PAID, Inc.

OTC:PAYD

1.59 (USD) • At close November 9, 2023
Overview | Financials

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

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Operating Activities:
Net Income 0.7640.3530.652-0.697-2.2330.282-11.532-0.617-0.348-1.309-1.666-1.128-4.146-3.974-3.307-3.484-4.734-2.724-1.704-3.101-4.08-3.715-3.531-4.358-5.493-2.183-0.664-6.7080.129
Depreciation & Amortization 0.3190.340.3610.5450.5170.5130.8360.8590.1030.0350.0260.0740.0770.0410.0270.0180.0710.1290.1480.8411.0881.4291.6611.8260.8810.23500.0040.392
Deferred Income Tax -0.042-0.1-0.077-0.131-0.121-0.073-0.084-0.077-0.0440.0150.5460.9140.6793.918000.06100000000000.0030.174
Stock Based Compensation 0.2360.7040.1720.6042.4530.4080.60.1190.0420.1810.2480.3680.850.70.4520.4530.453000000000000
Change In Working Capital 0.376-0.212-0.2080.8830.465-0.230.1370.1140.045-0.0390.116-0.8240.5361.059-0.264-0.50.057-0.406-1.6742.1050.2650.467-0.3410.6290.643-0.428-0.0020.014-0.137
Accounts Receivables -0.004-0.032-0-0.042-0.06-0.04-0.054-0.0130.0010.0630.219-0.029-0.160.086-0.144-0.2-0.001000000000000
Inventory 0000.085-0.025-0.2120.1360.0650.0680.0010.2110.4190.0580.051-0.01-0.1380.029-0.0140.0330.140.0780.2650.1940.2410.2440.17100-0.432
Accounts Payables 0.286-0.160.1230.8380.5470.1650.1740.037-0.034-0.12-0.285-0.2360.2370.1990.133-0.240.127000000000000
Other Working Capital 0.094-0.019-0.330.0020.003-0.143-0.1190.0240.010.017-0.03-0.9790.4010.723-0.2430.077-0.097-0.392-1.7061.9650.1870.202-0.5350.3880.4-0.599-0.0020.0140.295
Other Non Cash Items -1.205-0.849-0.100.019-0.88410.360.029-0.0040.540.233-0.3792.557-1.4552.76432.6971.8371.5771.5711.9981.291.7761.2941.3260.8820.6656.5880.073
Operating Cash Flow 0.4480.2360.8011.2031.1010.0160.3170.427-0.206-0.578-0.497-0.9750.5530.289-0.327-0.513-1.395-1.164-1.6521.416-0.729-0.529-0.435-0.608-2.642-1.494-0.001-0.0990.63
Investing Activities:
Investments In Property Plant And Equipment -0.00700-0.0010-0.016-0.031-0.0290-0.298-0.0040-0.135-0.029-0.057-0.027-0.027-0.011-0.062-0.234-0.066-0.009-0.35-0.168-0.227-0.6340-0.002-0.245
Acquisitions Net 00000.00100.00100.27900000000000-0.050-0.0160000-0.053-0.075
Purchases Of Investments 0000000000000000000000-0.0010-0.401-3.247000
Sales Maturities Of Investments 00000000000.158000000000000.0010.020.3853.134000
Other Investing Activites -0.75-0-1.50000.00100.002-0.298-0.0640.03200000000.0970000.011-0.050.01-0.3130.1060
Investing Cash Flow -0.7570-1.5-0.0010.001-0.016-0.03-0.0290.281-0.2980.1580.032-0.135-0.029-0.057-0.027-0.027-0.011-0.062-0.137-0.116-0.009-0.367-0.137-0.293-0.736-0.3130.051-0.32
Financing Activities:
Debt Repayment 000-0.003-0.01-0.024-0.333-0.006-0.039-0.027-0.022-0.026-0.023-0.0120.01701.1-0.018-0.03200.2110.6010.7930.9352.3000-0.442
Common Stock Issued 0.0040.003000.0360000.180.3750.52500000.92501.2630.3820.2770.57300.00300.51700.31400
Common Stock Repurchased -0.0040-0.1070-0.03600-0.027000000000000000000000
Dividends Paid 0000-0.026-0.16300000000000000000000000
Other Financing Activities 0.00400.020000-0.202000.02500.0420.00100.2380.1640.0570-0.097000-0.24502.451000.202
Financing Cash Flow 00.003-0.087-0.003-0-0.187-0.333-0.2350.1410.3480.528-0.0260.019-0.0110.4011.1631.2641.3020.350.180.7840.6010.7950.6912.8172.4510.3140-0.24
Other Information:
Effect Of Forex Changes On Cash -0.1390.026-0.266-0.0040.0670.032-0.0610.033000000000000000002.230.31400
Net Change In Cash -0.4470.265-1.0521.1951.168-0.156-0.1060.1960.216-0.5270.188-0.970.4370.2490.0170.623-0.1580.126-1.3651.459-0.0610.063-0.006-0.055-0.1192.4510.314-0.0490.07
Cash At End Of Period 1.2852.0521.7872.841.6440.4760.6320.5360.340.1240.6510.4631.4330.9960.7470.730.1070.2650.1381.5030.0440.1040.0410.0480.1030.2210.0010.0010.248