Fuse Medical, Inc.

OTC:FZMD

0.1655 (USD) • At close November 15, 2023
Overview | Financials

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

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Operating Activities:
Net Income 0.5141.463.098-1.588-1.432-3.3163.9580.7-0.586-0.802-1.405-0.11-0.102-0.122-0.157-0.11-0.082-0.041-0.088-0.104-0.366-0.143-0.185-0.205-0.503-0.110.030.050.050.030-0.11-0.59-2.39-0.5-0.1-0.73
Depreciation & Amortization 0.160.1320.1370.0680.1040.1070.050.0150.0140.0250.013000000000000.0010.0020.1340.0700000000000
Deferred Income Tax 000-0.4981.3320.761-0.4310-0.0970.018000000000000000000000000000
Stock Based Compensation 000.0230.2580.5530.6280.8350.0430.0630.41800000.0310000000000000000000000
Change In Working Capital -0.822-0.524-0.5960.324-0.6110.0513.5630.8960.187-0.040.1120.0520.049-0.0120.0210.010.0050.0050.002-0.015-0-0.0570.036-0.0040.0051.215-0.120.050.040.040.04-0.06-0.67-2.19-1.010.481.42
Accounts Receivables 0.8820.603-1.886-0.064-1.983-1.6240.918-0.0620.24-0.117-0.0540000000000000000000000.81.81-0.880.990
Inventory 0.7330.228-1.471-1.1691.6021.1261.8822.0230.0560.050.1120000000000000000000002.82.49-1.261.440
Accounts Payables -0.637-3.391.2391.2250.4840.04-0.0830.178-0.1280.0190.0930.0570.042-0.0160.020000000000000000000000
Other Working Capital -1.82.0361.5220.332-0.7140.5080.847-1.2430.020.008-0.039-0.0060.0070.0040.0010.010.0050.0050.002-0.015-0-0.0570.036-0.0040.0051.215-0.120.050.040.040.04-0.06-4.27-6.491.13-1.951.42
Other Non Cash Items 0-0.624-2.627-0.3420.2911.765-5.494-0.0480.1810.0060.1110.0070-0.1220.03100.0090.0220.02900.05800.0120.0050.02-1.2150.11-0.07-0.02-0.06-0.020.31.714.041.440.140.73
Operating Cash Flow -0.1480.4440.035-1.7780.237-0.0052.481.605-0.238-0.375-1.169-0.051-0.053-0.134-0.105-0.1-0.067-0.014-0.057-0.119-0.308-0.2-0.136-0.202-0.344-0.040.020.030.070.010.020.130.45-0.54-0.070.521.42
Investing Activities:
Investments In Property Plant And Equipment -0.071-0.44400-0.021-0.015-0.042-0.020-0.008-0.0610000000000000-0.008-0.01000000-0.01-0.01-0.12-0.34-0.33
Acquisitions Net 000000-0.0630.2731.0310.0010.00100000000000000000000000000
Purchases Of Investments 00000000000000000000000-0.1020000000000000
Sales Maturities Of Investments 00000000000000000000000.08900000000000000
Other Investing Activites 0.0950000000.00900.001-0.010000000000000.003000001.58-1.52-0.050.510.350.081.790.37
Investing Cash Flow 0.024000-0.021-0.015-0.105-0.0120-0.007-0.07000000000000.089-0.099-0.008-0.010001.58-1.52-0.050.50.34-0.041.450.04
Financing Activities:
Debt Repayment 0.058001.133-0.1280.27500.1100.0831.3520.10000000000000000000000000
Common Stock Issued 0000.01100000.6550.1900.0120000000000001.567000000000000
Common Stock Repurchased 0000000000000000000000000-0.020.02-0.01000-0.0400000
Dividends Paid 0000000-1.95-2.3960-0.04100-1.78400000000000000000000000
Other Financing Activities 0.029-0.353-0.440.01100-2.3350.273-1.1910.05-0.017-0.0600.0400000000000-0.070.02-0.01000-0.0400.050.37-1.74-1.59
Financing Cash Flow 0.087-0.353-0.441.144-0.1280.275-2.335-1.5670.8970.3231.2940.0510-1.74400000000001.567-0.070.02-0.01000-0.0400.050.37-1.74-1.59
Other Information:
Effect Of Forex Changes On Cash 0000000000000000000000000000000000.15-0.720.02-0.08
Net Change In Cash 00.09-0.405-0.6340.0880.2550.040.0260.659-0.0590.0550-0.053-1.878-0.105-0.1-0.067-0.014-0.057-0.119-0.308-0.2-0.047-0.3011.215-0.120.040.020.071.59-1.50.040.950.01-0.460.25-0.21
Cash At End Of Period 0.2010.2380.1480.5531.1871.0990.8440.8050.6670.0080.0680.00100.0531.9322.0372.1372.2042.2192.2752.3952.7032.9032.953.2512.032.152.112.093.52-0.6561.931.890.950.941.4-0.21