Decisionpoint Systems, Inc.

AMEX:DPSI

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

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

2023202220212020201920182017201620152014201320122011201020092008
Operating Activities:
Net Income 2.4873.1111.4142.8610.8913.975-0.8681.68-0.0150.524-5.218-3.866-5.168-2.2090.344-0.89
Depreciation & Amortization 2.9712.4651.3870.8910.8090.6890.0590.0340.0371.7542.3031.9333.094000
Deferred Income Tax -1.9240.254-0.0260.6860.265-3.91-0.360-0.059-0.197-0.27-0.2560.073000
Stock Based Compensation 0.2830.5771.0030.0870.32400.10600.1630.1660.2140.5140.2830.1190.1550
Change In Working Capital 0.3355.631-0.053-0.5110.0470.8870.073-1.8945.18-0.804-0.1463.342-0.604-0.12-1.9741.908
Accounts Receivables 3.201-3.634.136-5.853-0.503-1.7430.46904.975-0.9761.6151.801-1.221-2.076-0.8083.681
Inventory 4.825-2.177-1.2272.945-3.4690.250.02701.689-0.502-0.723-0.0980.1930.3491.396-1.543
Accounts Payables -5.7078.924-2.5790.5854.0471.185-0.1780-2.6370.314-1.2960.946-0.0392.32-0.502-2.451
Other Working Capital -1.9842.514-0.3831.812-0.0281.195-0.245-1.8941.1530.360.2580.6930.463-0.713-2.062.221
Other Non Cash Items 0.3290.271-1.3730.1820.1991.8720.0580.08-6.797-0.258-1.1160.052-0.1211.8780.0650.956
Operating Cash Flow 4.48112.3092.3524.1962.5351.827-0.932-0.12.2991.185-4.2331.719-2.442-0.333-1.4111.974
Investing Activities:
Investments In Property Plant And Equipment -0.893-1.477-0.371-0.093-0.175-0.084-0.0240-0.076-0.063-0.045-0.064-0.049-0.042-0.01-0.008
Acquisitions Net -12.917-4.525-0.17-3.409-0.5-4.189000.30200-4.801-2.205-2.01900
Purchases Of Investments 0000000000000000
Sales Maturities Of Investments 0000000000000000
Other Investing Activites 0000000-0.0150.302-00-0.250.555000
Investing Cash Flow -13.81-6.002-0.541-3.502-0.675-4.273-0.024-0.0150.226-0.063-0.045-5.115-1.699-2.062-0.01-0.008
Financing Activities:
Debt Repayment 0000000000000000
Common Stock Issued 0.2580.1540.00200.0012.6620000000000
Common Stock Repurchased -0.067-1.403-0.0250000000000000
Dividends Paid 00000000-0.252-0.748-0.423-0.651-0.091000
Other Financing Activities 5.987-1.252-1.229-1.309-1.694.2950.3220.53-3.0920.5944.2534.7694.2822.5690.616-1.619
Financing Cash Flow 5.987-1.252-1.229-1.309-1.694.2950.3220.53-3.344-0.1543.834.1184.1922.5690.616-1.619
Other Information:
Effect Of Forex Changes On Cash 0000000-0.0010.0220.007-0.0140.0150000
Net Change In Cash -3.3425.0550.582-0.6150.171.849-0.6340.414-0.7950.975-0.4620.7370.0510.174-0.8040.347
Cash At End Of Period 4.37.6422.5872.0052.622.450.6011.2350.8211.6160.6411.1030.3660.3150.1410.945