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ULBI Ultralife

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  • 9.600
  • +0.240+2.56%
Trading Sep 13 13:01 ET
159.58MMarket Cap16.00P/E (TTM)

Ultralife Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
409.71%8.93M
94.07%-81K
252.73%1.93M
-5.15%2.43M
-108.20%-889K
1,083.71%1.75M
57.64%-1.37M
-129.20%-1.26M
161.98%2.56M
-128.33%-427K
Net income from continuing operations
-10.60%2.99M
966.87%2.9M
6,071.67%7.17M
1,366.67%2.85M
638.43%1.3M
559.06%3.35M
-108.07%-335K
47.83%-120K
80.05%-225K
59.87%-242K
Depreciation and amortization
2.94%1.02M
-0.31%968K
-12.29%3.91M
-7.12%966K
-12.89%987K
-13.57%987K
-15.12%971K
26.00%4.46M
12.92%1.04M
33.61%1.13M
Deferred tax
-41.78%744K
266.67%650K
235.24%1.3M
120.07%56K
215.91%357K
4,633.33%1.28M
2.99%-390K
-554.42%-962K
-1.82%-279K
-41.28%-308K
Other non cash items
0.00%16K
0.00%16K
77.78%64K
45.45%16K
100.00%16K
60.00%16K
128.57%16K
-65.38%36K
-57.69%11K
-69.23%8K
Change In working capital
199.13%4M
-170.67%-4.78M
-102.51%-11.04M
-187.01%-1.56M
-207.69%-3.68M
-96.78%-4.03M
55.84%-1.77M
-1,505.15%-5.45M
146.68%1.79M
-191.23%-1.2M
-Change in receivables
201.15%4.22M
-205.85%-3.56M
50.64%-3.89M
-894.42%-4.46M
127.10%1.37M
-1,329.50%-4.17M
223.53%3.37M
-278.18%-7.88M
-14.58%-448K
-308.25%-5.05M
-Change in inventory
111.19%2.42M
71.81%-1.7M
89.22%-943K
14,290.91%4.68M
64.71%-744K
134.33%1.14M
-84.06%-6.03M
-574.92%-8.75M
97.49%-33K
-148.88%-2.11M
-Change in prepaid assets
40.09%-698K
72.46%1.1M
-440.07%-3.1M
-158.80%-1.13M
-30.51%-1.45M
-33.45%-1.17M
-34.60%639K
1,323.44%911K
369.34%1.92M
37.08%-1.11M
-Change in payables and accrued expense
-1,333.76%-1.94M
-342.58%-621K
-129.43%-2.97M
-390.50%-520K
-140.48%-2.86M
-91.36%157K
-74.95%256K
471.87%10.09M
113.41%179K
372.39%7.07M
-Change in other working capital
----
----
-178.89%-142K
----
----
----
----
297.80%180K
----
----
Cash from discontinued investing activities
Operating cash flow
409.71%8.93M
94.07%-81K
252.73%1.93M
-5.15%2.43M
-108.20%-889K
1,083.71%1.75M
57.64%-1.37M
-129.20%-1.26M
161.98%2.56M
-128.33%-427K
Investing cash flow
Cash flow from continuing investing activities
30.23%-360K
25.15%-372K
-52.00%-2.55M
-255.12%-1.01M
34.16%-534K
-141.12%-516K
-33.96%-497K
93.62%-1.68M
98.82%-283K
26.21%-811K
Net PPE purchase and sale
30.23%-360K
25.15%-372K
-52.00%-2.55M
-255.12%-1.01M
34.16%-534K
-141.12%-516K
-33.96%-497K
40.33%-1.68M
42.24%-283K
26.21%-811K
Cash from discontinued investing activities
Investing cash flow
30.23%-360K
25.15%-372K
-52.00%-2.55M
-255.12%-1.01M
34.16%-534K
-141.12%-516K
-33.96%-497K
93.62%-1.68M
98.82%-283K
26.21%-811K
Financing cash flow
Cash flow from continuing financing activities
-863.64%-11.93M
-89.72%185K
959.85%5.49M
80.94%-301K
86.42%2.43M
464.10%1.56M
47.18%1.8M
-97.36%518K
-107.67%-1.58M
430.71%1.3M
Net issuance payments of debt
-978.60%-13.18M
-127.78%-500K
722.05%4.25M
66.67%-500K
11.54%1.45M
475.00%1.5M
61.15%1.8M
-97.35%517K
-107.25%-1.5M
427.46%1.3M
Proceeds from stock option exercised by employees
1,917.74%1.25M
--685K
975.86%1.25M
--207K
32,533.33%979K
--62K
--0
-70.85%116K
--0
-96.43%3K
Net other financing activities
----
----
93.04%-8K
----
----
----
----
56.11%-115K
30.70%-79K
--0
Cash from discontinued financing activities
Financing cash flow
-863.64%-11.93M
-89.72%185K
959.85%5.49M
80.94%-301K
86.42%2.43M
464.10%1.56M
47.18%1.8M
-97.36%518K
-107.67%-1.58M
430.71%1.3M
Net cash flow
Beginning cash position
80.18%10.1M
79.91%10.28M
-32.09%5.71M
84.14%9.3M
61.97%8.28M
-7.36%5.61M
-32.09%5.71M
-21.03%8.41M
-68.14%5.05M
-67.69%5.11M
Current changes in cash
-220.24%-3.36M
-332.26%-268K
300.78%4.87M
60.40%1.13M
1,447.69%1.01M
440.68%2.8M
97.38%-62K
-2.45%-2.42M
109.28%702K
364.29%65K
Effect of exchange rate changes
61.34%-46K
293.48%89K
-9.42%-302K
-272.50%-149K
109.38%12K
-3.48%-119K
-757.14%-46K
-319.05%-276K
-131.25%-40K
-1,263.64%-128K
End cash Position
-19.23%6.69M
80.18%10.1M
79.91%10.28M
79.91%10.28M
84.14%9.3M
61.97%8.28M
-7.36%5.61M
-32.09%5.71M
-32.09%5.71M
-68.14%5.05M
Free cash flow
593.52%8.57M
75.67%-453K
78.82%-623K
-37.44%1.43M
-14.94%-1.42M
415.05%1.24M
48.18%-1.86M
-294.71%-2.94M
149.30%2.28M
-403.43%-1.24M
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)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(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 409.71%8.93M94.07%-81K252.73%1.93M-5.15%2.43M-108.20%-889K1,083.71%1.75M57.64%-1.37M-129.20%-1.26M161.98%2.56M-128.33%-427K
Net income from continuing operations -10.60%2.99M966.87%2.9M6,071.67%7.17M1,366.67%2.85M638.43%1.3M559.06%3.35M-108.07%-335K47.83%-120K80.05%-225K59.87%-242K
Depreciation and amortization 2.94%1.02M-0.31%968K-12.29%3.91M-7.12%966K-12.89%987K-13.57%987K-15.12%971K26.00%4.46M12.92%1.04M33.61%1.13M
Deferred tax -41.78%744K266.67%650K235.24%1.3M120.07%56K215.91%357K4,633.33%1.28M2.99%-390K-554.42%-962K-1.82%-279K-41.28%-308K
Other non cash items 0.00%16K0.00%16K77.78%64K45.45%16K100.00%16K60.00%16K128.57%16K-65.38%36K-57.69%11K-69.23%8K
Change In working capital 199.13%4M-170.67%-4.78M-102.51%-11.04M-187.01%-1.56M-207.69%-3.68M-96.78%-4.03M55.84%-1.77M-1,505.15%-5.45M146.68%1.79M-191.23%-1.2M
-Change in receivables 201.15%4.22M-205.85%-3.56M50.64%-3.89M-894.42%-4.46M127.10%1.37M-1,329.50%-4.17M223.53%3.37M-278.18%-7.88M-14.58%-448K-308.25%-5.05M
-Change in inventory 111.19%2.42M71.81%-1.7M89.22%-943K14,290.91%4.68M64.71%-744K134.33%1.14M-84.06%-6.03M-574.92%-8.75M97.49%-33K-148.88%-2.11M
-Change in prepaid assets 40.09%-698K72.46%1.1M-440.07%-3.1M-158.80%-1.13M-30.51%-1.45M-33.45%-1.17M-34.60%639K1,323.44%911K369.34%1.92M37.08%-1.11M
-Change in payables and accrued expense -1,333.76%-1.94M-342.58%-621K-129.43%-2.97M-390.50%-520K-140.48%-2.86M-91.36%157K-74.95%256K471.87%10.09M113.41%179K372.39%7.07M
-Change in other working capital ---------178.89%-142K----------------297.80%180K--------
Cash from discontinued investing activities
Operating cash flow 409.71%8.93M94.07%-81K252.73%1.93M-5.15%2.43M-108.20%-889K1,083.71%1.75M57.64%-1.37M-129.20%-1.26M161.98%2.56M-128.33%-427K
Investing cash flow
Cash flow from continuing investing activities 30.23%-360K25.15%-372K-52.00%-2.55M-255.12%-1.01M34.16%-534K-141.12%-516K-33.96%-497K93.62%-1.68M98.82%-283K26.21%-811K
Net PPE purchase and sale 30.23%-360K25.15%-372K-52.00%-2.55M-255.12%-1.01M34.16%-534K-141.12%-516K-33.96%-497K40.33%-1.68M42.24%-283K26.21%-811K
Cash from discontinued investing activities
Investing cash flow 30.23%-360K25.15%-372K-52.00%-2.55M-255.12%-1.01M34.16%-534K-141.12%-516K-33.96%-497K93.62%-1.68M98.82%-283K26.21%-811K
Financing cash flow
Cash flow from continuing financing activities -863.64%-11.93M-89.72%185K959.85%5.49M80.94%-301K86.42%2.43M464.10%1.56M47.18%1.8M-97.36%518K-107.67%-1.58M430.71%1.3M
Net issuance payments of debt -978.60%-13.18M-127.78%-500K722.05%4.25M66.67%-500K11.54%1.45M475.00%1.5M61.15%1.8M-97.35%517K-107.25%-1.5M427.46%1.3M
Proceeds from stock option exercised by employees 1,917.74%1.25M--685K975.86%1.25M--207K32,533.33%979K--62K--0-70.85%116K--0-96.43%3K
Net other financing activities --------93.04%-8K----------------56.11%-115K30.70%-79K--0
Cash from discontinued financing activities
Financing cash flow -863.64%-11.93M-89.72%185K959.85%5.49M80.94%-301K86.42%2.43M464.10%1.56M47.18%1.8M-97.36%518K-107.67%-1.58M430.71%1.3M
Net cash flow
Beginning cash position 80.18%10.1M79.91%10.28M-32.09%5.71M84.14%9.3M61.97%8.28M-7.36%5.61M-32.09%5.71M-21.03%8.41M-68.14%5.05M-67.69%5.11M
Current changes in cash -220.24%-3.36M-332.26%-268K300.78%4.87M60.40%1.13M1,447.69%1.01M440.68%2.8M97.38%-62K-2.45%-2.42M109.28%702K364.29%65K
Effect of exchange rate changes 61.34%-46K293.48%89K-9.42%-302K-272.50%-149K109.38%12K-3.48%-119K-757.14%-46K-319.05%-276K-131.25%-40K-1,263.64%-128K
End cash Position -19.23%6.69M80.18%10.1M79.91%10.28M79.91%10.28M84.14%9.3M61.97%8.28M-7.36%5.61M-32.09%5.71M-32.09%5.71M-68.14%5.05M
Free cash flow 593.52%8.57M75.67%-453K78.82%-623K-37.44%1.43M-14.94%-1.42M415.05%1.24M48.18%-1.86M-294.71%-2.94M149.30%2.28M-403.43%-1.24M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

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Price Target

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