US Stock MarketDetailed Quotes

PONGF ATARI

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  • 0.140000
  • +0.020000+16.67%
15min DelayClose Apr 18 16:00 ET
61.48MMarket Cap-6086P/E (TTM)

ATARI Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(FY)Mar 31, 2019
(FY)Mar 31, 2018
(FY)Mar 31, 2017
(FY)Mar 31, 2016
(FY)Mar 31, 2015
(FY)Mar 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
60.08%-9.5M
-100.00%-23.8M
-695.00%-11.9M
-25.93%2M
17.39%2.7M
-70.13%2.3M
7,800.00%7.7M
-108.33%-100K
148.00%1.2M
52.83%-2.5M
Deferred tax
----
----
--0
--0
---1.3M
--0
--0
28.57%-500K
---700K
----
Other non cash items
250.00%300K
92.31%-200K
-18.18%-2.6M
-100.00%-2.2M
8.33%-1.1M
82.35%-1.2M
-950.00%-6.8M
300.00%800K
-94.87%200K
85.71%3.9M
Change In working capital
-292.86%-5.4M
180.00%2.8M
39.66%-3.5M
-728.57%-5.8M
-200.00%-700K
16.67%700K
122.22%600K
-170.00%-2.7M
-133.33%-1M
-6.25%3M
-Change in receivables
-104.17%-100K
284.62%2.4M
-360.00%-1.3M
-16.67%500K
-82.35%600K
342.86%3.4M
73.58%-1.4M
-1,666.67%-5.3M
-50.00%-300K
-140.00%-200K
-Change in inventory
138.64%1.7M
-131.58%-4.4M
-280.00%-1.9M
---500K
--0
---200K
--0
--0
--0
--0
-Change in other current assets
-159.52%-2.5M
380.00%4.2M
82.35%-1.5M
-844.44%-8.5M
47.06%-900K
-440.00%-1.7M
-79.17%500K
580.00%2.4M
-225.00%-500K
-80.00%400K
Cash from discontinued investing activities
Operating cash flow
-45.61%-8.3M
-23.91%-5.7M
-518.18%-4.6M
-76.09%1.1M
6.98%4.6M
38.71%4.3M
720.00%3.1M
-150.00%-500K
-108.70%-200K
195.83%2.3M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
--0
--0
--0
--0
--0
--0
--0
--0
----
----
Net intangibles purchase and sale
-30.23%-5.6M
6.52%-4.3M
52.08%-4.6M
-35.21%-9.6M
-33.96%-7.1M
-35.90%-5.3M
0.00%-3.9M
-39.29%-3.9M
9.68%-2.8M
---3.1M
Net investment purchase and sale
--0
-106.25%-100K
1,500.00%1.6M
200.00%100K
75.00%-100K
85.71%-400K
---2.8M
--0
----
-103.33%-200K
Net other investing changes
----
----
0.00%-100K
---100K
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-27.27%-5.6M
-41.94%-4.4M
67.71%-3.1M
-33.33%-9.6M
-26.32%-7.2M
14.93%-5.7M
-71.79%-6.7M
-39.29%-3.9M
15.15%-2.8M
-237.50%-3.3M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-47.06%2.7M
950.00%5.1M
-175.00%-600K
--800K
--0
149.06%2.6M
---5.3M
--0
-83.67%800K
248.48%4.9M
Net common stock issuance
400.00%12M
-71.43%2.4M
950.00%8.4M
-90.12%800K
575.00%8.1M
-86.67%1.2M
246.15%9M
160.00%2.6M
--1M
----
Net other financing activities
----
----
----
50.00%-100K
33.33%-200K
-200.00%-300K
-200.00%-100K
200.00%100K
---100K
----
Cash from discontinued financing activities
Financing cash flow
96.00%14.7M
-3.85%7.5M
420.00%7.8M
-81.01%1.5M
125.71%7.9M
2.94%3.5M
78.95%3.4M
35.71%1.9M
-71.43%1.4M
236.11%4.9M
Net cash flow
Beginning cash position
-76.00%600K
38.89%2.5M
-78.82%1.8M
174.19%8.5M
181.82%3.1M
-8.33%1.1M
-67.57%1.2M
-36.21%3.7M
190.00%5.8M
-62.96%2M
Current changes in cash
130.77%800K
-2,700.00%-2.6M
101.43%100K
-232.08%-7M
152.38%5.3M
1,150.00%2.1M
92.00%-200K
-56.25%-2.5M
-141.03%-1.6M
208.33%3.9M
Effect of exchange rate changes
-71.43%200K
16.67%700K
500.00%600K
0.00%100K
--100K
--0
0.00%100K
120.00%100K
---500K
----
End cash Position
183.33%1.7M
-76.00%600K
38.89%2.5M
-78.82%1.8M
174.19%8.5M
181.82%3.1M
-8.33%1.1M
-67.57%1.2M
-36.21%3.7M
190.00%5.8M
Free cash flow
-41.00%-14.1M
-8.70%-10M
-8.24%-9.2M
-240.00%-8.5M
-150.00%-2.5M
-25.00%-1M
81.82%-800K
-46.67%-4.4M
-275.00%-3M
66.67%-800K
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(FY)Mar 31, 2019(FY)Mar 31, 2018(FY)Mar 31, 2017(FY)Mar 31, 2016(FY)Mar 31, 2015(FY)Mar 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 60.08%-9.5M-100.00%-23.8M-695.00%-11.9M-25.93%2M17.39%2.7M-70.13%2.3M7,800.00%7.7M-108.33%-100K148.00%1.2M52.83%-2.5M
Deferred tax ----------0--0---1.3M--0--028.57%-500K---700K----
Other non cash items 250.00%300K92.31%-200K-18.18%-2.6M-100.00%-2.2M8.33%-1.1M82.35%-1.2M-950.00%-6.8M300.00%800K-94.87%200K85.71%3.9M
Change In working capital -292.86%-5.4M180.00%2.8M39.66%-3.5M-728.57%-5.8M-200.00%-700K16.67%700K122.22%600K-170.00%-2.7M-133.33%-1M-6.25%3M
-Change in receivables -104.17%-100K284.62%2.4M-360.00%-1.3M-16.67%500K-82.35%600K342.86%3.4M73.58%-1.4M-1,666.67%-5.3M-50.00%-300K-140.00%-200K
-Change in inventory 138.64%1.7M-131.58%-4.4M-280.00%-1.9M---500K--0---200K--0--0--0--0
-Change in other current assets -159.52%-2.5M380.00%4.2M82.35%-1.5M-844.44%-8.5M47.06%-900K-440.00%-1.7M-79.17%500K580.00%2.4M-225.00%-500K-80.00%400K
Cash from discontinued investing activities
Operating cash flow -45.61%-8.3M-23.91%-5.7M-518.18%-4.6M-76.09%1.1M6.98%4.6M38.71%4.3M720.00%3.1M-150.00%-500K-108.70%-200K195.83%2.3M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale --0--0--0--0--0--0--0--0--------
Net intangibles purchase and sale -30.23%-5.6M6.52%-4.3M52.08%-4.6M-35.21%-9.6M-33.96%-7.1M-35.90%-5.3M0.00%-3.9M-39.29%-3.9M9.68%-2.8M---3.1M
Net investment purchase and sale --0-106.25%-100K1,500.00%1.6M200.00%100K75.00%-100K85.71%-400K---2.8M--0-----103.33%-200K
Net other investing changes --------0.00%-100K---100K------------------------
Cash from discontinued investing activities
Investing cash flow -27.27%-5.6M-41.94%-4.4M67.71%-3.1M-33.33%-9.6M-26.32%-7.2M14.93%-5.7M-71.79%-6.7M-39.29%-3.9M15.15%-2.8M-237.50%-3.3M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -47.06%2.7M950.00%5.1M-175.00%-600K--800K--0149.06%2.6M---5.3M--0-83.67%800K248.48%4.9M
Net common stock issuance 400.00%12M-71.43%2.4M950.00%8.4M-90.12%800K575.00%8.1M-86.67%1.2M246.15%9M160.00%2.6M--1M----
Net other financing activities ------------50.00%-100K33.33%-200K-200.00%-300K-200.00%-100K200.00%100K---100K----
Cash from discontinued financing activities
Financing cash flow 96.00%14.7M-3.85%7.5M420.00%7.8M-81.01%1.5M125.71%7.9M2.94%3.5M78.95%3.4M35.71%1.9M-71.43%1.4M236.11%4.9M
Net cash flow
Beginning cash position -76.00%600K38.89%2.5M-78.82%1.8M174.19%8.5M181.82%3.1M-8.33%1.1M-67.57%1.2M-36.21%3.7M190.00%5.8M-62.96%2M
Current changes in cash 130.77%800K-2,700.00%-2.6M101.43%100K-232.08%-7M152.38%5.3M1,150.00%2.1M92.00%-200K-56.25%-2.5M-141.03%-1.6M208.33%3.9M
Effect of exchange rate changes -71.43%200K16.67%700K500.00%600K0.00%100K--100K--00.00%100K120.00%100K---500K----
End cash Position 183.33%1.7M-76.00%600K38.89%2.5M-78.82%1.8M174.19%8.5M181.82%3.1M-8.33%1.1M-67.57%1.2M-36.21%3.7M190.00%5.8M
Free cash flow -41.00%-14.1M-8.70%-10M-8.24%-9.2M-240.00%-8.5M-150.00%-2.5M-25.00%-1M81.82%-800K-46.67%-4.4M-275.00%-3M66.67%-800K
Currency Unit EUREUREUREUREUREUREUREUREUREUR

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