Smith-Midland Corporation

NASDAQ:SMID

33.73 (USD) • At close November 4, 2024
Overview | Financials

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

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Operating Activities:
Net Income 0.7950.87.572.6651.9591.6872.6842.8351.044-0.8050.6920.377-0.3522.4111.8090.4211.252-0.8161.3510.492-1.9010.6011.9940.5930.042-0.7840.264-0.298-1.50.2
Depreciation & Amortization 2.3782.8812.6712.4121.7931.2470.9260.8210.6680.6370.6350.6740.7130.7350.6950.6430.7350.6010.5060.4850.4640.4080.3640.36100.3190.3740.421-0.9-0.4
Deferred Income Tax -0.4340.13-0.5060.5750.4590.1530.5260.574-0.0320.067-0.101-0.2340.1750.4220.0470.0380.062-0.150.074-0.054-0.0440.04400000000
Stock Based Compensation 0.3750.5050.5310.1630.270.2420.4110.4330.0070.039000.0170.0610.0910.14300000000000000
Change In Working Capital 4.963-10.8851.8291.764-0.6225.263-1.431-0.175-1.6441.527-0.4132.182-0.555-2.4980.5930.462-1.3310.134-0.81-0.1960.588-0.408-1.176-0.9010.5080.324-0.362-0.644-1.1-0.2
Accounts Receivables -0.068-6.554-0.2552.861-0.561-3.32-1.62-0.364-2.7023.204-2.5442.6040.957-3.3251.643-0.275000000000000-0.4-0.6
Inventory -1.351-0.973-0.6510.0481.318-0.045-0.937-0.085-0.7680.2130.165-0.164-0.0950.759-0.1790.1990.323-0.5-0.2650.111-0.473-0.3610.424-0.5440-0.0830.102-0.305-1.6-0.2
Accounts Payables 1.523.7450.205-1.314-1.0321.1530.9690.3960.591-0.3650.5960.068-0.460.109-0.9370.366000000000000-0.60.2
Other Working Capital 4.862-7.1032.530.169-0.3477.4750.157-0.1221.235-1.5241.371-0.325-0.957-0.0410.0660.172-1.6540.634-0.544-0.3071.061-0.047-1.6-0.3560.5080.407-0.464-0.3391.50.4
Other Non Cash Items 4.6850.235-2.969-0.0920.073-0.12-0.19-0.494-0.024-0.0390.007-0.11-0.081-0.011-0.064-0.0450.1060.0660.1070.007-0.0060.001-0.0190-0.195-0.1440.250.09320.5
Operating Cash Flow 7.732-6.3349.1267.4873.9328.4722.9263.9940.0191.4260.822.889-0.0831.123.1711.6620.838-0.0121.2280.734-0.8990.6451.1630.0530.355-0.2850.526-0.429-1.50.1
Investing Activities:
Investments In Property Plant And Equipment -5.01-2.749-5.367-2.627-4.871-10.741-2.741-3.745-1.635-0.466-0.909-0.11-0.743-1.175-0.684-0.655-0.58-0.901-0.728-0.285-0.769-0.757-0.404-0.438-0.537-1.238-0.524-0.372-0.2-0.3
Acquisitions Net 0.3460.1180.4890.2350.1620.1320.0460.0580.018000000000000000000000
Purchases Of Investments 00-0.023-0.029-0.032-0.033-0.032-0.024-0.032-0.078-2.0240000000000000000000
Sales Maturities Of Investments 001.247-0.235-0.1620000010000000000000000000
Other Investing Activites 0.3460.1181.7130.2350.1620.1320.0460.0580.0180.0460.0620.1120.0990.0290.0920.0780.020.0140.0470.160.1730.0970.1430.008-0.0140.0080.027-0.0390-0.1
Investing Cash Flow -4.664-2.631-3.654-2.421-4.741-10.642-2.727-3.711-1.649-0.498-1.8710.002-0.643-1.145-0.591-0.577-0.56-0.887-0.681-0.124-0.597-0.66-0.26-0.43-0.551-1.23-0.498-0.411-0.2-0.4
Financing Activities:
Debt Repayment -0.619-0.581-0.793-2.869-2.269-0.66-0.584-2.263-0.531-0.373-2.386-0.414-0.396-0.449-1.097-0.676000000000-3.018-0.368-1.406-1.3-0.7
Common Stock Issued 000000.0120.1170.0830.0690000.1050000.0380.023000.0110.6960.0420.003000000
Common Stock Repurchased 000000000000000000000000000000
Dividends Paid 000-0.282-0.281-0.256-0.0490-0.194-0.174-0.144-0.241000000000000000000
Other Financing Activities 02.780.0495.4852.7771.6420.3013.7660.5180.0552.35-0.6540.5750.1180.0830.671-0.5170.354-0.044-0.810.961-0.4-0.2210.217-0.0254.6420.1931.943.70.6
Financing Cash Flow -0.6192.199-0.7442.3340.2270.726-0.3321.503-0.207-0.492-0.18-0.6540.284-0.332-1.013-0.005-0.4790.378-0.044-0.810.9720.297-0.1790.221-0.0251.624-0.1760.5342.4-0.1
Other Information:
Effect Of Forex Changes On Cash 0000000000000000000000000-0.19-0.00201.70.3
Net Change In Cash 2.449-6.7664.7287.4-0.582-1.444-0.1331.787-1.8370.436-1.2312.237-0.442-0.3571.5671.081-0.2-0.5210.504-0.2-0.5240.2820.724-0.156-0.221-0.081-0.15-0.3052.4-0.1
Cash At End Of Period 9.1756.72613.4928.7641.3641.9463.393.5231.7363.5723.1364.3672.1312.5732.931.3630.2820.4831.0040.50.71.2240.9420.2180.3740.2080.2880.6332.70.4