TOMI Environmental Solutions, Inc.

NASDAQ:TOMZ

0.778 (USD) • At close November 12, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820062005
Operating Activities:
Net Income -3.403-2.88-4.4354.391-2.298-3.23-3.64-3.157-12.1760.268-5.658-1.75-0.825-1.53913.66-22.746-0.023-0.023
Depreciation & Amortization 0.3820.4970.4940.9190.9050.6350.6070.5860.4990.470.3180.0410.070.0860.0940.03300
Deferred Income Tax 0.100.8730.18-0.19-0.10.2-0.0124.1961.350.6540.1790.01801.239000
Stock Based Compensation 0.3130.7080.3153.1810.1590.0320.6350.6151.7062.5650.630.020.05300.373000
Change In Working Capital -0.860.346-1.002-4.0930.5910.914-0.279-3.161-1.358-0.285-0.448-0.1770.0810.3280.5770.6750.0110.01
Accounts Receivables 0.32-0.8080.464-2.5020.841-0.11-0.515-0.362-0.9810.327-0.59-0.21600.006-0.007-0.00500
Inventory -0.1310.152-0.962-1.3890.3480.6290.205-2.756-0.634-0.508-0.4080000000
Accounts Payables -0.4950.708-0.4470.788-0.420.3820.016-0.2860.4761.655157.8610.0090.1430000.0110.01
Other Working Capital -0.5540.293-0.057-0.99-0.1770.0130.0150.242-0.213-61.759-157.3120.03-0.0620.3230.5840.6800
Other Non Cash Items 0.0190.1490.2280.050.063-0.0170.0440.6255.479-5.4953.1991.3010.2740.847-16.35721.31600
Operating Cash Flow -3.599-1.234-3.8244.578-0.814-1.767-2.432-4.505-1.654-1.127-1.306-0.386-0.329-0.278-0.414-0.721-0.012-0.013
Investing Activities:
Investments In Property Plant And Equipment -0.217-0.241-0.639-0.401-0.293-0.628-0.015-0.475-0.08-0.082-3.461-0.0480-0.046-0.02-0.51700
Acquisitions Net 00000000.0120000-0.00600000
Purchases Of Investments 00000000000000-4.802000
Sales Maturities Of Investments 00000000000003.5630000
Other Investing Activites -0.119-0.041-0.1270-0.148000.01200-3.28800.020.1210000
Investing Cash Flow -0.217-0.241-0.639-0.401-0.293-0.628-0.015-0.463-0.08-0.082-3.461-0.0480.0143.637-4.821-0.51700
Financing Activities:
Debt Repayment 000000000000000000
Common Stock Issued 00.0254.5820.214000.04908.7350.7651.0410.4450.1280.3251.951.4990.0130.01
Common Stock Repurchased 0000000000000-3.6030-0.00700
Dividends Paid 000000000000000000
Other Financing Activities 00.0254.5820.411006.04900.055-0.1024.3590.1650.1350.1692.9310.1100
Financing Cash Flow 2.2880.0254.5820.1240-0.156.04907.490.6635.40.5080.254-3.3124.8811.6030.0130.01
Other Information:
Effect Of Forex Changes On Cash -2.28800-000-000000000000
Net Change In Cash -1.528-1.4510.1194.302-1.108-2.5453.602-4.9685.756-0.5460.6330.073-0.0610.048-0.3550.3650.002-0.003
Cash At End Of Period 2.3393.8675.3175.1990.8972.0054.550.9485.9160.1610.7060.07300.0610.0130.3680.0020