-519.81%-890K
-224.44%-168K
188.79%1.43M
192.07%1.95M
-2,668.03%-3.38M
-87.32%212K
103.82%135K
-Change in prepaid assets
-1,765.15%-1.23M
-229.38%-687K
-126.72%-299K
-2,382.22%-1.03M
36.27%263K
-114.70%-66K
22.92%531K
137.80%1.12M
-85.94%45K
113.47%193K
-Change in payables and accrued expense
-197.60%-2.56M
57.53%-2.09M
330.12%1.29M
-15.77%2.54M
4,119.23%1.05M
186.48%2.63M
-10.17%-4.92M
-515.56%-561K
129.13%3.01M
-100.78%-26K
Cash from discontinued investing activities
Operating cash flow
-18.98%6.84M
18.42%8.92M
92.41%32.62M
92.44%5.73M
24.91%10.92M
164.29%8.44M
268.87%7.54M
-3.79%16.95M
-43.21%2.98M
79.25%8.74M
Investing cash flow
Cash flow from continuing investing activities
69.55%-3.86M
27.36%-4.09M
-125.10%-41.67M
-540.19%-19.64M
44.23%-3.71M
-434.77%-12.69M
12.33%-5.64M
53.54%-18.51M
76.57%-3.07M
-219.53%-6.64M
Net PPE purchase and sale
-47.89%-3.96M
-32.78%-3.67M
-41.22%-13.28M
-84.59%-4.18M
-53.77%-3.66M
-12.81%-2.68M
-15.82%-2.77M
6.36%-9.4M
45.99%-2.27M
-14.33%-2.38M
Net business purchase and sale
100.95%95K
-456.05%-15.95M
-41.17%-12.86M
109.09%73K
98.83%-50K
---10.01M
28.99%-2.87M
69.44%-9.11M
90.98%-803K
---4.27M
Net investment purchase and sale
--0
--15.53M
---15.53M
----
----
--0
--0
--0
----
----
Cash from discontinued investing activities
Investing cash flow
69.55%-3.86M
27.36%-4.09M
-125.10%-41.67M
-540.19%-19.64M
44.23%-3.71M
-434.77%-12.69M
12.33%-5.64M
53.54%-18.51M
76.57%-3.07M
-219.53%-6.64M
Financing cash flow
Cash flow from continuing financing activities
-144.48%-1.41M
-125.26%-1.94M
3,027.74%27.4M
-1,884.04%-1.68M
1,877.09%26.76M
485.89%3.17M
-127.62%-859K
-96.30%876K
-98.62%94K
30.89%-1.51M
Net issuance payments of debt
-111.80%-582K
23.91%-576K
-6,861.05%-44.96M
-1,017.65%-570K
-2,852.40%-48.57M
611.19%4.93M
-122.76%-757K
-97.70%665K
-100.66%-51K
28.32%-1.65M
Net common stock issuance
52.92%-829K
-1,232.35%-1.36M
34,193.84%72.36M
-863.45%-1.11M
54,094.24%75.33M
-1,331.47%-1.76M
52.78%-102K
104.06%211K
116.08%145K
19.83%139K
Cash from discontinued financing activities
Financing cash flow
-144.48%-1.41M
-125.26%-1.94M
3,027.74%27.4M
-1,884.04%-1.68M
1,877.09%26.76M
485.89%3.17M
-127.62%-859K
-96.30%876K
-98.62%94K
30.89%-1.51M
Net cash flow
Beginning cash position
954.30%22.66M
1,183.21%19.65M
9.67%1.53M
2,109.98%35.21M
37.07%1.25M
385.10%2.15M
9.67%1.53M
149.29%1.4M
-42.68%1.59M
-64.37%909K
Current changes in cash
244.18%1.56M
178.10%2.9M
2,773.91%18.34M
-779,650.00%-15.59M
5,648.73%33.98M
-35,966.67%-1.08M
181.58%1.04M
-146.95%-686K
100.19%2K
-4.37%591K
Effect of exchange rate changes
-324.58%-402K
127.42%116K
-127.77%-228K
150.00%32K
-117.20%-16K
-61.83%179K
-230.96%-423K
231.36%821K
80.31%-64K
123.85%93K
End cash Position
1,811.32%23.82M
954.30%22.66M
1,183.21%19.65M
1,183.21%19.65M
2,109.98%35.21M
37.07%1.25M
385.10%2.15M
9.67%1.53M
9.67%1.53M
-42.68%1.59M
Free cash flow
-50.06%2.88M
10.09%5.25M
156.55%19.34M
117.44%1.55M
14.13%7.26M
603.17%5.76M
1,439.61%4.77M
0.95%7.54M
-25.08%711K
128.47%6.36M
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
(Q2)Sep 28, 2024(Q1)Jun 29, 2024(FY)Mar 30, 2024(Q4)Mar 30, 2024(Q3)Dec 23, 2023(Q2)Sep 23, 2023(Q1)Jun 24, 2023(FY)Mar 25, 2023(Q4)Mar 25, 2023(Q3)Dec 24, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -18.98%6.84M18.42%8.92M92.41%32.62M92.44%5.73M24.91%10.92M164.29%8.44M268.87%7.54M-3.79%16.95M-43.21%2.98M79.25%8.74M
Net income from continuing operations 614.35%3.29M49.47%4.41M27.69%13.65M88.35%6.89M109.12%3.35M-80.48%460K-4.00%2.95M-6.08%10.69M20.01%3.66M-1.72%1.6M
Operating gains losses 1,466.67%47K-150.00%-4K-39.77%53K11.54%29K-53.57%13K-87.50%3K-20.00%8K0.00%88K204.00%26K-3.45%28K
Depreciation and amortization 33.82%4.4M47.42%4.11M23.63%13.54M36.54%3.7M33.25%3.76M18.36%3.29M5.64%2.79M14.51%10.96M1.65%2.71M2.02%2.82M
Deferred tax 147.62%10K-109.09%-4K-758.60%-1.6M-1,123.13%-1.64M850.00%19K32.26%-21K291.30%44K-133.27%-186K-124.19%-134K200.00%2K
Change In working capital -162.38%-2.03M-129.10%-197K125.49%2.05M-17.10%-4.46M-24.04%2.58M206.54%3.26M114.80%677K-26.91%-8.05M-199.69%-3.81M3,866.67%3.39M
-Change in receivables -46.10%-1.07M-9.66%2.81M75.91%-1.26M28.24%-5.08M-53.53%1.44M74.04%-731K97.40%3.12M-54.07%-5.23M-54.60%-7.08M98.08%3.09M
-Change in inventory 98.60%2.83M-112.05%-235K168.64%2.32M-519.81%-890K-224.44%-168K188.79%1.43M192.07%1.95M-2,668.03%-3.38M-87.32%212K103.82%135K
-Change in prepaid assets -1,765.15%-1.23M-229.38%-687K-126.72%-299K-2,382.22%-1.03M36.27%263K-114.70%-66K22.92%531K137.80%1.12M-85.94%45K113.47%193K
-Change in payables and accrued expense -197.60%-2.56M57.53%-2.09M330.12%1.29M-15.77%2.54M4,119.23%1.05M186.48%2.63M-10.17%-4.92M-515.56%-561K129.13%3.01M-100.78%-26K
Cash from discontinued investing activities
Operating cash flow -18.98%6.84M18.42%8.92M92.41%32.62M92.44%5.73M24.91%10.92M164.29%8.44M268.87%7.54M-3.79%16.95M-43.21%2.98M79.25%8.74M
Investing cash flow
Cash flow from continuing investing activities 69.55%-3.86M27.36%-4.09M-125.10%-41.67M-540.19%-19.64M44.23%-3.71M-434.77%-12.69M12.33%-5.64M53.54%-18.51M76.57%-3.07M-219.53%-6.64M
Net PPE purchase and sale -47.89%-3.96M-32.78%-3.67M-41.22%-13.28M-84.59%-4.18M-53.77%-3.66M-12.81%-2.68M-15.82%-2.77M6.36%-9.4M45.99%-2.27M-14.33%-2.38M
Net business purchase and sale 100.95%95K-456.05%-15.95M-41.17%-12.86M109.09%73K98.83%-50K---10.01M28.99%-2.87M69.44%-9.11M90.98%-803K---4.27M
Net investment purchase and sale --0--15.53M---15.53M----------0--0--0--------
Cash from discontinued investing activities
Investing cash flow 69.55%-3.86M27.36%-4.09M-125.10%-41.67M-540.19%-19.64M44.23%-3.71M-434.77%-12.69M12.33%-5.64M53.54%-18.51M76.57%-3.07M-219.53%-6.64M
Financing cash flow
Cash flow from continuing financing activities -144.48%-1.41M-125.26%-1.94M3,027.74%27.4M-1,884.04%-1.68M1,877.09%26.76M485.89%3.17M-127.62%-859K-96.30%876K-98.62%94K30.89%-1.51M
Net issuance payments of debt -111.80%-582K23.91%-576K-6,861.05%-44.96M-1,017.65%-570K-2,852.40%-48.57M611.19%4.93M-122.76%-757K-97.70%665K-100.66%-51K28.32%-1.65M
Net common stock issuance 52.92%-829K-1,232.35%-1.36M34,193.84%72.36M-863.45%-1.11M54,094.24%75.33M-1,331.47%-1.76M52.78%-102K104.06%211K116.08%145K19.83%139K
Cash from discontinued financing activities
Financing cash flow -144.48%-1.41M-125.26%-1.94M3,027.74%27.4M-1,884.04%-1.68M1,877.09%26.76M485.89%3.17M-127.62%-859K-96.30%876K-98.62%94K30.89%-1.51M
Net cash flow
Beginning cash position 954.30%22.66M1,183.21%19.65M9.67%1.53M2,109.98%35.21M37.07%1.25M385.10%2.15M9.67%1.53M149.29%1.4M-42.68%1.59M-64.37%909K
Current changes in cash 244.18%1.56M178.10%2.9M2,773.91%18.34M-779,650.00%-15.59M5,648.73%33.98M-35,966.67%-1.08M181.58%1.04M-146.95%-686K100.19%2K-4.37%591K
Effect of exchange rate changes -324.58%-402K127.42%116K-127.77%-228K150.00%32K-117.20%-16K-61.83%179K-230.96%-423K231.36%821K80.31%-64K123.85%93K
End cash Position 1,811.32%23.82M954.30%22.66M1,183.21%19.65M1,183.21%19.65M2,109.98%35.21M37.07%1.25M385.10%2.15M9.67%1.53M9.67%1.53M-42.68%1.59M
Free cash flow -50.06%2.88M10.09%5.25M156.55%19.34M117.44%1.55M14.13%7.26M603.17%5.76M1,439.61%4.77M0.95%7.54M-25.08%711K128.47%6.36M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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