Bion Environmental Technologies, Inc.

OTC:BNET

1.04 (USD) • At close November 17, 2023
Overview | Financials

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

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Operating Activities:
Net Income -11.691-3.1898.291-3.451-4.553-2.659-3.018-2.463-4.522-5.64-5.762-8.25-6.465-6.998-2.976-1.312-1.779-2.549-3.458-17.094-15.553-8.897-3.65-2.38-2.98-1.85-1.99
Depreciation & Amortization 0.0020.0020.0010.0010.0010.0010.0020.0020.2940.6240.9790.9060.0160.0170.0170.0150.0160.010.1371.6272.0712.1870.050.060.040.010
Deferred Income Tax 00.880-0.0350000.0011.6851.752.0020-0.12500000000000000
Stock Based Compensation 0.0960.380.3471.1262.5890.7212.1290.5310.3711.1430.3984.2664.0034.3680.9820.49300000000000
Change In Working Capital 1.119-0.3770.6050.2740.6160.6770.8890.9990.8550.9011.0320.968-0.0360.844-0.1230.780.669-0.7880.444-0.3371.485-0.493-0.05-0.05-0.02-0.210.17
Accounts Receivables 0000000000000000000000-0.04-0.040.0500
Inventory 000000000000000000-0.068-0.068000.39-0.22000
Accounts Payables 0.345-0.88000000.16-0.00800000.81500000000-0.10.07-0.1200
Other Working Capital 0.7740.5030.6050.2740.6160.6770.8890.9990.8550.9011.0320.968-0.0360.03-0.1230.780.669-0.7880.511-0.271.485-0.493-0.30.140.05-0.210
Other Non Cash Items 9.625-0.624-9.9150.6950.3810.449-0.4690.4140.4180.4120.360.2230.0550.0230.017-0.9320.5261.4530.55611.9357.7093.7041.830.081.210.420.76
Operating Cash Flow -0.849-2.929-0.671-1.389-0.966-0.811-0.467-0.517-0.9-0.81-0.992-1.886-2.552-1.746-2.084-0.955-0.568-1.874-2.322-3.87-4.288-3.499-1.82-2.29-1.75-1.63-1.06
Investing Activities:
Investments In Property Plant And Equipment -0.869-3.557-2.06200-0.0020-0.002-0.0050-0.001-0.064-0.897-6.406-0.39-0.433-0.005-0.079-0.119-0.041-0.061-0.095-0.01-0.02-0.0200
Acquisitions Net 0000000000000000000-3.6420000000
Purchases Of Investments 000000000000000000000000000
Sales Maturities Of Investments 000000000000000000000000000
Other Investing Activites 0.0010000000000.05700.025-0.0250.0290.0420.049-0.1720.0458.5010.0020.2030.010.5801.40.06
Investing Cash Flow -0.868-3.557-2.06200-0.0020-0.002-0.00500.056-0.064-0.872-6.431-0.361-0.3910.043-0.251-0.0754.818-0.0590.107-0.010.56-0.021.40.06
Financing Activities:
Debt Repayment 0.5250000.0500.01300.04500.1140.2951.3426.4120001.3450.592-0.55534.82500000
Common Stock Issued 0.6113.9061.7182.161.5840.8970.350.4440.3150.920.9441.331.2591.4180.0130.380.63000.120.5421.11500000
Common Stock Repurchased 00-0.04100000000000000000000.911.710.940.370.12
Dividends Paid 00000000000-0.003-0.15-0.516-0.237000000000000
Other Financing Activities 0.0080.0451.6362.885-0.148-0.0640.403-0.0230.3760.0430.963-0.028-0.0221.2311.9992.1820000-0.501.861.741.660.350.97
Financing Cash Flow 1.1443.9511.6775.0451.4860.8330.4160.4210.7360.9631.0771.5952.438.5451.7752.5620.631.3450.592-0.4353.0425.941.861.741.660.350.97
Other Information:
Effect Of Forex Changes On Cash 00000000000000000000000.010000.01
Net Change In Cash -0.574-2.534-1.0563.6550.5190.019-0.051-0.097-0.1690.1530.141-0.355-0.9940.368-0.671.2170.106-0.779-1.8040.513-1.3052.5490.040.01-0.110.12-0.02
Cash At End Of Period 0.0520.6263.164.2160.5610.0410.0220.0730.170.3390.1860.0450.41.3941.0261.6960.4790.3730.0091.8141.32.6050.060.020.010.120.002