Lightwave Logic, Inc.

NASDAQ:LWLG

2.8 (USD) • At close September 19, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Operating Activities:
Net Income -21.038-17.23-18.631-6.716-6.727-5.773-5.749-4.407-4.845-4.41-3.912-4.557-3.483-3.713-2.722-4.341-4.223-2.597-1.722
Depreciation & Amortization 1.3041.0450.8790.7840.6990.4660.3260.1960.180.1510.1270.0790.0350.030.0170.0161.5670.3310.01
Deferred Income Tax -8.22803.2730.0960.080.0880.4170.1740.0910.1490.1360.2910000000
Stock Based Compensation 6.4595.8141.0230.5390.6010.3880.7950.4361.340.8250.6751.8160000000
Change In Working Capital 0.318-0.5151.3590.3060.1740.258-0.4680.152-0.2550.104-0.075-0.1310.155-0.0740.057-0.054-0.1010.962-0.745
Accounts Receivables -0.03000000000000000000
Inventory 0000000000000000000
Accounts Payables 0.8690.6440.0290.116-0.0610.102-0.0550.033-0.1510.074-0.038-0.0580.096-0.0170.058-0.034000
Other Working Capital -0.521-1.1591.330.190.2350.156-0.4130.12-0.1050.029-0.038-0.0730.059-0.057-0.001-0.02000
Other Non Cash Items 8.9490.422.0590.1160.4080.1720.270.2960.0490.0410.2120.1321.612.321.543.131.3230.5611.682
Operating Cash Flow -12.236-10.466-10.039-4.874-4.766-4.401-4.41-3.153-3.441-3.14-2.838-2.368-1.682-1.437-1.108-1.248-1.435-0.743-0.775
Investing Activities:
Investments In Property Plant And Equipment -3.6-1.568-1.116-0.218-0.306-1.435-0.266-0.193-0.309-0.295-0.179-0.349-0.112-0.108-0.108-0.048-0.182-0.009-0.039
Acquisitions Net 0.00100000.00300.0200000000000
Purchases Of Investments -0.642-0.6420000000000000000-0.2
Sales Maturities Of Investments 0.642000000000000000.02900.1750
Other Investing Activites 0.642-0.642-0.019-0.06-0.0820.003-0.1840.02-0.28-0.081-0.07-00000.1000
Investing Cash Flow -2.957-2.21-1.116-0.218-0.306-1.432-0.266-0.174-0.309-0.295-0.179-0.349-0.112-0.108-0.1080.08-0.1820.167-0.239
Financing Activities:
Debt Repayment 00-0.013-0.67-0.506-0.499-0.071000000000000
Common Stock Issued 21.00712.77530.3515.1735.6394.8645.7221.5534.3154.1762.2794.851.22.0391.5750.7772.3020.4251
Common Stock Repurchased 0000000000000000-0.200
Dividends Paid 0000000000000000000
Other Financing Activities 1.5160.570.9431.658-0.506-0.3380.4791.5534.3150.1540.0730.444000.0130-0.0060.001-0.004
Financing Cash Flow 22.52313.34531.2816.1625.1334.5266.2011.5534.3154.332.3515.2941.22.0391.5880.7772.0960.4260.996
Other Information:
Effect Of Forex Changes On Cash 00000000000000-00000
Net Change In Cash 7.330.6720.1261.070.062-1.3081.525-1.7740.5650.895-0.6662.577-0.5940.4940.372-0.3910.479-0.149-0.018
Cash At End Of Period 31.43224.10223.4333.3072.2362.1753.4821.9573.7313.1662.2712.9370.360.9540.460.0880.4790.0010.15