Ainos, Inc.

NASDAQ:AIMD

0.483 (USD) • At close September 18, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Operating Activities:
Net Income -13.771-14.007-3.889-1.451-1.581-1.339-0.617-0.67-0.5222.84-0.623-0.651-1.3140.506-2.971-1.923-2.506-2.778-0.669-0.5950.167-0.706-0.482-3.395-6.119-2.333-2.471-1.618-0.3
Depreciation & Amortization 4.8524.8332.0440.0150.0220.0560.040.0260.020.0180.0160.0160.0170.020.0220.020.0190.0150.0120.0290.0220.0230.0230.0240.0260.0280.0290.0260
Deferred Income Tax -0.436-16.86600-0.395000000000000000000000000
Stock Based Compensation 1.1156.4220.150.5250.3950.10.10600000.00200000000000000000
Change In Working Capital 0.19-0.270.4420.4120.2550.145-0.110.1230.136-0.017-0.0110.1820.4730.261.1610.3760.030.17-0.170.1320.1560.0950.0770.4280.2550.131-0.226-0.757-1.3
Accounts Receivables 0.201-0.202-0.41500-0.5020.032-0.094000000000000000000000
Inventory 0.222-0.5950.0030.001-0.0040.023-0.008-0.015000000000000000.007-0.007-0.0490000
Accounts Payables 000.7940.420.2620.055-0.0090.107-0.009-0.062-0.0620.0790.2540.2180.4130.4130.11200.0180000000000
Other Working Capital -0.2330.5270.06-0.009-0.0030.57-0.1250.1250.144-0.0170.0510.1030.2190.0420.748-0.037-0.0820.17-0.1880.1320.1560.0950.0690.4350.30300-0.7570
Other Non Cash Items 3.35516.8660.0020.3740.3950.0280.0390.0670.04-3.395-0.047-0.0360.515-1.3710.8860.5791.0461.1310.1710.106-0.620.0460.0120.2210.1660.075-0.0460.3950.3
Operating Cash Flow -4.695-3.021-1.25-0.5-0.909-1.009-0.543-0.521-0.366-0.555-0.664-0.489-0.31-0.585-0.903-0.949-1.412-1.461-0.655-0.328-0.275-0.542-0.37-2.722-5.673-2.099-2.714-1.954-1.3
Investing Activities:
Investments In Property Plant And Equipment -0.093-0.634-0.144-0.007-0.013-0.007-0.049-0.148-0.0120-0.015-0.004-0.003-0.012-0.013-0.021-0.012-0.03800-0.003-0.00700-0.006-0.011-0.013-0.0480
Acquisitions Net 00000000000000000000000000000
Purchases Of Investments 00000000000000000000000000000
Sales Maturities Of Investments 00000000000000000000000000002
Other Investing Activites -0.0090.004-0.037-0.007-0.011-0.002-0.049-0.101-0.004-0.011-0.015-0.004-0.003-0.012-0.02-0.02-0.0190-0.003-0.0030.105-0.037-0.032-0.045-0.0386.0070.507-5.984-0.5
Investing Cash Flow -0.102-0.63-0.181-0.007-0.013-0.007-0.049-0.148-0.012-0.011-0.015-0.004-0.003-0.012-0.013-0.021-0.012-0.038-0.003-0.0030.102-0.045-0.032-0.045-0.0445.9960.494-6.0331.5
Financing Activities:
Debt Repayment -4.924-0.149-0.016-0.12-0.07-0.195-0.095-0.2630-0.878-0.679-0.07-0.053-0.001000000000000000
Common Stock Issued 0.049464600.1250.4010.1440.3320000.0020.0880.3040.760.141.2571.5880.8620.3170.2080.4790.0410.8071.243009.3780
Common Stock Repurchased -0000000000-0.0010.0420-0.0010000-00000000000
Dividends Paid 00000-0.03400000-0.0240-0.001-0.078-0.0780000000000000
Other Financing Activities 9.848-42.02-42.8290.120.0550.2552.4380.450.0810.6790.6790.5480.2760.2760.2480.8721.24-0.069-0.020.01-0.0240.0390.0871100.30.30
Financing Cash Flow 4.9243.8313.1540.120.0550.2552.4380.7820.0810.8780.6790.4980.3110.5760.930.9341.2571.5190.8420.3270.1840.5190.1291.8072.24300.39.6780
Other Information:
Effect Of Forex Changes On Cash -0.095-0.0780.0050000000000000000.0030000000000
Net Change In Cash 0.0320.1021.729-0.387-0.868-0.7611.8460.113-0.2970.686-0.0010.004-0.002-0.020.013-0.036-0.1670.0210.187-0.0050.011-0.068-0.274-0.96-3.4743.897-1.921.6910.2
Cash At End Of Period 1.8861.8531.7510.0220.4091.2771.980.1340.0210.6930.0070.0070.0030.0040.0240.0110.0470.2140.1930.0060.01100.0680.3421.3024.7760.8792.7991.2