NanoViricides, Inc.

AMEX:NNVC

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Operating Activities:
Net Income -8.589-8.107-8.822-13.447-8.424-8.563-10.304-10.725-2.198-14.106-8.876-6.207-6.477-4.744-2.788-2.738-3.119-3.284-0.066
Depreciation & Amortization 0.7480.7230.7050.70.6960.680.6630.660.3030.2120.220.220.5280.090.0120.0130.0360.0450
Deferred Income Tax -0.09900.0085.238-0.192-1.136-1.326-0.416-8.4692.1481.3916.2070-1,220,330.1930-0.007-0.02700
Stock Based Compensation 0.2140.3380.4060.5590.5320.7911.6011.2281.1572.1230.4450.98301,220,33000.0070.02700
Change In Working Capital 1.7990.215-0.540.120.5680.032-0.4860.3370.318-0.320.1930.149-0.6910.901-0.221-00.2330.2920.066
Accounts Receivables 0000000000000000000
Inventory 0000000000000000000
Accounts Payables 0.1180.041-0.7110.1110.803-0.146-0.3870.458-0.2870.1610.370.062-0.7790.930.0660.2230.02900
Other Working Capital 1.6810.1740.1710.009-0.2350.178-0.098-0.1220.605-0.481-0.1770.0880.087-0.029-0.286-0.2230.2040.2920.066
Other Non Cash Items 0.2570.9390.030.1640.0170.4191.9552.0872.6783.610.829-5.572.1331.8980.3140.1750.5171.1240
Operating Cash Flow -5.67-5.891-8.214-6.666-6.803-7.776-7.898-6.829-6.212-6.334-5.798-4.218-4.508-2.048-2.682-2.55-2.333-1.8240
Investing Activities:
Investments In Property Plant And Equipment -0.152-0.324-0.239-0.009-0.074-0.242-0.165-0.476-6.76-5.231-0.065-0.059-0.194-0.745-0.753-0.121-0.026-0.0020
Acquisitions Net 0000000000000000000
Purchases Of Investments 0000000000000000000
Sales Maturities Of Investments 0000000000000000000
Other Investing Activites 0000000010-1-35.2-41,081-183,5090.080.02-0.100
Investing Cash Flow -0.152-0.324-0.239-0.009-0.074-0.242-0.165-0.476-5.76-5.231-1.065-0.059-0.194-0.745-0.673-0.101-0.126-0.0020
Financing Activities:
Debt Repayment -0.095-0.235-1.303-0.09200-100-0.005-0.00600000000
Common Stock Issued 0016.56416.6772.354.60550.313028.603510.9637,002.56,910,0001.4324.1222.50.923.3350
Common Stock Repurchased 0000000000000000000
Dividends Paid 0000000000-90.108-79.4670000000
Other Financing Activities -0-00.0151.2430.002-4.605-500.0075.736-414.344-6,913.706-6,909,993.036.6260.106000.9980
Financing Cash Flow -0.095-0.23515.26117.8282.354.605-100.00734.3386.5119.3286.978.0594.2282.50.924.3330
Other Information:
Effect Of Forex Changes On Cash 00000-4.6050-0.31300000000000
Net Change In Cash -5.917-6.456.80811.153-4.527-8.018-9.063-7.306-5.22922.774-0.3525.0512.2685.2660.873-0.151-1.5392.5070
Cash At End Of Period 8.1514.06620.51713.7092.5557.08215.09924.16231.46836.69713.92314.2759.2246.9561.6890.8160.9682.5070