CPI Aerostructures, Inc.

AMEX:CVU

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Operating Activities:
Net Income 17.2019.1766.82-1.32-4.452.2125.768-3.6095.016-25.2097.73711.0117.4170.533.9462.5911.907-1.2651.5195.0767.9324.4452.4321.9290.8-8.60.90.5-1.20.20.40.8
Depreciation & Amortization 0.4710.6881.0291.0331.1240.710.6160.6620.8540.7640.7040.6240.5910.3860.3390.2870.2350.2160.1940.1840.1310.0510.0361.5641.71.40.40.10.10.20.20.2
Deferred Income Tax -13.364-6.574-4.668-0.0230.0345.3372.385-2.0772.626-3.876-0.134-0.302-0.541-0.265-0.368-0.207-0.049-0.0480.3341.202-0.4070.1320.092-0.390.3-1.500.3-0.30.20.20.3
Stock Based Compensation 0.7710.3560.8280.7110.7630.7180.9460.6880.5840.5260.4220.421.0220.5540.4840.4950000000000000000
Change In Working Capital -1.254-3.047-1.209-1.9612.168-11.682-8.368-2.795-7.11824.41-5.516-33.871-22.532-4.882-3.756-5.758-3.47-0.219-2.852-7.48-6.498-4.485-2.969-1.895-1.78.6-2.9-0.30.6-0.5-1.8-3.9
Accounts Receivables -3.8220.038-0.1322.091.808-1.7962.985-1.309-1.249-2.0752.382-3.9521.792-0.879-2.4290.3690000000000000000
Inventory 1.0561.5362.357-3.6770.227-3.091-12.942.598-15.29824.851-1.7-31.92600000000000-1.775-0.8-0.1-0.300000
Accounts Payables 5.107-1.157-1.4997.214-0.678-7.6961.628-4.0249.4471.716-5.8171.46600000000000000000000
Other Working Capital -3.596-3.463-1.935-7.5880.8110.901-0.041-0.06-0.018-0.083-0.3810.54-24.324-4.004-1.327-6.127-3.47-0.219-2.852-7.48-6.498-4.485-2.969-0.12-0.98.7-2.6-0.30.6-0.5-1.8-3.9
Other Non Cash Items 0.1030.345-0.002-0.042-0.0170.1710.2260.530.0960.0180.0550.040.342-0.2820.029-0.24-0.0580.30.1280.457-1.5420.06715.510.4160.10.10.20.10.40-0.10.2
Operating Cash Flow 3.9280.9442.799-1.602-0.378-2.5351.572-6.6012.058-3.3683.268-22.078-13.701-3.9590.675-2.831-1.434-1.015-0.677-0.5610.0780.2091.0311.6241.50-1.40.6-0.30.1-1.1-2.4
Investing Activities:
Investments In Property Plant And Equipment -0.14-0.041-0.029-0.147-0.436-0.559-0.282-0.136-0.21-0.603-0.637-0.825-1.588-0.301-0.143-0.494-0.099-0.11-0.273-0.668-0.269-0.123-0.019-0.2520-0.1-10.300000
Acquisitions Net 00000-6.0510.0420000000000000000000000000
Purchases Of Investments 000000000000000000000000-0.20000000
Sales Maturities Of Investments 00000000000000000000000000000000
Other Investing Activites 0000000.042000000000000002.9370.0020.00900001.2000
Investing Cash Flow -0.14-0.041-0.029-0.147-0.436-6.61-0.239-0.136-0.21-0.603-0.637-0.825-1.588-0.301-0.143-0.494-0.099-0.11-0.273-0.668-0.2692.814-0.018-0.243-0.2-0.1-10.301.2000
Financing Activities:
Debt Repayment -2.68-3.365-2.4952.4580.263-2.115-0.9427.029-2.4642.776-3.2019.80714.45-2.0771.2692.1330.7190.262-0.0830.14-5.6-3.293-0.896-1.504-1.6-1.410.4-2.4-1.9-1.5-0.6-0.2
Common Stock Issued 0000016.166000.080013.32403.53000.6190.0190.1530.0518.4930.181000.102.41.70.12.804.6
Common Stock Repurchased 00000000000000000000000000000000
Dividends Paid 00000000000000000000000000000000
Other Financing Activities 0.13900-0.108-0.145-0.1570-0.2540.1130.5340.0271.6040.8931.40601.2780.4950.0050000000000.10.1000
Financing Cash Flow -2.54-3.365-2.4952.350.11913.842-0.9426.775-2.3513.309-3.17424.73415.3442.8591.2693.4111.8330.2860.0710.192.893-3.113-0.896-1.504-1.5-1.412.8-0.6-1.71.3-0.64.4
Other Information:
Effect Of Forex Changes On Cash 000000000000000000000000-0.10000000
Net Change In Cash 1.248-2.4620.2750.601-0.6954.6970.3910.038-0.503-0.661-0.5441.8320.055-1.4011.8010.0860.3-0.839-0.879-1.0382.703-0.0890.118-0.124-0.3-1.51.10-0.81.4-1.72
Cash At End Of Period 5.0953.8476.3096.0345.4336.1281.4311.041.0021.5052.1662.710.8780.8232.2250.4240.3380.0390.8771.7562.7940.0920.1810.1720.30.52111.80.42.1