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SHPW Shapeways

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  • 1.5700
  • -0.1500-8.72%
Close Apr 29 16:00 ET
  • 1.6500
  • +0.0800+5.10%
Post 16:04 ET
10.39MMarket Cap-241P/E (TTM)

Shapeways 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
-30.49%-26.85M
2.73%-5.41M
-130.78%-6.58M
-35.99%-7.36M
-11.14%-7.51M
-155.30%-20.58M
4.29%-5.56M
-262.47%-2.85M
-933.02%-5.41M
-618.40%-6.75M
Net income from continuing operations
-117.16%-43.91M
-51.35%-10.53M
-321.82%-19.19M
-45.08%-6.78M
-83.38%-7.4M
-1,251.54%-20.22M
-193.79%-6.96M
-278.29%-4.55M
-3,362.22%-4.67M
-336.36%-4.04M
Operating gains losses
105.54%85K
--0
--0
101.70%13K
109.45%72K
81.06%-1.54M
100.76%23K
---31K
---765K
---762K
Depreciation and amortization
23.51%1.87M
-16.39%403K
4.65%495K
40.58%530K
142.86%442K
155.31%1.51M
185.21%482K
223.97%473K
175.18%377K
29.08%182K
Deferred tax
-7.41%25K
-214.81%-31K
--19K
--19K
--18K
--27K
--27K
--0
--0
--0
Other non cash items
124.65%229K
-45.83%91K
111.58%168K
-243.05%-319K
120.61%289K
24.90%-929K
150.75%168K
-1,100.69%-1.45M
175.85%223K
111.34%131K
Change In working capital
-293.13%-6.24M
-1,950.00%-1.18M
-203.27%-2.02M
-25.99%-1.3M
33.00%-1.73M
60.07%-1.59M
102.30%64K
91.97%1.96M
-155.83%-1.03M
-42.64%-2.58M
-Change in receivables
-499.89%-3.49M
-876.07%-1.27M
-164.38%-649K
-469.51%-934K
-379.85%-643K
173.98%873K
163.67%163K
1,150.00%1.01M
-36.67%-164K
81.07%-134K
-Change in inventory
-283.85%-737K
-87.50%-75K
-81.90%-191K
-430.99%-377K
-491.67%-94K
-9.71%-192K
88.51%-40K
-110.00%-105K
-141.04%-71K
-52.00%24K
-Change in prepaid assets
49.79%-850K
-112.57%-761K
-111.17%-101K
47.87%485K
81.57%-473K
28.11%-1.69M
85.32%-358K
80.08%904K
135.97%328K
-360.04%-2.57M
-Change in payables and accrued expense
-199.70%-994K
80.15%1.23M
-250.63%-842K
-12.56%-1.01M
-155.32%-364K
131.86%997K
664.04%680K
-30.13%559K
-15.83%-900K
106.92%658K
-Change in other current liabilities
8.10%-964K
23.34%-243K
24.92%-241K
7.78%-237K
-57.79%-243K
-22.83%-1.05M
-244.57%-317K
-94.55%-321K
-192.78%-257K
82.38%-154K
-Change in other working capital
253.45%801K
-1.56%-65K
--0
2,254.55%777K
121.92%89K
-422.22%-522K
-124.33%-64K
-383.33%-85K
134.74%33K
-1,027.78%-406K
Cash from discontinued investing activities
Operating cash flow
-30.49%-26.85M
2.73%-5.41M
-130.78%-6.58M
-35.99%-7.36M
-11.14%-7.51M
-155.30%-20.58M
4.29%-5.56M
-262.47%-2.85M
-933.02%-5.41M
-618.40%-6.75M
Investing cash flow
Cash flow from continuing investing activities
125.85%7.44M
0
1,609.34%8.89M
203.19%9.35M
-30.79%-10.8M
-626.24%-28.76M
-183.05%-10.86M
-3,372.22%-589K
-129,285.71%-9.06M
-5,972.06%-8.26M
Net PPE purchase and sale
72.37%-2.8M
--0
-88.46%-1.11M
-233.67%-654K
87.50%-1.03M
-155.51%-10.12M
71.97%-1.08M
-3,372.22%-589K
-2,700.00%-196K
-5,972.06%-8.26M
Net business purchase and sale
--0
--0
--0
----
----
---8.86M
--0
--0
----
----
Net investment purchase and sale
204.61%10.23M
--0
--10M
--10M
---9.77M
---9.78M
---9.78M
--0
--0
--0
Cash from discontinued investing activities
Investing cash flow
125.85%7.44M
--0
1,609.34%8.89M
203.19%9.35M
-30.79%-10.8M
-626.24%-28.76M
-183.05%-10.86M
-3,372.22%-589K
-129,285.71%-9.06M
-5,972.06%-8.26M
Financing cash flow
Cash flow from continuing financing activities
132.15%787K
-286.00%-93K
53,700.00%538K
-173.02%-138K
384.85%480K
-99.59%339K
107.37%50K
-100.00%1K
149.35%189K
122.30%99K
Net issuance payments of debt
---107K
---45K
---22K
---27K
---13K
--0
--0
--0
--0
--0
Net common stock issuance
-65.19%118K
--0
11,700.00%118K
--0
--0
-43.03%339K
16.28%50K
-99.79%1K
243.64%189K
518.75%99K
Net other financing activities
--776K
---48K
--442K
---111K
--493K
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
132.15%787K
-286.00%-93K
53,700.00%538K
-173.02%-138K
384.85%480K
-99.59%339K
107.37%50K
-100.00%1K
149.35%189K
122.30%99K
Net cash flow
Beginning cash position
-61.45%30.77M
-62.50%17.66M
-70.71%14.8M
-80.01%12.96M
-61.45%30.77M
816.51%79.82M
-47.84%47.08M
690.30%50.54M
803.34%64.83M
816.51%79.82M
Current changes in cash
61.98%-18.63M
66.39%-5.5M
183.01%2.85M
112.93%1.85M
-19.54%-17.83M
-168.77%-49M
-58.54%-16.37M
-104.09%-3.44M
-1,462.47%-14.28M
-881.05%-14.91M
Effect of exchange rate changes
280.00%99K
50.88%86K
96.15%-1K
--0
118.92%14K
60.14%-55K
151.82%57K
82.43%-26K
-109.09%-12K
-516.67%-74K
End cash Position
-60.22%12.24M
-60.22%12.24M
-62.50%17.66M
-70.71%14.8M
-80.01%12.96M
-61.45%30.77M
-61.45%30.77M
-47.84%47.08M
690.30%50.54M
803.34%64.83M
Free cash flow
3.41%-29.65M
18.49%-5.41M
-123.53%-7.69M
-42.90%-8.02M
43.13%-8.54M
-155.37%-30.69M
31.20%-6.64M
-347.66%-3.44M
-956.31%-5.61M
-1,295.07%-15.01M
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 -30.49%-26.85M2.73%-5.41M-130.78%-6.58M-35.99%-7.36M-11.14%-7.51M-155.30%-20.58M4.29%-5.56M-262.47%-2.85M-933.02%-5.41M-618.40%-6.75M
Net income from continuing operations -117.16%-43.91M-51.35%-10.53M-321.82%-19.19M-45.08%-6.78M-83.38%-7.4M-1,251.54%-20.22M-193.79%-6.96M-278.29%-4.55M-3,362.22%-4.67M-336.36%-4.04M
Operating gains losses 105.54%85K--0--0101.70%13K109.45%72K81.06%-1.54M100.76%23K---31K---765K---762K
Depreciation and amortization 23.51%1.87M-16.39%403K4.65%495K40.58%530K142.86%442K155.31%1.51M185.21%482K223.97%473K175.18%377K29.08%182K
Deferred tax -7.41%25K-214.81%-31K--19K--19K--18K--27K--27K--0--0--0
Other non cash items 124.65%229K-45.83%91K111.58%168K-243.05%-319K120.61%289K24.90%-929K150.75%168K-1,100.69%-1.45M175.85%223K111.34%131K
Change In working capital -293.13%-6.24M-1,950.00%-1.18M-203.27%-2.02M-25.99%-1.3M33.00%-1.73M60.07%-1.59M102.30%64K91.97%1.96M-155.83%-1.03M-42.64%-2.58M
-Change in receivables -499.89%-3.49M-876.07%-1.27M-164.38%-649K-469.51%-934K-379.85%-643K173.98%873K163.67%163K1,150.00%1.01M-36.67%-164K81.07%-134K
-Change in inventory -283.85%-737K-87.50%-75K-81.90%-191K-430.99%-377K-491.67%-94K-9.71%-192K88.51%-40K-110.00%-105K-141.04%-71K-52.00%24K
-Change in prepaid assets 49.79%-850K-112.57%-761K-111.17%-101K47.87%485K81.57%-473K28.11%-1.69M85.32%-358K80.08%904K135.97%328K-360.04%-2.57M
-Change in payables and accrued expense -199.70%-994K80.15%1.23M-250.63%-842K-12.56%-1.01M-155.32%-364K131.86%997K664.04%680K-30.13%559K-15.83%-900K106.92%658K
-Change in other current liabilities 8.10%-964K23.34%-243K24.92%-241K7.78%-237K-57.79%-243K-22.83%-1.05M-244.57%-317K-94.55%-321K-192.78%-257K82.38%-154K
-Change in other working capital 253.45%801K-1.56%-65K--02,254.55%777K121.92%89K-422.22%-522K-124.33%-64K-383.33%-85K134.74%33K-1,027.78%-406K
Cash from discontinued investing activities
Operating cash flow -30.49%-26.85M2.73%-5.41M-130.78%-6.58M-35.99%-7.36M-11.14%-7.51M-155.30%-20.58M4.29%-5.56M-262.47%-2.85M-933.02%-5.41M-618.40%-6.75M
Investing cash flow
Cash flow from continuing investing activities 125.85%7.44M01,609.34%8.89M203.19%9.35M-30.79%-10.8M-626.24%-28.76M-183.05%-10.86M-3,372.22%-589K-129,285.71%-9.06M-5,972.06%-8.26M
Net PPE purchase and sale 72.37%-2.8M--0-88.46%-1.11M-233.67%-654K87.50%-1.03M-155.51%-10.12M71.97%-1.08M-3,372.22%-589K-2,700.00%-196K-5,972.06%-8.26M
Net business purchase and sale --0--0--0-----------8.86M--0--0--------
Net investment purchase and sale 204.61%10.23M--0--10M--10M---9.77M---9.78M---9.78M--0--0--0
Cash from discontinued investing activities
Investing cash flow 125.85%7.44M--01,609.34%8.89M203.19%9.35M-30.79%-10.8M-626.24%-28.76M-183.05%-10.86M-3,372.22%-589K-129,285.71%-9.06M-5,972.06%-8.26M
Financing cash flow
Cash flow from continuing financing activities 132.15%787K-286.00%-93K53,700.00%538K-173.02%-138K384.85%480K-99.59%339K107.37%50K-100.00%1K149.35%189K122.30%99K
Net issuance payments of debt ---107K---45K---22K---27K---13K--0--0--0--0--0
Net common stock issuance -65.19%118K--011,700.00%118K--0--0-43.03%339K16.28%50K-99.79%1K243.64%189K518.75%99K
Net other financing activities --776K---48K--442K---111K--493K--------------------
Cash from discontinued financing activities
Financing cash flow 132.15%787K-286.00%-93K53,700.00%538K-173.02%-138K384.85%480K-99.59%339K107.37%50K-100.00%1K149.35%189K122.30%99K
Net cash flow
Beginning cash position -61.45%30.77M-62.50%17.66M-70.71%14.8M-80.01%12.96M-61.45%30.77M816.51%79.82M-47.84%47.08M690.30%50.54M803.34%64.83M816.51%79.82M
Current changes in cash 61.98%-18.63M66.39%-5.5M183.01%2.85M112.93%1.85M-19.54%-17.83M-168.77%-49M-58.54%-16.37M-104.09%-3.44M-1,462.47%-14.28M-881.05%-14.91M
Effect of exchange rate changes 280.00%99K50.88%86K96.15%-1K--0118.92%14K60.14%-55K151.82%57K82.43%-26K-109.09%-12K-516.67%-74K
End cash Position -60.22%12.24M-60.22%12.24M-62.50%17.66M-70.71%14.8M-80.01%12.96M-61.45%30.77M-61.45%30.77M-47.84%47.08M690.30%50.54M803.34%64.83M
Free cash flow 3.41%-29.65M18.49%-5.41M-123.53%-7.69M-42.90%-8.02M43.13%-8.54M-155.37%-30.69M31.20%-6.64M-347.66%-3.44M-956.31%-5.61M-1,295.07%-15.01M
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

No Data

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