Taitron Components Incorporated

NASDAQ:TAIT

2.81 (USD) • At close September 18, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Operating Activities:
Net Income 1.8453.2082.011.3590.8061.370.696-3.118-0.595-1.138-0.965-0.771-0.633-0.363-0.929-0.786-1.406-0.029-0.205-0.248-0.387-0.68-1.2541.66311.51.92.24.31.80.7
Depreciation & Amortization 0.1670.1350.180.1860.1780.1610.2030.1750.1550.1550.1880.2120.1860.2270.2260.2480.280.2340.2360.3380.4260.5610.570.5060.40.30.30.10.20.10.1
Deferred Income Tax 0.004-2.0470.134-1.12900.0080.0053.940.9690.880.8850.90.0200000000.220.3080.221-0.1980.3-0.1-0.1-0.2-0.3-0.10
Stock Based Compensation 0.0130.0230.0290.0270.0210.0080.0030.0010.0240.0230.0260.0190.0110.0110.0250.023000000000000000
Change In Working Capital 1.849-0.303-0.3881.7091.6660.379-1.0460.248-0.3030.5050.1040.531-0.717-0.6061.3150.266-0.7230.7051.1910.8644.5963.3451.833-1.8624.32.7-2.6-15.7-8.3-4.6-2.4
Accounts Receivables 0.5910.217-0.2620.378-0.1260.066-0.935-0.0190.147-0.0260.331-0.3710.306-0.2380.3040.338000000000000000
Inventory 1.2311.184-1.8761.2042.3050.213-0.1150.32-1.1290.765-0.0650.915-0.987-0.7071.0190.296-0.4790.5081.0860.8784.1113.1661.939-1.4565.70.9-0.6-7.4-15.5-5.5-2.2
Accounts Payables -0.017-1.6021.403-0.052-0.510.124-0.009-0.1820.64-0.174-0.1-0.125-0.0780.256-0.207-0.496000000000000000
Other Working Capital 0.044-0.1020.3470.179-0.003-0.0240.0130.1290.039-0.06-0.0620.1120.0420.0830.1990.128-0.2440.1970.105-0.0140.4850.179-0.106-0.406-1.41.8-2-8.37.20.9-0.2
Other Non Cash Items -0.7280.675-0.163-0.1-1.2580.3680.5270.0010.0240.5540.0260.0190.60.6320.6390.7481.5710.6280.5760.7570.0690.7391.28300.1-0.20-0.10.10.1-0.1
Operating Cash Flow 3.151.6911.8022.0521.4132.2940.3881.2470.2740.9790.2640.91-0.533-0.0991.2760.499-0.2781.5381.7981.7114.9244.2732.6530.1096.14.2-0.5-13.7-4-2.8-1.7
Investing Activities:
Investments In Property Plant And Equipment -0.215-0.002-0.018-0.017-0.017-0.005-0.037-0.004-0.037-0.014-0.02-0.02-0.031-0.065-0.045-0.032-0.078-0.202-0.031-0.123-0.019-0.06-0.133-1.319-3.9-1-1-0.2-0.2-0.1-0.7
Acquisitions Net 0.2150.0021.35200.2000000.01900000000000000000000
Purchases Of Investments -7.835-1.234-1.5660-0.1860-0.09300-0.245-0.146-0.35-0.637000-0.45300000000000000
Sales Maturities Of Investments 7.0390.2680.1530-0.2000000.14700000000000000000000
Other Investing Activites -0.215-0.002-1.505-0.0170.2-0.005-0.093-0.004-0.037-0.245-0.019-0.35-0.668-0.065-0.032-0.032-0.255-1.2300.0061.793-0.060.00700-0.200000
Investing Cash Flow -1.011-0.968-1.584-0.017-0.003-0.005-0.13-0.004-0.037-0.259-0.019-0.37-0.668-0.065-0.077-0.032-0.786-1.432-0.031-0.1171.774-0.06-0.126-1.319-3.9-1.2-1-0.2-0.2-0.1-0.7
Financing Activities:
Debt Repayment 000-0.1630-0.5-0.5-0.5000000-0.421-0.089000000000000000
Common Stock Issued 0.0540.2080.0760.0850.1260.060.040000000000.0640.0240.0020.02700.1190.0550.1000011.30.60.3
Common Stock Repurchased 000-0.2480000-0.0160000000000-0.322-0.199-0.057-0.315-0.495-0.7-0.8-1.50000
Dividends Paid -1.202-1.703-0.965-0.84-0.717-0.589-0.554-0.414000000-0.276-0.277-0.55200000000000000
Other Financing Activities 0.054-0.6650.0760.5740.1260.060.04-0.5000000.50.50.502-0.0880.598-0.326-3.737-3.886-4.149-2.2671.59-1.6-2.12.913-62.32.1
Financing Cash Flow -1.148-1.495-0.889-0.592-0.591-1.029-1.014-0.914-0.01600000.5-0.1970.136-0.5760.622-0.324-4.032-4.085-4.087-2.5271.195-2.3-2.91.4135.32.92.4
Other Information:
Effect Of Forex Changes On Cash -0.0030.015-0.007-0.1040-0.016-0.012-0.0030.0010.0260.0040.030.011-0.0090.0040.0480.0240.037-0.020.0240.0140.018-0.0080.0690-3-0.113.94.200
Net Change In Cash 0.988-0.757-0.6781.3390.8191.244-0.7680.3260.2220.7460.2490.57-1.190.3271.0060.651-1.6160.7651.423-2.4142.6270.144-0.0080.054-0.1-2.9-0.2135.300
Cash At End Of Period 6.2055.2175.9746.6525.3134.4943.254.0183.6923.472.7242.4751.9053.0952.7681.7621.1112.7271.9620.5392.9530.3260.1820.190.3-2.70.114.15.40.10