Pioneer Power Solutions, Inc.

NASDAQ:PPSI

5.87 (USD) • At close November 7, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008
Operating Activities:
Net Income -1.898-3.638-2.167-2.986-1.439-5.664-9.344-1.063-5.881-0.2685.272.992.4712.9465.115-0.004
Depreciation & Amortization 1.4111.1290.4380.4641.4373.3043.0593.0873.1591.6011.5551.5361.0860.7670.3070
Deferred Income Tax 0-0.112-1.219-1.0141.245-0.3292.201-0.405-3.1210.461-1.474-0.153-0.524-0.2160.0020
Stock Based Compensation 1.4711.0020.1860.0030.0120.1650.4660.0620.2310.2260.2280.270.2540.16100
Change In Working Capital -4.962-3.5440.17-0.266-0.773.3530.72-11.764-1.251-3.243-2.349-2.293-0.9730.214-1.0260.004
Accounts Receivables 0.585-8.570.1151.1581.855-1.3732.594-3.56-2.207-1.3220.46-2.288-0.3811.7210.1050
Inventory 0.511-4.589-1.8832.139-1.145-2.118-2.077-8.244-4.84-1.6341.912-1-3.7751.502-0.0820
Accounts Payables 5.3613.670.027-3.352-0.0037.6451.143-1.4676.2561.282-4.0020.5852.3160.075-1.7730
Other Working Capital -11.4195.9451.911-0.211-1.477-0.801-0.941.507-0.46-1.569-0.7190.410.867-3.0840.7230
Other Non Cash Items -2.081-0.4830.2510.186-6.0581.3244.2970.6252.91.318-0.2050.058-0.716-0.5635.1150
Operating Cash Flow -3.895-5.646-2.341-3.613-5.5732.1531.399-9.458-3.9630.0953.0252.4081.5983.3094.3120
Investing Activities:
Investments In Property Plant And Equipment -2.496-1.512-0.2370-0.153-0.589-1.45-0.668-1.052-0.723-2.693-2.069-1.361-1.68-0.3340
Acquisitions Net 000039.9230.7620.0220.05-2.106-0.884-1.6010-7.83-0.83200
Purchases Of Investments 0000000000000000
Sales Maturities Of Investments 0002.436000000000000
Other Investing Activites 06.23400.19439.9230.7620.0220.05-0.243-0.206-0.03-0.3-0.30.20200
Investing Cash Flow -2.4964.722-0.2372.6339.770.173-1.428-0.618-3.401-1.813-4.324-2.369-9.491-2.31-0.3340
Financing Activities:
Debt Repayment -0.355-0.255-0.112-0.67-42.144-44.692-40.993-30.157-5.035-5.316-6.911-3.539-3.786-1.793-4.5460
Common Stock Issued 0.2270.0178.7210000.1204.553-0.0157.872000.1450.006
Common Stock Repurchased 0000000000.9900000.010
Dividends Paid 00-1.04700000000000-2.7060
Other Financing Activities -0.195-0.2418.7211.00715.91441.2841.93640.1165.00120.2130.4552.49612.541-0.386-0.2480
Financing Cash Flow -0.323-0.4797.5620.337-26.23-3.4120.9439.9594.5195.7231.416-1.0438.755-2.039-2.490.006
Other Information:
Effect Of Forex Changes On Cash 00000.0361.079-0.942-0.285-0.339-0.598-0.1590.0730.02-0.004-0.2950
Net Change In Cash -6.714-1.4034.132-0.6468.002-0.007-0.028-0.402-3.1843.407-0.042-0.9310.882-1.0441.1930.006
Cash At End Of Period 3.58210.29611.6997.5678.2130.2110.2180.2460.6483.8320.4250.4671.3980.5161.560.006