US Stock MarketDetailed Quotes

DMTK DermTech

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  • 0.644
  • +0.053+8.97%
Close Apr 19 16:00 ET
  • 0.650
  • +0.006+0.92%
Post 18:48 ET
22.30MMarket Cap-208P/E (TTM)

DermTech Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
19.19%-76.98M
40.15%-12.71M
23.22%-19.04M
4.94%-23.2M
11.26%-22.03M
-53.38%-95.26M
6.39%-21.23M
-55.99%-24.8M
-90.51%-24.41M
-131.64%-24.82M
Net income from continuing operations
13.54%-100.89M
32.36%-19.09M
33.39%-19.16M
-6.03%-31.36M
-3.86%-31.27M
-48.95%-116.68M
-8.33%-28.22M
-43.06%-28.77M
-72.96%-29.58M
-99.81%-30.11M
Operating gains losses
-92.90%13K
107.32%3K
-106.56%-4K
-80.00%36K
-29.41%-22K
-83.41%183K
84.23%-41K
136.09%61K
214.65%180K
-101.01%-17K
Depreciation and amortization
31.08%5.85M
-9.36%1.35M
22.55%1.35M
38.48%1.48M
107.31%1.67M
94.25%4.46M
102.59%1.49M
89.66%1.1M
119.30%1.07M
62.70%807K
Change In working capital
100.43%11K
893.27%2.07M
-95.49%-4.24M
-39.71%-672K
2,654.46%2.86M
-113.89%-2.56M
117.11%208K
-3,518.33%-2.17M
-315.70%-481K
21.13%-112K
-Change in receivables
588.62%1.59M
-47.07%1.02M
287.05%260K
81.90%-175K
141.99%482K
86.27%-325K
287.65%1.93M
78.08%-139K
-192.15%-967K
-206.95%-1.15M
-Change in inventory
158.97%753K
152.46%192K
280.49%156K
133.18%222K
164.66%183K
-239.63%-1.28M
-553.57%-366K
-43.84%41K
-206.88%-669K
-61.71%-283K
-Change in prepaid assets
333.59%1.81M
130.88%628K
60.82%-599K
-67.59%187K
1,793.62%1.59M
54.47%-774K
117.04%272K
-497.27%-1.53M
541.11%577K
-251.61%-94K
-Change in payables and accrued expense
-208.08%-3.08M
-174.17%-1.4M
-334.52%-2.36M
-123.83%-479K
626.09%1.17M
-39.29%2.85M
-40.21%1.89M
-20.13%1.01M
-91.07%-214K
-57.07%161K
-Change in other current liabilities
----
----
95.96%-83K
32.64%-258K
16.24%-227K
----
----
-156.23%-2.06M
-20.44%-383K
-2,610.00%-271K
-Change in other working capital
64.99%-1.06M
117.03%1.06M
-420.87%-1.61M
-114.38%-169K
-122.19%-338K
---3.03M
---6.23M
69.36%503K
5.67%1.18M
7,715.00%1.52M
Cash from discontinued investing activities
Operating cash flow
19.19%-76.98M
40.15%-12.71M
23.22%-19.04M
4.94%-23.2M
11.26%-22.03M
-53.38%-95.26M
6.39%-21.23M
-55.99%-24.8M
-90.51%-24.41M
-131.64%-24.82M
Investing cash flow
Cash flow from continuing investing activities
791.46%29.86M
245.95%12.24M
2,837.55%12.76M
9,160.99%13.06M
-8.77%-8.19M
65.48%-4.32M
178.24%3.54M
93.87%-466K
179.21%141K
-3,403.72%-7.53M
Net PPE purchase and sale
72.71%-902K
108.43%163K
-308.33%-49K
63.73%-259K
-17.18%-757K
-21.51%-3.31M
-83.05%-1.93M
98.33%-12K
23.39%-714K
-5,283.33%-646K
Net investment purchase and sale
3,134.12%30.77M
120.76%12.08M
2,920.70%12.81M
1,457.54%13.32M
-7.99%-7.44M
89.64%-1.01M
257.83%5.47M
93.40%-454K
13.40%855K
-3,292.61%-6.89M
Cash from discontinued investing activities
Investing cash flow
791.46%29.86M
245.95%12.24M
2,837.55%12.76M
9,160.99%13.06M
-8.77%-8.19M
65.48%-4.32M
178.24%3.54M
93.87%-466K
179.21%141K
-3,403.72%-7.53M
Financing cash flow
Cash flow from continuing financing activities
562.92%6.08M
27.27%-24K
67.67%726K
44,710.00%4.46M
73.81%916K
-99.60%917K
-232.00%-33K
-55.41%433K
-100.04%-10K
-99.74%527K
Net issuance payments of debt
16.79%-114K
27.27%-24K
22.73%-34K
-70.00%-34K
45.00%-22K
19.88%-137K
63.74%-33K
-62.96%-44K
23.08%-20K
-48.15%-40K
Net common stock issuance
--5.25M
--0
--483K
--4.5M
--270K
--0
--0
--0
--0
--0
Proceeds from stock option exercised by employees
-10.34%945K
--0
-41.93%277K
--0
17.81%668K
-98.54%1.05M
--0
-52.20%477K
-94.82%10K
-99.20%567K
Cash from discontinued financing activities
Financing cash flow
562.92%6.08M
27.27%-24K
67.67%726K
44,710.00%4.46M
73.81%916K
-99.60%917K
-232.00%-33K
-55.41%433K
-100.04%-10K
-99.74%527K
Net cash flow
Beginning cash position
-54.84%81.25M
-58.88%40.7M
-62.64%46.26M
-64.92%51.94M
-54.84%81.25M
641.95%179.91M
-52.21%98.97M
-46.08%123.8M
-32.26%148.08M
641.95%179.91M
Current changes in cash
58.41%-41.04M
97.25%-488K
77.61%-5.56M
76.59%-5.68M
7.93%-29.31M
-163.38%-98.66M
34.79%-17.72M
-10.26%-24.83M
-320.40%-24.28M
-116.38%-31.83M
End cash Position
-50.51%40.21M
-50.51%40.21M
-58.88%40.7M
-62.64%46.26M
-64.92%51.94M
-54.84%81.25M
-54.84%81.25M
-52.21%98.97M
-46.08%123.8M
-32.26%148.08M
Free cash flow
20.99%-77.88M
45.84%-12.54M
23.06%-19.09M
6.61%-23.46M
10.54%-22.79M
-52.05%-98.57M
2.41%-23.16M
-49.31%-24.81M
-82.78%-25.12M
-137.41%-25.47M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 19.19%-76.98M40.15%-12.71M23.22%-19.04M4.94%-23.2M11.26%-22.03M-53.38%-95.26M6.39%-21.23M-55.99%-24.8M-90.51%-24.41M-131.64%-24.82M
Net income from continuing operations 13.54%-100.89M32.36%-19.09M33.39%-19.16M-6.03%-31.36M-3.86%-31.27M-48.95%-116.68M-8.33%-28.22M-43.06%-28.77M-72.96%-29.58M-99.81%-30.11M
Operating gains losses -92.90%13K107.32%3K-106.56%-4K-80.00%36K-29.41%-22K-83.41%183K84.23%-41K136.09%61K214.65%180K-101.01%-17K
Depreciation and amortization 31.08%5.85M-9.36%1.35M22.55%1.35M38.48%1.48M107.31%1.67M94.25%4.46M102.59%1.49M89.66%1.1M119.30%1.07M62.70%807K
Change In working capital 100.43%11K893.27%2.07M-95.49%-4.24M-39.71%-672K2,654.46%2.86M-113.89%-2.56M117.11%208K-3,518.33%-2.17M-315.70%-481K21.13%-112K
-Change in receivables 588.62%1.59M-47.07%1.02M287.05%260K81.90%-175K141.99%482K86.27%-325K287.65%1.93M78.08%-139K-192.15%-967K-206.95%-1.15M
-Change in inventory 158.97%753K152.46%192K280.49%156K133.18%222K164.66%183K-239.63%-1.28M-553.57%-366K-43.84%41K-206.88%-669K-61.71%-283K
-Change in prepaid assets 333.59%1.81M130.88%628K60.82%-599K-67.59%187K1,793.62%1.59M54.47%-774K117.04%272K-497.27%-1.53M541.11%577K-251.61%-94K
-Change in payables and accrued expense -208.08%-3.08M-174.17%-1.4M-334.52%-2.36M-123.83%-479K626.09%1.17M-39.29%2.85M-40.21%1.89M-20.13%1.01M-91.07%-214K-57.07%161K
-Change in other current liabilities --------95.96%-83K32.64%-258K16.24%-227K---------156.23%-2.06M-20.44%-383K-2,610.00%-271K
-Change in other working capital 64.99%-1.06M117.03%1.06M-420.87%-1.61M-114.38%-169K-122.19%-338K---3.03M---6.23M69.36%503K5.67%1.18M7,715.00%1.52M
Cash from discontinued investing activities
Operating cash flow 19.19%-76.98M40.15%-12.71M23.22%-19.04M4.94%-23.2M11.26%-22.03M-53.38%-95.26M6.39%-21.23M-55.99%-24.8M-90.51%-24.41M-131.64%-24.82M
Investing cash flow
Cash flow from continuing investing activities 791.46%29.86M245.95%12.24M2,837.55%12.76M9,160.99%13.06M-8.77%-8.19M65.48%-4.32M178.24%3.54M93.87%-466K179.21%141K-3,403.72%-7.53M
Net PPE purchase and sale 72.71%-902K108.43%163K-308.33%-49K63.73%-259K-17.18%-757K-21.51%-3.31M-83.05%-1.93M98.33%-12K23.39%-714K-5,283.33%-646K
Net investment purchase and sale 3,134.12%30.77M120.76%12.08M2,920.70%12.81M1,457.54%13.32M-7.99%-7.44M89.64%-1.01M257.83%5.47M93.40%-454K13.40%855K-3,292.61%-6.89M
Cash from discontinued investing activities
Investing cash flow 791.46%29.86M245.95%12.24M2,837.55%12.76M9,160.99%13.06M-8.77%-8.19M65.48%-4.32M178.24%3.54M93.87%-466K179.21%141K-3,403.72%-7.53M
Financing cash flow
Cash flow from continuing financing activities 562.92%6.08M27.27%-24K67.67%726K44,710.00%4.46M73.81%916K-99.60%917K-232.00%-33K-55.41%433K-100.04%-10K-99.74%527K
Net issuance payments of debt 16.79%-114K27.27%-24K22.73%-34K-70.00%-34K45.00%-22K19.88%-137K63.74%-33K-62.96%-44K23.08%-20K-48.15%-40K
Net common stock issuance --5.25M--0--483K--4.5M--270K--0--0--0--0--0
Proceeds from stock option exercised by employees -10.34%945K--0-41.93%277K--017.81%668K-98.54%1.05M--0-52.20%477K-94.82%10K-99.20%567K
Cash from discontinued financing activities
Financing cash flow 562.92%6.08M27.27%-24K67.67%726K44,710.00%4.46M73.81%916K-99.60%917K-232.00%-33K-55.41%433K-100.04%-10K-99.74%527K
Net cash flow
Beginning cash position -54.84%81.25M-58.88%40.7M-62.64%46.26M-64.92%51.94M-54.84%81.25M641.95%179.91M-52.21%98.97M-46.08%123.8M-32.26%148.08M641.95%179.91M
Current changes in cash 58.41%-41.04M97.25%-488K77.61%-5.56M76.59%-5.68M7.93%-29.31M-163.38%-98.66M34.79%-17.72M-10.26%-24.83M-320.40%-24.28M-116.38%-31.83M
End cash Position -50.51%40.21M-50.51%40.21M-58.88%40.7M-62.64%46.26M-64.92%51.94M-54.84%81.25M-54.84%81.25M-52.21%98.97M-46.08%123.8M-32.26%148.08M
Free cash flow 20.99%-77.88M45.84%-12.54M23.06%-19.09M6.61%-23.46M10.54%-22.79M-52.05%-98.57M2.41%-23.16M-49.31%-24.81M-82.78%-25.12M-137.41%-25.47M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

Analysis

Analyst Rating

No Data

Price Target

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