SANUWAVE Health, Inc.

OTC:SNWV

0.0125 (USD) • At close November 17, 2023
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006
Operating Activities:
Net Income -25.807-10.293-27.259-30.937-10.43-11.631-5.538-6.439-4.81-5.974-11.955-6.401-10.239-14.922-7.984-0.027-0.0360.022
Depreciation & Amortization 1.0280.9521.2361.0120.0710.0220.0240.3270.310.3210.3260.3270.3261.1360.672000
Deferred Income Tax 0.0040.0020.02811.245-0.188-0.1150.0582.5060-0.4743.439-0.0311.3572.873-0.005000
Stock Based Compensation 0.2240.88800.0220.3332.4810.7680.5480.5050.1350.7921.3911.1193.0381.078000
Change In Working Capital 2.7-1.1198.211.3661.7130.7981.858-0.4960.674-1.4360.280.415-1.5611.2080.011-0.0150.014-0.026
Accounts Receivables -0.053-1.748-0.395-2.582-0.009-0.0230.251-0.4130.0180.082-0.0510.024-0.024-0.0640.048000
Inventory -3.006-0.0721.916-0.553-0.185-0.123-0.007-0.029-0.013-0.0260.0470.1040.0670.1290.092000
Accounts Payables 1.546-2.553.1813.015-0.1390.2760.7840.2040.277-0.7030.379-0.201-1.0730.760.094-0.0140.014-0.028
Other Working Capital 4.2133.2513.5081.4862.0450.6670.831-0.2580.392-0.789-0.0940.488-0.5310.383-0.223-0.001-00.002
Other Non Cash Items 18.1-6.2388.5164.5742.094.8241.3010.355-0.1520.753.1930.0090.1670.8-0.044000
Operating Cash Flow -4.538-17.169-6.409-12.718-6.411-3.621-1.529-3.199-3.473-6.678-3.924-4.29-8.832-5.867-6.272-0.042-0.022-0.004
Investing Activities:
Investments In Property Plant And Equipment 01.022-0.529-0.053-0.054-0.0430-0.010-0.0090-0.002-0.0420-0.01000
Acquisitions Net 0.0210.3320-200000.0020.1000000000
Purchases Of Investments 000000000000000000
Sales Maturities Of Investments 000000000000000000
Other Investing Activites 0.021-1.022000000.0020.100.008000.0073.612000
Investing Cash Flow 0.0210.332-0.529-20.053-0.054-0.0430-0.0090.1-0.0090.008-0.002-0.0420.0073.601000
Financing Activities:
Debt Repayment -5.211-3.218-0.692-5.6-0.059-0.241-0.04-0.3660-0.544-0.33-0.005-0.001000-0.0030
Common Stock Issued 00.1021.4562.80.04103.19309.4632.2190.0258.4672.0521.82000.032
Common Stock Repurchased 00000000000000-0.18000
Dividends Paid 000000000000000000
Other Financing Activities 10.42220.5025.81317.5925.1193.5592.1573.57401.1532.1460.433.92.452.0550.04-0.0030
Financing Cash Flow 5.21117.3845.12133.4487.863.3182.1173.208010.0714.0350.4512.3664.5023.6950.04-0.0030.032
Other Information:
Effect Of Forex Changes On Cash -0.05-0.013-0.001-00.001-0.0190.008-0.019-0.021-0.019-0.0060.003-0-0.0110.219000
Net Change In Cash 0.6440.534-1.8180.6771.396-0.3660.597-0.019-3.3943.3650.112-3.8393.492-1.3691.243-0.002-0.0250.028
Cash At End Of Period 1.7971.1530.6192.4371.760.3650.730.1340.1533.5470.1820.073.9090.4171.7860.0030.0050.03