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YEXT Yext Inc

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  • 5.830
  • +0.060+1.04%
Trading Jul 31 15:09 ET
735.39MMarket Cap-124042P/E (TTM)

Yext Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Apr 30, 2024
(FY)Jan 31, 2024
(Q4)Jan 31, 2024
(Q3)Oct 31, 2023
(Q2)Jul 31, 2023
(Q1)Apr 30, 2023
(FY)Jan 31, 2023
(Q4)Jan 31, 2023
(Q3)Oct 31, 2022
(Q2)Jul 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
43.24%38.31M
158.54%46.16M
-22.05%28.02M
85.42%-1.57M
72.05%-7.03M
49.73%26.74M
-18.29%17.85M
23.42%35.95M
-10.93%-10.79M
22.84%-25.17M
Net income from continuing operations
-826.46%-3.82M
96.01%-2.63M
121.63%1.69M
96.20%-468K
82.81%-3.44M
98.41%-412K
29.30%-65.94M
66.26%-7.8M
50.61%-12.31M
27.55%-19.99M
Depreciation and amortization
-27.12%5.07M
-6.72%24.61M
-20.53%5.25M
-13.30%5.66M
3.80%6.74M
3.02%6.96M
1.16%26.38M
-0.83%6.6M
-4.93%6.53M
-0.99%6.49M
Other non cash items
266.00%366K
-54.81%540K
1,160.00%189K
-18.54%167K
-87.52%84K
-66.89%100K
105.33%1.2M
-80.26%15K
51.85%205K
220.48%673K
Change In working capital
203.33%24.59M
-215.23%-22.21M
-57.08%9.97M
6.25%-18.68M
26.90%-21.61M
-57.78%8.11M
-151.38%-7.05M
-10.79%23.24M
-78.29%-19.93M
10.19%-29.56M
-Change in receivables
7.31%54.32M
105.15%518K
-40.60%-56.73M
114.88%2.31M
38.40%4.33M
18.59%50.61M
-64.69%-10.06M
0.18%-40.35M
-369.92%-15.51M
172.81%3.13M
-Change in prepaid assets
60.17%-660K
132.78%755K
728.24%3.49M
-174.10%-2.2M
15.48%1.12M
70.85%-1.66M
-154.34%-2.3M
-116.99%-556K
514.66%2.97M
110.65%969K
-Change in payables and accrued expense
73.23%-4.03M
-474.94%-10.18M
16.30%-1M
35.85%4.98M
118.74%889K
-401.72%-15.05M
649.39%2.71M
72.41%-1.2M
-19.42%3.67M
-78.65%-4.75M
-Change in other current assets
-92.69%80K
-21.40%896K
484.78%354K
-166.67%-184K
-232.37%-368K
61.36%1.09M
593.51%1.14M
66.42%-92K
885.71%276K
62.57%278K
-Change in other current liabilities
6.96%-2.69M
-16.38%-11.77M
-12.18%-3.09M
-131.57%-2.98M
-2.21%-2.82M
12.99%-2.89M
-28.96%-10.11M
37.73%-2.75M
-182.54%-1.29M
-8.63%-2.76M
-Change in other working capital
6.59%-22.43M
-121.03%-2.43M
-1.82%66.95M
-105.24%-20.61M
6.33%-24.76M
-19.23%-24.01M
-52.08%11.57M
-5.59%68.19M
24.48%-10.04M
-9.88%-26.44M
Cash from discontinued investing activities
Operating cash flow
43.24%38.31M
158.54%46.16M
-22.05%28.02M
85.42%-1.57M
72.05%-7.03M
49.73%26.74M
-18.29%17.85M
23.42%35.95M
-10.93%-10.79M
22.84%-25.17M
Investing cash flow
Cash flow from continuing investing activities
31.46%-647K
55.95%-2.73M
48.55%-408K
50.62%-753K
72.08%-623K
42.58%-944K
53.85%-6.19M
26.91%-793K
14.23%-1.53M
27.99%-2.23M
Capital expenditure reported
31.46%-647K
55.95%-2.73M
48.55%-408K
50.62%-753K
72.08%-623K
42.58%-944K
53.85%-6.19M
26.91%-793K
14.23%-1.53M
27.99%-2.23M
Cash from discontinued investing activities
Investing cash flow
31.46%-647K
55.95%-2.73M
48.55%-408K
50.62%-753K
72.08%-623K
42.58%-944K
53.85%-6.19M
26.91%-793K
14.23%-1.53M
27.99%-2.23M
Financing cash flow
Cash flow from continuing financing activities
-476.28%-1.17M
70.57%-23.25M
96.52%-372K
-24.44%-14.62M
71.68%-8.57M
101.19%312K
-421.00%-79.02M
-316.16%-10.7M
-664.86%-11.75M
-861.06%-30.28M
Net common stock issuance
--0
70.12%-23.09M
--0
-21.23%-12.09M
79.69%-6.41M
83.11%-4.58M
---77.25M
---8.56M
---9.97M
---31.58M
Proceeds from stock option exercised by employees
-85.32%1.2M
243.91%13.3M
45.92%1.98M
646.48%530K
70.39%2.59M
793.78%8.2M
-84.46%3.87M
-72.56%1.36M
-96.59%71K
-63.78%1.52M
Net other financing activities
27.99%-2.38M
-138.86%-13.47M
32.87%-2.36M
-65.73%-3.06M
-2,109.30%-4.75M
-4,754.41%-3.3M
-2,043.73%-5.64M
---3.51M
---1.85M
1.83%-215K
Cash from discontinued financing activities
Financing cash flow
-476.28%-1.17M
70.57%-23.25M
96.52%-372K
-24.44%-14.62M
71.68%-8.57M
101.19%312K
-421.00%-79.02M
-316.16%-10.7M
-664.86%-11.75M
-861.06%-30.28M
Net cash flow
Beginning cash position
10.50%210.18M
-27.18%190.21M
12.26%182.16M
6.72%200.53M
-12.48%216.85M
-27.18%190.21M
13.37%261.21M
-29.30%162.27M
-21.87%187.91M
-8.94%247.77M
Current changes in cash
39.74%36.49M
129.95%20.18M
11.42%27.24M
29.57%-16.95M
71.86%-16.23M
359.15%26.11M
-303.83%-67.36M
-25.89%24.45M
-155.37%-24.06M
-81.74%-57.67M
Effect of exchange rate changes
-206.49%-558K
94.36%-205K
-77.47%788K
9.70%-1.42M
95.76%-93K
115.57%524K
-61.63%-3.64M
367.64%3.5M
-2.27%-1.58M
-1,852.80%-2.19M
End cash Position
13.50%246.11M
10.50%210.18M
10.50%210.18M
12.26%182.16M
6.72%200.53M
-12.48%216.85M
-27.18%190.21M
-27.18%190.21M
-29.30%162.27M
-21.87%187.91M
Free cash flow
45.98%37.66M
272.46%43.43M
-21.45%27.61M
81.11%-2.33M
72.05%-7.66M
59.09%25.8M
38.30%11.66M
25.37%35.15M
-7.04%-12.31M
23.28%-27.4M
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
--
--
--
--
Unqualified Opinion
--
--
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(Q1)Apr 30, 2024(FY)Jan 31, 2024(Q4)Jan 31, 2024(Q3)Oct 31, 2023(Q2)Jul 31, 2023(Q1)Apr 30, 2023(FY)Jan 31, 2023(Q4)Jan 31, 2023(Q3)Oct 31, 2022(Q2)Jul 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 43.24%38.31M158.54%46.16M-22.05%28.02M85.42%-1.57M72.05%-7.03M49.73%26.74M-18.29%17.85M23.42%35.95M-10.93%-10.79M22.84%-25.17M
Net income from continuing operations -826.46%-3.82M96.01%-2.63M121.63%1.69M96.20%-468K82.81%-3.44M98.41%-412K29.30%-65.94M66.26%-7.8M50.61%-12.31M27.55%-19.99M
Depreciation and amortization -27.12%5.07M-6.72%24.61M-20.53%5.25M-13.30%5.66M3.80%6.74M3.02%6.96M1.16%26.38M-0.83%6.6M-4.93%6.53M-0.99%6.49M
Other non cash items 266.00%366K-54.81%540K1,160.00%189K-18.54%167K-87.52%84K-66.89%100K105.33%1.2M-80.26%15K51.85%205K220.48%673K
Change In working capital 203.33%24.59M-215.23%-22.21M-57.08%9.97M6.25%-18.68M26.90%-21.61M-57.78%8.11M-151.38%-7.05M-10.79%23.24M-78.29%-19.93M10.19%-29.56M
-Change in receivables 7.31%54.32M105.15%518K-40.60%-56.73M114.88%2.31M38.40%4.33M18.59%50.61M-64.69%-10.06M0.18%-40.35M-369.92%-15.51M172.81%3.13M
-Change in prepaid assets 60.17%-660K132.78%755K728.24%3.49M-174.10%-2.2M15.48%1.12M70.85%-1.66M-154.34%-2.3M-116.99%-556K514.66%2.97M110.65%969K
-Change in payables and accrued expense 73.23%-4.03M-474.94%-10.18M16.30%-1M35.85%4.98M118.74%889K-401.72%-15.05M649.39%2.71M72.41%-1.2M-19.42%3.67M-78.65%-4.75M
-Change in other current assets -92.69%80K-21.40%896K484.78%354K-166.67%-184K-232.37%-368K61.36%1.09M593.51%1.14M66.42%-92K885.71%276K62.57%278K
-Change in other current liabilities 6.96%-2.69M-16.38%-11.77M-12.18%-3.09M-131.57%-2.98M-2.21%-2.82M12.99%-2.89M-28.96%-10.11M37.73%-2.75M-182.54%-1.29M-8.63%-2.76M
-Change in other working capital 6.59%-22.43M-121.03%-2.43M-1.82%66.95M-105.24%-20.61M6.33%-24.76M-19.23%-24.01M-52.08%11.57M-5.59%68.19M24.48%-10.04M-9.88%-26.44M
Cash from discontinued investing activities
Operating cash flow 43.24%38.31M158.54%46.16M-22.05%28.02M85.42%-1.57M72.05%-7.03M49.73%26.74M-18.29%17.85M23.42%35.95M-10.93%-10.79M22.84%-25.17M
Investing cash flow
Cash flow from continuing investing activities 31.46%-647K55.95%-2.73M48.55%-408K50.62%-753K72.08%-623K42.58%-944K53.85%-6.19M26.91%-793K14.23%-1.53M27.99%-2.23M
Capital expenditure reported 31.46%-647K55.95%-2.73M48.55%-408K50.62%-753K72.08%-623K42.58%-944K53.85%-6.19M26.91%-793K14.23%-1.53M27.99%-2.23M
Cash from discontinued investing activities
Investing cash flow 31.46%-647K55.95%-2.73M48.55%-408K50.62%-753K72.08%-623K42.58%-944K53.85%-6.19M26.91%-793K14.23%-1.53M27.99%-2.23M
Financing cash flow
Cash flow from continuing financing activities -476.28%-1.17M70.57%-23.25M96.52%-372K-24.44%-14.62M71.68%-8.57M101.19%312K-421.00%-79.02M-316.16%-10.7M-664.86%-11.75M-861.06%-30.28M
Net common stock issuance --070.12%-23.09M--0-21.23%-12.09M79.69%-6.41M83.11%-4.58M---77.25M---8.56M---9.97M---31.58M
Proceeds from stock option exercised by employees -85.32%1.2M243.91%13.3M45.92%1.98M646.48%530K70.39%2.59M793.78%8.2M-84.46%3.87M-72.56%1.36M-96.59%71K-63.78%1.52M
Net other financing activities 27.99%-2.38M-138.86%-13.47M32.87%-2.36M-65.73%-3.06M-2,109.30%-4.75M-4,754.41%-3.3M-2,043.73%-5.64M---3.51M---1.85M1.83%-215K
Cash from discontinued financing activities
Financing cash flow -476.28%-1.17M70.57%-23.25M96.52%-372K-24.44%-14.62M71.68%-8.57M101.19%312K-421.00%-79.02M-316.16%-10.7M-664.86%-11.75M-861.06%-30.28M
Net cash flow
Beginning cash position 10.50%210.18M-27.18%190.21M12.26%182.16M6.72%200.53M-12.48%216.85M-27.18%190.21M13.37%261.21M-29.30%162.27M-21.87%187.91M-8.94%247.77M
Current changes in cash 39.74%36.49M129.95%20.18M11.42%27.24M29.57%-16.95M71.86%-16.23M359.15%26.11M-303.83%-67.36M-25.89%24.45M-155.37%-24.06M-81.74%-57.67M
Effect of exchange rate changes -206.49%-558K94.36%-205K-77.47%788K9.70%-1.42M95.76%-93K115.57%524K-61.63%-3.64M367.64%3.5M-2.27%-1.58M-1,852.80%-2.19M
End cash Position 13.50%246.11M10.50%210.18M10.50%210.18M12.26%182.16M6.72%200.53M-12.48%216.85M-27.18%190.21M-27.18%190.21M-29.30%162.27M-21.87%187.91M
Free cash flow 45.98%37.66M272.46%43.43M-21.45%27.61M81.11%-2.33M72.05%-7.66M59.09%25.8M38.30%11.66M25.37%35.15M-7.04%-12.31M23.28%-27.4M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

No Data

Price Target

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