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VERO Venus Concept

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  • 0.5900
  • -0.0099-1.65%
Close Jul 19 16:00 ET
4.28MMarket Cap-88P/E (TTM)

Venus Concept Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
51.12%-2.88M
52.34%-12.86M
77.28%-774K
-5.57%-4.08M
70.89%-2.12M
52.61%-5.89M
-36.46%-26.98M
-749.63%-3.41M
46.33%-3.86M
-84.16%-7.29M
Net income from continuing operations
-1.73%-9.79M
14.99%-37.05M
-12.17%-11.15M
38.22%-8.96M
30.36%-7.32M
-11.43%-9.62M
-96.85%-43.58M
-141.85%-9.94M
-64.02%-14.5M
-4,443.80%-10.51M
Operating gains losses
-85.29%5K
1,307.59%2.22M
2,726.32%2.15M
--0
--42K
--34K
107.16%158K
-79.95%76K
-72.87%51K
----
Depreciation and amortization
-3.18%975K
-7.80%4.12M
-8.29%1.07M
-6.57%1.01M
-7.74%1.03M
-8.54%1.01M
-8.06%4.46M
6.56%1.17M
-17.16%1.08M
-3.14%1.11M
Deferred tax
-180.54%-120K
90.27%-69K
6.74%-83K
81.01%-64K
78.35%-71K
231.11%149K
-329.70%-709K
-117.76%-89K
-327.70%-337K
34.00%-328K
Other non cash items
550.00%481K
432.85%2.21M
628.46%896K
477.98%630K
488.35%606K
-6.33%74K
-76.73%414K
-84.59%123K
-17.42%109K
-71.39%103K
Change In working capital
355.59%4.69M
2,690.89%11.64M
110.89%5.5M
-56.45%2.57M
269.65%2.54M
115.60%1.03M
108.10%417K
1,156.28%2.61M
345.18%5.9M
-317.88%-1.5M
-Change in receivables
95.04%3.23M
51.10%14.89M
-30.16%3.75M
-28.52%4.99M
536.35%4.5M
151.70%1.65M
1,234.06%9.86M
223.63%5.36M
1,347.32%6.99M
-55.25%707K
-Change in inventory
93.27%1.72M
94.40%-324K
76.51%-78K
80.39%-543K
66.46%-594K
197.80%891K
-35.72%-5.78M
-396.43%-332K
-85.09%-2.77M
26.18%-1.77M
-Change in prepaid assets
958.43%942K
-20.12%667K
-91.04%12K
-91.96%316K
-64.59%250K
102.26%89K
123.63%835K
104.09%134K
525.80%3.93M
65.73%706K
-Change in payables and accrued expense
51.03%-1.51M
-1.29%-4.08M
179.23%1.31M
46.89%-1.47M
31.13%-834K
-292.89%-3.09M
-434.05%-4.03M
-128.00%-1.66M
-144.52%-2.77M
-876.28%-1.21M
-Change in other current assets
-52.39%997K
157.20%3.16M
107.56%912K
-123.08%-156K
-97.52%313K
131.04%2.09M
-429.56%-5.53M
-1,399.35%-12.07M
374.80%676K
4,859.25%12.61M
-Change in other current liabilities
-189.07%-714K
-125.39%-1.46M
-101.24%-146K
-314.66%-498K
95.54%-569K
-103.79%-247K
1,680.50%5.75M
4,877.97%11.75M
24.73%232K
-70,750.00%-12.75M
-Change in other working capital
108.06%29K
-78.94%-1.22M
55.73%-255K
81.14%-73K
-346.26%-527K
-614.29%-360K
-322.62%-679K
-423.60%-576K
-280.84%-387K
32.10%214K
Cash from discontinued investing activities
Operating cash flow
51.12%-2.88M
52.34%-12.86M
77.28%-774K
-5.57%-4.08M
70.89%-2.12M
52.61%-5.89M
-36.46%-26.98M
-749.63%-3.41M
46.33%-3.86M
-84.16%-7.29M
Investing cash flow
Cash flow from continuing investing activities
64.29%-25K
65.48%-116K
30.77%-27K
106.52%3K
76.60%-22K
55.41%-70K
39.13%-336K
87.74%-39K
57.41%-46K
-28.77%-94K
Net PPE purchase and sale
64.29%-25K
65.48%-116K
30.77%-27K
106.52%3K
76.60%-22K
55.41%-70K
34.38%-336K
87.74%-39K
32.35%-46K
-28.77%-94K
Cash from discontinued investing activities
Investing cash flow
64.29%-25K
65.48%-116K
30.77%-27K
106.52%3K
76.60%-22K
55.41%-70K
39.13%-336K
87.74%-39K
57.41%-46K
-28.77%-94K
Financing cash flow
Cash flow from continuing financing activities
223.04%2.59M
-15.07%6.8M
-84.57%1.27M
1,911.19%2.88M
15,333.33%1.85M
309.11%803K
-52.38%8.01M
-47.63%8.24M
550.00%143K
-87.76%12K
Net issuance payments of debt
--1.61M
--0
--0
--0
--0
--0
26.42%-543K
--0
--0
---136K
Net common stock issuance
-98.75%10K
-18.21%7.08M
-82.29%1.46M
1,911.19%2.88M
612.87%1.94M
--803K
-48.31%8.65M
-50.79%8.24M
--143K
--272K
Proceeds from stock option exercised by employees
----
--0
--0
--0
----
----
-98.17%23K
--0
--0
--0
Net other financing activities
--977K
-121.77%-275K
---188K
--0
----
----
71.82%-124K
--0
--0
----
Cash from discontinued financing activities
Financing cash flow
223.04%2.59M
-15.07%6.8M
-84.57%1.27M
1,911.19%2.88M
15,333.33%1.85M
309.11%803K
-52.38%8.01M
-47.63%8.24M
550.00%143K
-87.76%12K
Net cash flow
Beginning cash position
-53.36%5.4M
-62.53%11.57M
-27.31%4.93M
-41.92%6.12M
-64.19%6.41M
-62.53%11.57M
-10.19%30.88M
-57.28%6.78M
-54.46%10.54M
-33.85%17.91M
Current changes in cash
94.01%-309K
68.03%-6.17M
-90.19%470K
68.22%-1.2M
96.04%-292K
60.24%-5.16M
-451.00%-19.31M
-68.08%4.79M
48.30%-3.76M
-87.41%-7.37M
End cash Position
-20.69%5.09M
-53.36%5.4M
-53.36%5.4M
-27.31%4.93M
-41.92%6.12M
-64.19%6.41M
-62.53%11.57M
-62.53%11.57M
-57.28%6.78M
-54.46%10.54M
Free cash flow
51.28%-2.9M
52.50%-12.98M
76.76%-801K
-4.25%-4.07M
70.96%-2.14M
52.64%-5.96M
-34.67%-27.32M
-379.28%-3.45M
46.20%-3.91M
-83.16%-7.38M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(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(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 51.12%-2.88M52.34%-12.86M77.28%-774K-5.57%-4.08M70.89%-2.12M52.61%-5.89M-36.46%-26.98M-749.63%-3.41M46.33%-3.86M-84.16%-7.29M
Net income from continuing operations -1.73%-9.79M14.99%-37.05M-12.17%-11.15M38.22%-8.96M30.36%-7.32M-11.43%-9.62M-96.85%-43.58M-141.85%-9.94M-64.02%-14.5M-4,443.80%-10.51M
Operating gains losses -85.29%5K1,307.59%2.22M2,726.32%2.15M--0--42K--34K107.16%158K-79.95%76K-72.87%51K----
Depreciation and amortization -3.18%975K-7.80%4.12M-8.29%1.07M-6.57%1.01M-7.74%1.03M-8.54%1.01M-8.06%4.46M6.56%1.17M-17.16%1.08M-3.14%1.11M
Deferred tax -180.54%-120K90.27%-69K6.74%-83K81.01%-64K78.35%-71K231.11%149K-329.70%-709K-117.76%-89K-327.70%-337K34.00%-328K
Other non cash items 550.00%481K432.85%2.21M628.46%896K477.98%630K488.35%606K-6.33%74K-76.73%414K-84.59%123K-17.42%109K-71.39%103K
Change In working capital 355.59%4.69M2,690.89%11.64M110.89%5.5M-56.45%2.57M269.65%2.54M115.60%1.03M108.10%417K1,156.28%2.61M345.18%5.9M-317.88%-1.5M
-Change in receivables 95.04%3.23M51.10%14.89M-30.16%3.75M-28.52%4.99M536.35%4.5M151.70%1.65M1,234.06%9.86M223.63%5.36M1,347.32%6.99M-55.25%707K
-Change in inventory 93.27%1.72M94.40%-324K76.51%-78K80.39%-543K66.46%-594K197.80%891K-35.72%-5.78M-396.43%-332K-85.09%-2.77M26.18%-1.77M
-Change in prepaid assets 958.43%942K-20.12%667K-91.04%12K-91.96%316K-64.59%250K102.26%89K123.63%835K104.09%134K525.80%3.93M65.73%706K
-Change in payables and accrued expense 51.03%-1.51M-1.29%-4.08M179.23%1.31M46.89%-1.47M31.13%-834K-292.89%-3.09M-434.05%-4.03M-128.00%-1.66M-144.52%-2.77M-876.28%-1.21M
-Change in other current assets -52.39%997K157.20%3.16M107.56%912K-123.08%-156K-97.52%313K131.04%2.09M-429.56%-5.53M-1,399.35%-12.07M374.80%676K4,859.25%12.61M
-Change in other current liabilities -189.07%-714K-125.39%-1.46M-101.24%-146K-314.66%-498K95.54%-569K-103.79%-247K1,680.50%5.75M4,877.97%11.75M24.73%232K-70,750.00%-12.75M
-Change in other working capital 108.06%29K-78.94%-1.22M55.73%-255K81.14%-73K-346.26%-527K-614.29%-360K-322.62%-679K-423.60%-576K-280.84%-387K32.10%214K
Cash from discontinued investing activities
Operating cash flow 51.12%-2.88M52.34%-12.86M77.28%-774K-5.57%-4.08M70.89%-2.12M52.61%-5.89M-36.46%-26.98M-749.63%-3.41M46.33%-3.86M-84.16%-7.29M
Investing cash flow
Cash flow from continuing investing activities 64.29%-25K65.48%-116K30.77%-27K106.52%3K76.60%-22K55.41%-70K39.13%-336K87.74%-39K57.41%-46K-28.77%-94K
Net PPE purchase and sale 64.29%-25K65.48%-116K30.77%-27K106.52%3K76.60%-22K55.41%-70K34.38%-336K87.74%-39K32.35%-46K-28.77%-94K
Cash from discontinued investing activities
Investing cash flow 64.29%-25K65.48%-116K30.77%-27K106.52%3K76.60%-22K55.41%-70K39.13%-336K87.74%-39K57.41%-46K-28.77%-94K
Financing cash flow
Cash flow from continuing financing activities 223.04%2.59M-15.07%6.8M-84.57%1.27M1,911.19%2.88M15,333.33%1.85M309.11%803K-52.38%8.01M-47.63%8.24M550.00%143K-87.76%12K
Net issuance payments of debt --1.61M--0--0--0--0--026.42%-543K--0--0---136K
Net common stock issuance -98.75%10K-18.21%7.08M-82.29%1.46M1,911.19%2.88M612.87%1.94M--803K-48.31%8.65M-50.79%8.24M--143K--272K
Proceeds from stock option exercised by employees ------0--0--0---------98.17%23K--0--0--0
Net other financing activities --977K-121.77%-275K---188K--0--------71.82%-124K--0--0----
Cash from discontinued financing activities
Financing cash flow 223.04%2.59M-15.07%6.8M-84.57%1.27M1,911.19%2.88M15,333.33%1.85M309.11%803K-52.38%8.01M-47.63%8.24M550.00%143K-87.76%12K
Net cash flow
Beginning cash position -53.36%5.4M-62.53%11.57M-27.31%4.93M-41.92%6.12M-64.19%6.41M-62.53%11.57M-10.19%30.88M-57.28%6.78M-54.46%10.54M-33.85%17.91M
Current changes in cash 94.01%-309K68.03%-6.17M-90.19%470K68.22%-1.2M96.04%-292K60.24%-5.16M-451.00%-19.31M-68.08%4.79M48.30%-3.76M-87.41%-7.37M
End cash Position -20.69%5.09M-53.36%5.4M-53.36%5.4M-27.31%4.93M-41.92%6.12M-64.19%6.41M-62.53%11.57M-62.53%11.57M-57.28%6.78M-54.46%10.54M
Free cash flow 51.28%-2.9M52.50%-12.98M76.76%-801K-4.25%-4.07M70.96%-2.14M52.64%-5.96M-34.67%-27.32M-379.28%-3.45M46.20%-3.91M-83.16%-7.38M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

Analysis

Analyst Rating

No Data

Price Target

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