Byrna Technologies Inc.

NASDAQ:BYRN

17.5 (USD) • At close November 8, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Operating Activities:
Net Income -8.192-7.885-3.283-12.553-4.41-2.153-2.8-1.924-2.55-2.722-2.024-2.02-0.902-2.321-2.974-4.402-4.828-1.661-0.189
Depreciation & Amortization -1.9280.8550.4870.2420.0540.0230.0450.0470.0470.0460.0380.0210.0110.0090.0090.0090.00300
Deferred Income Tax -1.5190.234-0.197.55-0.385-0.235000000.034000-1.231000
Stock Based Compensation 5.3755.4243.151.6820.2180.1290.4270.0780.6390.75200.92900.290.1781.231000
Change In Working Capital 2.696-13.034-4.8544.723-1.251-0.8470.0350.0950.062-0.0350.02-0.044-0.3230.0890.4870.0350.0380.0830.016
Accounts Receivables 2.189-4.254-0.336-0.433-0.4190.016-0.0030.007-0.0310.013-0.0200000000
Inventory 0.542-9.17-1.445-4.491-0.8750.028-0.150.0370.076-0.12000000000
Accounts Payables 0.6020.7210.7045.9380.270.0050.1440.07300000000000
Other Working Capital -0.637-0.331-3.7773.71-0.226-0.8960.1880.0510.0170.0720.04-0.044-0.3230.0890.4870.0350.0380.0830.016
Other Non Cash Items 7.460.580.2531.3241.9971.4871.2490.1230.7030.7720.234-0.2150.0430.4310.0041.2312.9181.0590.065
Operating Cash Flow 3.892-13.826-4.4372.538-3.776-1.596-1.471-1.66-1.739-1.94-1.732-1.295-1.171-1.503-2.295-3.127-1.869-0.519-0.107
Investing Activities:
Investments In Property Plant And Equipment -0.903-3.253-1.838-1.506-0.246-0.422-0.02200-0.038-0.045-0.1470-0.008-0.014-0.01-0.02700
Acquisitions Net -0.52-1.883-4.044-0.489000000000000000
Purchases Of Investments -0.52000000000000000000
Sales Maturities Of Investments 0.52000000000000000000
Other Investing Activites -1.5560-0-0.080-0.110000-0.045-0.1470000000
Investing Cash Flow -2.979-5.136-5.882-1.995-0.246-0.422-0.02200-0.038-0.045-0.1470-0.008-0.014-0.01-0.02700
Financing Activities:
Debt Repayment 00-0.081-0.137-1.036-0.04-1.937-0.0370-1.241-0.32500000000
Common Stock Issued 0.0340.45657.3330.501.2753.66902.503.070.650.161.6630.19705.7790.8210.099
Common Stock Repurchased -0.456-17.500000000000000-0.0500
Dividends Paid 0000000000000000000
Other Financing Activities 0.034-17.5-0.0817.4055.06801.506-0.0370.0241.2540.6420.910.8780.04100.012-0.0041.1620.008
Financing Cash Flow -0.422-17.04457.2527.7684.0321.2353.238-0.0372.5241.2543.3871.561.0381.7030.1970.0125.7251.9820.107
Other Information:
Effect Of Forex Changes On Cash -0.061-0.326-0.1890.171-0.01900.0270.039-0.019-0.033000000000
Net Change In Cash 0.43-36.33246.7448.482-0.008-0.7831.772-1.6580.766-0.7571.610.118-0.1320.192-2.112-3.1253.8291.4640
Cash At End Of Period 20.49820.06856.49.6561.1741.1821.9650.1931.8511.0851.8420.2320.1150.2470.0552.1685.2931.4640