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VLN Velan Inc

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  • 6.160
  • +0.110+1.82%
15min DelayMarket Closed Jul 12 16:00 ET
132.97MMarket Cap-7797P/E (TTM)

Velan Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Nov 30, 2022
(Q2)Aug 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-54.18%4.9M
723.95%4.3M
6.27%19.65M
-44.52%-4.88M
-83.62%-21.16M
448.91%10.69M
-97.08%522K
134.75%18.49M
-144.66%-3.38M
-851.73%-11.52M
Net income from continuing operations
86.01%-1.16M
64.29%-19.8M
95.58%-2.09M
-364.01%-7.3M
42.07%-2.12M
-12.90%-8.29M
-440.80%-55.46M
-236.22%-47.22M
-33.50%2.77M
-178.05%-3.67M
Operating gains losses
66.99%-101K
-246.23%-563K
-9.52%-6.7M
-9.12%2.24M
-106.64%-20K
32.00%-306K
102.38%385K
62.15%-6.12M
730.30%2.47M
349.25%301K
Depreciation and amortization
-4.52%2.45M
3.90%11.16M
3.52%9.59M
18.20%565K
5.56%2.66M
-3.68%2.57M
-7.75%10.74M
220.58%9.27M
-83.73%478K
-11.56%2.52M
Remuneration paid in stock
-78.95%-1.95M
-92.20%4.42M
-80.66%10.29M
-332.94%-983K
-128.01%-717K
73.68%-1.09M
285.88%56.72M
261.90%53.2M
--422K
--2.56M
Deferred tax
-1,051.61%-357K
-3,922.22%-1.09M
-177.12%-654K
60.17%-415K
-98.50%14K
-109.78%-31K
-100.08%-27K
-100.70%-236K
-172.97%-1.04M
23.54%934K
Other non cashItems
28.25%-221K
231.60%354K
133.99%139K
-60.60%210K
230.96%313K
-100.00%-308K
56.61%-269K
57.08%-409K
109.02%533K
-939.13%-239K
Change In working capital
-65.65%6.24M
184.81%9.81M
-9.33%9.07M
108.89%800K
-52.77%-21.28M
200.85%18.15M
32.05%-11.57M
181.60%10M
-495.24%-9M
-104.63%-13.93M
-Change in receivables
-53.85%14.18M
120.69%2.71M
-382.11%-21.99M
124.41%1.28M
56.46%-7.31M
127.62%30.73M
-210.17%-13.09M
39.09%-4.56M
-143.66%-5.24M
-150.75%-16.8M
-Change in inventory
17.28%-11.16M
-129.88%-4.25M
8.75%17.81M
-151.31%-904K
-222.17%-7.66M
-32.63%-13.49M
150.80%14.24M
182.93%16.37M
-62.36%1.76M
186.16%6.27M
-Change in prepaid assets
420.06%1.01M
-200.66%-2.75M
-1,003.57%-1.55M
114.67%168K
-258.42%-1.06M
-3.97%-314K
-107.25%-916K
-101.04%-140K
-263.81%-1.15M
-31.60%671K
-Change in payables and accrued expense
-63.87%-2.72M
981.61%8.06M
1,771.81%15.41M
-101.17%-95K
25.66%-5.59M
-142.04%-1.66M
-65.60%745K
123.47%823K
227.62%8.13M
-185.80%-7.53M
-Change in other working capital
70.86%4.93M
148.27%6.06M
75.61%-608K
102.82%353K
-89.84%350K
-21.91%2.88M
0.21%-12.55M
85.62%-2.49M
0.01%-12.51M
-60.95%3.45M
Cash from discontinued investing activities
Operating cash flow
-54.18%4.9M
723.95%4.3M
6.27%19.65M
-44.52%-4.88M
-83.62%-21.16M
448.91%10.69M
-97.08%522K
134.75%18.49M
-144.66%-3.38M
-851.73%-11.52M
Investing cash flow
Cash flow from continuing investing activities
-114.25%-3.07M
-903.13%-14.13M
-229.49%-9.2M
-4.10%-1.55M
-16.70%-1.95M
34.52%-1.43M
6,865.38%1.76M
223.19%7.1M
-117.62%-1.49M
53.57%-1.67M
Net PPE purchase and sale
-52.05%-1.67M
-64.49%-6.88M
-146.14%-3.06M
19.65%-1.16M
-164.53%-1.57M
-21.13%-1.1M
-117.41%-4.19M
-108.15%-1.24M
-115.68%-1.45M
67.65%-592K
Net intangibles purchas and sale
-147.92%-952K
-6.26%-2.36M
-32.78%-1.2M
-259.81%-385K
67.50%-390K
-4,166.67%-384K
10.42%-2.22M
21.27%-903K
79.42%-107K
-129.89%-1.2M
Net investment purchase and sale
-2,500.00%-456K
-163.42%-5.23M
-156.09%-5.25M
-96.88%2K
-99.07%1K
101.48%19K
194.74%8.25M
233.40%9.37M
123.88%64K
108.69%107K
Net other investing changes
-82.14%5K
498.85%347K
370.94%317K
-250.00%-3K
-64.29%5K
100.00%28K
55.61%-87K
31.58%-117K
0.00%2K
193.33%14K
Cash from discontinued investing activities
Investing cash flow
-114.25%-3.07M
-903.13%-14.13M
-229.49%-9.2M
-4.10%-1.55M
-16.70%-1.95M
34.52%-1.43M
6,865.38%1.76M
223.19%7.1M
-117.62%-1.49M
53.57%-1.67M
Financing cash flow
Cash flow from continuing financing activities
-226.09%-4.2M
-77.90%-4.66M
92.06%-385K
-259.82%-6.33M
213.22%3.34M
-205.49%-1.29M
88.86%-2.62M
70.55%-4.85M
128.72%3.96M
-528.92%-2.95M
Net issuance payments of debt
-226.09%-4.2M
-82.96%-4.37M
92.46%-386K
-264.87%-6.53M
256.15%3.83M
-205.49%-1.29M
89.46%-2.39M
67.26%-5.12M
128.72%3.96M
-456.69%-2.45M
Cash dividends paid
----
1.21%-491K
--0
----
1.21%-491K
----
---497K
--0
----
---497K
Net other financing activities
----
-24.44%201K
--1K
--200K
----
----
131.55%266K
----
----
----
Cash from discontinued financing activities
Financing cash flow
-226.09%-4.2M
-77.90%-4.66M
92.06%-385K
-259.82%-6.33M
213.22%3.34M
-205.49%-1.29M
88.86%-2.62M
70.55%-4.85M
128.72%3.96M
-528.92%-2.95M
Net cash flow
Beginning cash position
-27.48%36.45M
-6.01%50.25M
-10.06%26.36M
32.45%39.37M
23.04%58.63M
-6.01%50.25M
-15.07%53.47M
-55.48%29.31M
-56.37%29.73M
-33.11%47.65M
Current changes in cash
-129.70%-2.37M
-4,173.45%-14.49M
-51.47%10.07M
-1,311.28%-12.76M
-22.44%-19.77M
297.82%7.97M
94.03%-339K
244.47%20.74M
-140.90%-904K
-1,071.70%-16.15M
Effect of exchange rate changes
-114.39%-58K
123.63%679K
-91.50%17K
-151.43%-252K
128.69%511K
122.62%403K
24.61%-2.87M
225.79%200K
120.76%490K
-3.07%-1.78M
End cash Position
-41.98%34.02M
-27.48%36.45M
-27.48%36.45M
-10.06%26.36M
32.45%39.37M
23.04%58.63M
-6.01%50.25M
-6.01%50.25M
-55.48%29.31M
-56.37%29.73M
Free cash from
-75.27%2.28M
18.56%-4.94M
-4.51%15.47M
-30.87%-6.46M
-73.58%-23.16M
330.37%9.2M
-165.61%-6.07M
192.81%16.2M
-187.10%-4.93M
-1,528.82%-13.34M
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
--
--
--
(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(Q3)Nov 30, 2022(Q2)Aug 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -54.18%4.9M723.95%4.3M6.27%19.65M-44.52%-4.88M-83.62%-21.16M448.91%10.69M-97.08%522K134.75%18.49M-144.66%-3.38M-851.73%-11.52M
Net income from continuing operations 86.01%-1.16M64.29%-19.8M95.58%-2.09M-364.01%-7.3M42.07%-2.12M-12.90%-8.29M-440.80%-55.46M-236.22%-47.22M-33.50%2.77M-178.05%-3.67M
Operating gains losses 66.99%-101K-246.23%-563K-9.52%-6.7M-9.12%2.24M-106.64%-20K32.00%-306K102.38%385K62.15%-6.12M730.30%2.47M349.25%301K
Depreciation and amortization -4.52%2.45M3.90%11.16M3.52%9.59M18.20%565K5.56%2.66M-3.68%2.57M-7.75%10.74M220.58%9.27M-83.73%478K-11.56%2.52M
Remuneration paid in stock -78.95%-1.95M-92.20%4.42M-80.66%10.29M-332.94%-983K-128.01%-717K73.68%-1.09M285.88%56.72M261.90%53.2M--422K--2.56M
Deferred tax -1,051.61%-357K-3,922.22%-1.09M-177.12%-654K60.17%-415K-98.50%14K-109.78%-31K-100.08%-27K-100.70%-236K-172.97%-1.04M23.54%934K
Other non cashItems 28.25%-221K231.60%354K133.99%139K-60.60%210K230.96%313K-100.00%-308K56.61%-269K57.08%-409K109.02%533K-939.13%-239K
Change In working capital -65.65%6.24M184.81%9.81M-9.33%9.07M108.89%800K-52.77%-21.28M200.85%18.15M32.05%-11.57M181.60%10M-495.24%-9M-104.63%-13.93M
-Change in receivables -53.85%14.18M120.69%2.71M-382.11%-21.99M124.41%1.28M56.46%-7.31M127.62%30.73M-210.17%-13.09M39.09%-4.56M-143.66%-5.24M-150.75%-16.8M
-Change in inventory 17.28%-11.16M-129.88%-4.25M8.75%17.81M-151.31%-904K-222.17%-7.66M-32.63%-13.49M150.80%14.24M182.93%16.37M-62.36%1.76M186.16%6.27M
-Change in prepaid assets 420.06%1.01M-200.66%-2.75M-1,003.57%-1.55M114.67%168K-258.42%-1.06M-3.97%-314K-107.25%-916K-101.04%-140K-263.81%-1.15M-31.60%671K
-Change in payables and accrued expense -63.87%-2.72M981.61%8.06M1,771.81%15.41M-101.17%-95K25.66%-5.59M-142.04%-1.66M-65.60%745K123.47%823K227.62%8.13M-185.80%-7.53M
-Change in other working capital 70.86%4.93M148.27%6.06M75.61%-608K102.82%353K-89.84%350K-21.91%2.88M0.21%-12.55M85.62%-2.49M0.01%-12.51M-60.95%3.45M
Cash from discontinued investing activities
Operating cash flow -54.18%4.9M723.95%4.3M6.27%19.65M-44.52%-4.88M-83.62%-21.16M448.91%10.69M-97.08%522K134.75%18.49M-144.66%-3.38M-851.73%-11.52M
Investing cash flow
Cash flow from continuing investing activities -114.25%-3.07M-903.13%-14.13M-229.49%-9.2M-4.10%-1.55M-16.70%-1.95M34.52%-1.43M6,865.38%1.76M223.19%7.1M-117.62%-1.49M53.57%-1.67M
Net PPE purchase and sale -52.05%-1.67M-64.49%-6.88M-146.14%-3.06M19.65%-1.16M-164.53%-1.57M-21.13%-1.1M-117.41%-4.19M-108.15%-1.24M-115.68%-1.45M67.65%-592K
Net intangibles purchas and sale -147.92%-952K-6.26%-2.36M-32.78%-1.2M-259.81%-385K67.50%-390K-4,166.67%-384K10.42%-2.22M21.27%-903K79.42%-107K-129.89%-1.2M
Net investment purchase and sale -2,500.00%-456K-163.42%-5.23M-156.09%-5.25M-96.88%2K-99.07%1K101.48%19K194.74%8.25M233.40%9.37M123.88%64K108.69%107K
Net other investing changes -82.14%5K498.85%347K370.94%317K-250.00%-3K-64.29%5K100.00%28K55.61%-87K31.58%-117K0.00%2K193.33%14K
Cash from discontinued investing activities
Investing cash flow -114.25%-3.07M-903.13%-14.13M-229.49%-9.2M-4.10%-1.55M-16.70%-1.95M34.52%-1.43M6,865.38%1.76M223.19%7.1M-117.62%-1.49M53.57%-1.67M
Financing cash flow
Cash flow from continuing financing activities -226.09%-4.2M-77.90%-4.66M92.06%-385K-259.82%-6.33M213.22%3.34M-205.49%-1.29M88.86%-2.62M70.55%-4.85M128.72%3.96M-528.92%-2.95M
Net issuance payments of debt -226.09%-4.2M-82.96%-4.37M92.46%-386K-264.87%-6.53M256.15%3.83M-205.49%-1.29M89.46%-2.39M67.26%-5.12M128.72%3.96M-456.69%-2.45M
Cash dividends paid ----1.21%-491K--0----1.21%-491K-------497K--0-------497K
Net other financing activities -----24.44%201K--1K--200K--------131.55%266K------------
Cash from discontinued financing activities
Financing cash flow -226.09%-4.2M-77.90%-4.66M92.06%-385K-259.82%-6.33M213.22%3.34M-205.49%-1.29M88.86%-2.62M70.55%-4.85M128.72%3.96M-528.92%-2.95M
Net cash flow
Beginning cash position -27.48%36.45M-6.01%50.25M-10.06%26.36M32.45%39.37M23.04%58.63M-6.01%50.25M-15.07%53.47M-55.48%29.31M-56.37%29.73M-33.11%47.65M
Current changes in cash -129.70%-2.37M-4,173.45%-14.49M-51.47%10.07M-1,311.28%-12.76M-22.44%-19.77M297.82%7.97M94.03%-339K244.47%20.74M-140.90%-904K-1,071.70%-16.15M
Effect of exchange rate changes -114.39%-58K123.63%679K-91.50%17K-151.43%-252K128.69%511K122.62%403K24.61%-2.87M225.79%200K120.76%490K-3.07%-1.78M
End cash Position -41.98%34.02M-27.48%36.45M-27.48%36.45M-10.06%26.36M32.45%39.37M23.04%58.63M-6.01%50.25M-6.01%50.25M-55.48%29.31M-56.37%29.73M
Free cash from -75.27%2.28M18.56%-4.94M-4.51%15.47M-30.87%-6.46M-73.58%-23.16M330.37%9.2M-165.61%-6.07M192.81%16.2M-187.10%-4.93M-1,528.82%-13.34M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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