DATATRAK International, Inc.

OTC:DTRK

0.51 (USD) • At close October 31, 2023
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Operating Activities:
Net Income 2.657-0.889-0.25-0.090.3870.1620.2181.017-2.899-1.293-0.129-1.539-1.0070.101-1.908-16.797-10.854-4.492.5380.817-1.049-6.391-7.354-5.2849.72-14.1-7.41.6-0.8
Depreciation & Amortization 0.067-0.1860.8730.7651.050.6810.6350.2530.190.0820.060.1570.1580.180.3891.3432.9352.3060.7480.6510.9371.1230.950.8670.81.210.60.1
Deferred Income Tax 000000000-0.239-0.29800000-0.1760.97600000000000
Stock Based Compensation 00000000000.2980.4890000.2660000000000000
Change In Working Capital -3.113-1.3710.363-2.2050.75-0.538-0.936-0.5071.0681.9830.2371.9771.921-0.4390.162-0.2613.1831.399-0.388-1.562-0.0740.0570.384-0.175-2.74-0.43.4-3.9-0.3
Accounts Receivables -2.6260.141.35600.27100.0430.1810.24700.368-0.0010.304-0.4030.2670.1431.160.774000.09500.292001.93.500
Inventory 00000000000000000000000000000
Accounts Payables -1.087-0.605-0.0250.082-0.2760.165-0.1560.0290.2580000.397-0.10.008000.36400000000000
Other Working Capital 0.6-0.906-0.967-2.2870.755-0.703-0.824-0.7180.5631.983-0.131.9781.220.064-0.114-0.4042.0230.261-0.388-1.562-0.1690.0570.092-0.175-2.74-2.3-0.1-3.9-0.3
Other Non Cash Items 4.107-0.3-0.70.1780.2360.1560.2420.4750.2510.4780.29800.4040.2690.07610.1270.1350.468-1.1820.0310.06-0.071-0.275-0.579-13.1486.42.3-0.70.1
Operating Cash Flow 3.718-2.7450.286-1.3522.4230.460.1581.238-1.391.0110.4661.0831.4770.11-1.28-5.321-4.7760.6591.717-0.063-0.125-5.282-6.295-5.17-5.369-6.9-0.7-2.4-0.9
Investing Activities:
Investments In Property Plant And Equipment -0.333-8.507-0.753-0.743-0.713-0.596-0.53-0.936-0.569-0.287-0.046-0.0500-0.016-0.027-0.094-0.503-1.283-1.054-0.184-1.274-0.69-1.029-0.746-1.6-1.4-0.9-0.2
Acquisitions Net 08.497000000000000000-4.66900000000000
Purchases Of Investments 0000-00-0.010-0.00100000-2.5-32.454-46.774-6.767-10.595-10.662-5.626-10.575-21.1-42.718-233.045-65.8-47.5-52.1-1.8
Sales Maturities Of Investments 00000000000000338.60742.259.83611.57.5363.7312.88128.03548.385242.20671.950.525.73.1
Other Investing Activites 0.2540.166-0.54800000.0180.001-0.3-0.0550000.2180.0870000.0240.1380.0010015.606-0.10-7.3-0.2
Investing Cash Flow -0.080.156-1.301-0.743-0.713-0.596-0.54-0.918-0.568-0.587-0.102-0.05000.7026.213-4.618-2.102-0.378-4.156-1.9421.0336.2454.63824.0214.41.6-34.60.9
Financing Activities:
Debt Repayment 00.7150.0190.675-0.149-0.1450.5540.525-0.223-0.27-0.249-0.258-0.243-0.195-0.356-0.836-0.872-0.3360-0.023-0.135-0.07-0.101-0.019-0.0630.2-0.2-1.10
Common Stock Issued 00.0070.0240.0240.020.0230.0490.2660.0260.050.0670.0490.0380.162008.9220.4751.0954.7642.33.8390.00100.5100.242.50
Common Stock Repurchased 000000-0.15500000000000000000-20.1880000
Dividends Paid 00000000000000000000000000000
Other Financing Activities -0.48300000.023000.0260-000000-0.0070.008-0.1030000.019000000
Financing Cash Flow -0.4830.7220.0430.699-0.129-0.1230.4480.791-0.198-0.22-0.181-0.209-0.205-0.032-0.356-0.8368.0430.1470.9924.7412.1653.769-0.082-0.019-19.7420.2041.40
Other Information:
Effect Of Forex Changes On Cash 00.3790.03000000000000-0.103-0.001-0.092-0.156-0.0170.009-0.012-0.077-0.026-0.0220000
Net Change In Cash -0.041-1.488-0.942-1.3561.641-0.1790.0631.111-2.1560.2050.1830.824000-0.047-1.352-1.3882.1750.5050.107-0.492-0.209-0.578-1.111-2.30.8814.40
Cash At End Of Period 0.1640.2051.6932.6343.9912.3492.5292.4661.3553.513.3063.1232.2991.0260.9481.8721.9193.0194.4072.2321.7271.6832.1742.3832.9614.16.3815.61.1