SCI Engineered Materials, Inc.

OTC:SCIA

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

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Operating Activities:
Net Income 1.8612.1941.9571.6791.5020.3050.9080.006-0.706-0.149-0.22-0.288-0.326-0.8910.017-0.4970.1250.3330.302-0.333-1.1-0.721-0.4070.06-0.154-0.15
Depreciation & Amortization 0.4740.470.5190.5170.5330.5030.4530.470.4550.4480.5150.5730.5880.5770.4910.4470.3740.2920.220.2030.2020.2150.2320.2210.2630.269
Deferred Income Tax 0.0520.2210.5130.355-1.0190.0030.0010-0.0130.020.003-0.1040.0310.156-0.01-0.156-0.002-0.06100000000
Stock Based Compensation 0.0440.0450.0490.0480.1250.130.1490.2020.1730.2160.1730.1350.1370.1150.2030.3810.0770.05700000000
Change In Working Capital -0.063-0.643-0.6070.338-0.15-0.4010.168-0.050.2390.1050.2650.058-0.0350.032-0.141-0.027-0.0840.311-0.595-0.2620.3140.280.118-0.028-0.224-0.028
Accounts Receivables 0.135-0.015-0.364-0.072-0.1110.129-0.142-0.0640.0420.1550.166-0.1510.0340.165-0.1190.016-0.2910.20700000000
Inventory 3.222-2.474-1.090.1061.5660.012-2.109-0.2290.1841.242-0.025-0.930.1880.291-0.3130.232-0.4740.426-0.116-0.023-0.0060.1370.114-0.217-0.103-0.062
Accounts Payables 0.034-0.1290.2640.103-0.107-0.0670.0140.156-0.04-0.233-0.0320.196-0.103-0.210.310.0140.089-0.13700000000
Other Working Capital -3.4541.9750.5830.201-1.499-0.4752.4060.0880.053-1.0590.1560.942-0.154-0.214-0.019-0.2890.593-0.186-0.479-0.2390.3190.1440.0040.19-0.1210.034
Other Non Cash Items 0.001-0.006-0.033-0.3270.001-0.008-0.026-0.0120.012-0.1360.0570.0350.0420.00700.114-0.0330.063-0.0030.0270.170.0350.057-0.0360.0190.016
Operating Cash Flow 2.372.2812.3982.6110.9910.5321.6530.6160.1610.5030.7920.4090.437-0.0030.5610.2620.4570.995-0.076-0.365-0.414-0.19100.217-0.0950.108
Investing Activities:
Investments In Property Plant And Equipment -0.5-0.454-0.536-0.706-0.079-0.381-0.381-0.104-0.09-0.049-0.059-0.04-0.588-1.095-0.225-0.168-0.142-0.308-0.334-0.077-0.438-0.157-0.089-0.227-0.107-0.066
Acquisitions Net 000.0310.0180.0030.001000.00200000000000000000
Purchases Of Investments -2.25-1.009-1.98900000000000000000000000
Sales Maturities Of Investments 1.50.989-0.03100000000000000000000000
Other Investing Activites 0.0090.0160.0310.0180.0030.001000.00200.0020.075000.01100.0020.01900.0020.0020.0060.037000
Investing Cash Flow -1.241-0.458-2.494-0.688-0.076-0.38-0.381-0.104-0.088-0.049-0.0580.035-0.588-1.095-0.215-0.168-0.14-0.288-0.334-0.075-0.436-0.151-0.052-0.227-0.107-0.066
Financing Activities:
Debt Repayment -0.049-0.097-0.097-0.160.198-0.118-0.376-0.321-0.344-0.444-0.396-0.452-0.0170.367-0.452-0.382-0.137-0.178-0.0630.0630.0620.560.008-0.051-0.1060.038
Common Stock Issued 000000.0150.0100.00400.050000000.0370.0121.3490.711000.0020.6080
Common Stock Repurchased 00000-0.01500000000000-0.032-0.05200000-0.070
Dividends Paid 000-0.539-0.024-0.024-0.02400-0.024000-0.0240-0.024-0.04100000-0.025-0.025-0.027-0.084
Other Financing Activities 000000.0150.0100.00400000.0410.510.0210.078000000000
Financing Cash Flow -0.049-0.097-0.097-0.6990.174-0.127-0.39-0.321-0.34-0.468-0.345-0.452-0.0170.3840.058-0.385-0.1-0.173-0.1031.4120.7730.56-0.017-0.0740.405-0.046
Other Information:
Effect Of Forex Changes On Cash 0000000000000000000000000.202-0.041
Net Change In Cash 1.0791.726-0.1931.2231.0890.0260.8820.19-0.267-0.0150.389-0.008-0.167-0.7140.405-0.2920.2170.534-0.5130.971-0.0770.218-0.069-0.0840.405-0.046
Cash At End Of Period 6.7535.6743.9484.1412.9181.8281.8030.9210.730.9971.0120.6230.6310.7981.5121.1071.3991.1820.6481.1610.190.2670.0490.1180.202-0.041