iCAD, Inc.

NASDAQ:ICAD

1.78 (USD) • At close December 24, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988
Operating Activities:
Net Income -4.847-13.656-11.245-17.61-13.551-9.017-14.256-10.099-32.447-1.009-7.608-9.374-37.587-6.224-1.9684.356-1.539-6.638-4.758-0.828-8.198-9.418-2.621-1.828-4-3.4-0.8-6.1-5.30.9-0.83.8-5-2.3-3.5-5.3
Depreciation & Amortization 0.4090.5210.5570.5770.6740.7081.4892.3053.3483.5262.432.7953.1711.6421.9211.8411.7021.6651.6321.3390.6680.390.4860.6240.60.71.32.221.61.31.20.721.80.6
Deferred Income Tax 0.02-0.1160.0010.0010.001-0.0120.0080.00729.674-1.1122.5360.71365.599-1.791-1.994-1.839-1.224-1.284-0.02400000000000000000
Stock Based Compensation 1.3161.6862.7832.8441.1691.5053.6562.3072.1351.3181.2020.9960.9041.5161.9941.8631.2421.3340.02400000000000000000
Change In Working Capital 0.092-2.674-2.171-0.774-2.2822.542-3.9440.005-5.097-0.971-1.114-0.7340.2583.5481.4951.672-0.878-0.831.806-2.4820.0933.4990.7580.590.80.40.32.9-1.1-1.90.2-43.8-5.54.19.1
Accounts Receivables 0.419-0.7390.969-0.302-3.4782.003-3.4742.2011.772-0.493-2.678-0.976-0.6141.9140.8781.03-2.80.2751.04800000000000000000
Inventory 1.489-1.218-1.027-0.533-1.0240.5360.5540.596-1.987-0.3230.229-0.0791.4490.2780.3540.351.234-0.515-1.5041.11-0.2762.2070.080.2060.30.60.51.1-2-0.6-1.5-0.83.5-200
Accounts Payables -0.811-0.806-0.090.8780.836-0.209-0.215-0.016-0.5570.150.0610.815-1.3750.125-0.8240.011-0.546-1.6932.24400000000000000000
Other Working Capital -1.0050.089-2.023-0.8171.3840.212-0.809-2.776-4.325-0.3051.274-0.4940.7981.231.0870.2811.2351.1020.017-3.5910.3691.2920.6780.3830.5-0.2-0.21.80.9-1.31.7-3.20.3-3.54.10
Other Non Cash Items -1.9541.450.6677.9776.8820.4075.71-0.0030.4871.4521.131.4-42.4871.5161.9941.8851.2721.3420.0240.0212.773.27300.041.60.23.503.20.13.7-0.10.11-2.4-4.4
Operating Cash Flow -4.964-12.789-9.408-6.985-7.107-3.867-7.337-5.478-1.93.204-1.424-4.204-10.1420.2073.4439.7780.575-4.411-1.297-1.95-4.667-2.256-1.377-0.574-1-2.14.3-1-1.20.74.40.9-0.5-4.809.1
Investing Activities:
Investments In Property Plant And Equipment -0.922-0.534-0.587-0.474-0.306-0.316-0.395-0.349-0.972-1.264-0.707-0.735-0.276-0.35-0.311-0.621-0.714-1.176-1.056-0.348-0.364-0.15-0.086-0.112-0.2-0.3-0.5-0.6-1.2-1.3-1.4-1.8-0.5-0.500
Acquisitions Net 4.539000000-0.006-1.7-3.482000-0.0240-2000-0.124-1.104000000000000000
Purchases Of Investments 000000000000000000000000000000000000
Sales Maturities Of Investments 0000002.85000000000000000000000000001.600
Other Investing Activites -0.342-0.01-0.024-0.013-0.01-0.0152.85-0.006-1.7-0.05-0.168-0.07-0.0130.275-2.039-2.039-0.003-0.060-0.00102.202-0.111-0.137-0.1-0.2-0.4-0.3-0.4-0.7-0.9-0.20-0.500
Investing Cash Flow 3.275-0.534-0.587-0.474-0.306-0.3162.455-0.355-2.672-4.746-0.707-0.735-0.276-0.099-0.311-2.621-0.714-1.176-1.056-0.473-1.4682.052-0.197-0.249-0.3-0.5-0.9-0.9-1.6-2-2.3-2-0.50.600
Financing Activities:
Debt Repayment 00-7.3630.319-0.0166.9575.92-0.946-12.647-8.505-0.04614.325000-0.259-0.3754-1.541-4.5733.3640.6390.4720.261.31.5-3.5-0.12.60-1.1-0.4-3100
Common Stock Issued 1.9660.35523.22918.2859.3530.20400.1980.36628.2140.14600.0600.0231.8691.240.6050.4919.9036.780.1610.1521.7450101.70.20.20.41.340.200
Common Stock Repurchased 00000-0.18-0.241-0.114-0.08700-0.014012.6680000000000000000000000
Dividends Paid 0000000000000000-0.068-0.116-0.12200000000000000000
Other Financing Activities 0.160.3551.2250.7281.2040.024-0.2360.0840.2792.173-0.028-0.014-1.335-0.087-0.02300.0680.1160000000.100.1000000000
Financing Cash Flow 2.0460.35517.09119.33210.5416.9815.684-0.862-12.36821.8820.06314.311-1.275-0.0870.0011.610.8654.605-1.055.3310.1450.7990.6242.0051.42.5-3.41.62.80.2-0.70.911.200
Other Information:
Effect Of Forex Changes On Cash 000000000000000000000000000000000000
Net Change In Cash 0.357-12.9697.09611.8733.1282.7980.802-6.695-16.9420.34-2.0689.372-11.6930.0213.1328.7670.725-0.981-3.4032.9074.010.596-0.9491.1820.1-0.10-0.30-1.11.4-0.20-309.1
Cash At End Of Period 21.6721.31334.28227.18615.31312.1859.3878.58515.2832.2211.8813.9484.57616.26916.24813.1164.3493.6234.6058.0085.1011.0910.4951.4450.30.10.20.30.60.71.60.20.40.509.1