US Stock MarketDetailed Quotes

VISL Vislink Technologies

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  • 4.8371
  • -0.0679-1.38%
Trading May 31 09:50 ET
11.84MMarket Cap-1389P/E (TTM)

Vislink Technologies Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
85.22%-89K
-3.49%-9.75M
-259.97%-3.76M
20.71%-2.8M
22.83%-2.59M
87.66%-602K
1.90%-9.42M
271.14%2.35M
-70,680.00%-3.53M
13.65%-3.36M
Net income from continuing operations
46.01%-948K
32.59%-9.13M
56.91%-2.37M
28.10%-1.97M
-19.87%-3.03M
36.54%-1.76M
17.40%-13.54M
59.41%-5.51M
-505.33%-2.74M
-202.88%-2.53M
Operating gains losses
----
-78.26%-82K
----
----
----
----
96.49%-46K
-42.86%-20K
98.58%-17K
----
Depreciation and amortization
19.73%437K
-14.92%1.64M
28.82%447K
-17.82%452K
-28.05%372K
-28.29%365K
21.71%1.92M
-37.36%347K
37.50%550K
66.24%517K
Deferred tax
0.00%-55K
-1.40%-218K
0.00%-54K
-1.85%-55K
3.57%-54K
-7.84%-55K
---215K
---54K
---54K
---56K
Other non cash items
161.33%196K
-83.93%503K
-90.22%247K
-57.00%89K
-69.44%92K
-21.88%75K
200.10%3.13M
894.49%2.53M
-45.24%207K
44.02%301K
Change In working capital
-135.27%-85K
-149.89%-4.57M
-142.65%-2.24M
7.09%-1.77M
56.18%-798K
107.17%241K
75.62%-1.83M
468.79%5.26M
-540.74%-1.9M
49.01%-1.82M
-Change in receivables
-319.53%-281K
-183.39%-2.67M
-131.65%-1.27M
-88.51%-1.72M
-62.43%195K
131.37%128K
188.54%3.2M
209.86%4M
-120.07%-914K
109.14%519K
-Change in inventory
-755.47%-898K
41.44%-2.19M
-125.02%-587K
81.24%-402K
22.77%-1.33M
106.20%137K
-17.07%-3.73M
44.46%2.35M
-160.39%-2.14M
-8.35%-1.73M
-Change in prepaid assets
-179.34%-169K
-89.46%200K
136.63%478K
-40.90%341K
-213.20%-832K
-44.39%213K
1,876.04%1.9M
9.78%202K
112.92%577K
744.83%735K
-Change in payables and accrued expense
171.54%334K
136.15%769K
70.91%-176K
576.00%169K
163.40%653K
123.79%123K
1.39%-2.13M
43.67%-605K
316.67%25K
-760.26%-1.03M
-Change in other current liabilities
-19.81%-127K
32.02%-344K
154.76%23K
18.54%-145K
27.04%-116K
16.54%-106K
-4.76%-506K
62.50%-42K
-19.46%-178K
-28.23%-159K
-Change in other working capital
515.75%1.06M
38.71%-342K
-11.37%-715K
-101.10%-8K
496.88%635K
47.74%-254K
-130.24%-558K
-140.30%-642K
117.57%730K
-104.47%-160K
Cash from discontinued investing activities
Operating cash flow
85.22%-89K
-3.49%-9.75M
-259.97%-3.76M
20.71%-2.8M
22.83%-2.59M
87.66%-602K
1.90%-9.42M
271.14%2.35M
-70,680.00%-3.53M
13.65%-3.36M
Investing cash flow
Cash flow from continuing investing activities
98.70%-142K
-1,337.77%-6.7M
4,340.35%4.83M
-548.15%-350K
-174.16%-244K
-5,134.45%-10.94M
97.34%-466K
-165.12%-114K
99.69%-54K
-17.11%-89K
Net PPE purchase and sale
19.21%-143K
-49.79%-698K
-71.93%-196K
-50.00%-81K
-174.16%-244K
15.31%-177K
-131.84%-466K
-165.12%-114K
-50.00%-54K
-17.11%-89K
Net investment purchase and sale
100.01%1K
---5.73M
--5.03M
--0
--0
---10.76M
--0
--0
--0
--0
Net other investing changes
----
---269K
--0
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
98.70%-142K
-1,337.77%-6.7M
4,340.35%4.83M
-548.15%-350K
-174.16%-244K
-5,134.45%-10.94M
97.34%-466K
-165.12%-114K
99.69%-54K
-17.11%-89K
Financing cash flow
Cash flow from continuing financing activities
0
20.65%-607K
-861.54%-198K
41.14%-196K
64.07%-129K
15.15%-84K
-101.31%-765K
108.87%26K
-608.51%-333K
13.70%-359K
Net issuance payments of debt
--0
20.65%-607K
-861.54%-198K
41.14%-196K
64.07%-129K
15.15%-84K
25.29%-765K
108.87%26K
-14.83%-333K
13.70%-359K
Cash from discontinued financing activities
Financing cash flow
--0
20.65%-607K
-861.54%-198K
41.14%-196K
64.07%-129K
15.15%-84K
-101.31%-765K
108.87%26K
-608.51%-333K
13.70%-359K
Net cash flow
Beginning cash position
-66.90%8.48M
-29.27%25.63M
-70.42%7.24M
-59.18%10.97M
-54.73%14.04M
-29.27%25.63M
598.09%36.23M
-35.69%24.48M
-51.57%26.88M
-48.19%31.02M
Current changes in cash
98.01%-231K
-60.14%-17.06M
-61.06%880K
14.61%-3.34M
22.12%-2.97M
-124.14%-11.63M
-134.17%-10.65M
232.32%2.26M
77.53%-3.92M
13.12%-3.81M
Effect of exchange rate changes
-779.07%-292K
-295.65%-90K
132.64%362K
-125.71%-389K
68.55%-106K
304.76%43K
137.40%46K
-839.83%-1.11M
7,665.00%1.51M
-5,716.67%-337K
End cash Position
-43.33%7.96M
-66.90%8.48M
-66.90%8.48M
-70.42%7.24M
-59.18%10.97M
-54.73%14.04M
-29.27%25.63M
-29.27%25.63M
-35.69%24.48M
-51.57%26.88M
Free cash flow
70.22%-232K
-5.68%-10.45M
-276.90%-3.95M
19.65%-2.88M
17.75%-2.84M
84.69%-779K
-0.85%-9.89M
257.88%2.23M
-11,458.06%-3.58M
13.06%-3.45M
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
--
--
--
(Q1)Mar 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 85.22%-89K-3.49%-9.75M-259.97%-3.76M20.71%-2.8M22.83%-2.59M87.66%-602K1.90%-9.42M271.14%2.35M-70,680.00%-3.53M13.65%-3.36M
Net income from continuing operations 46.01%-948K32.59%-9.13M56.91%-2.37M28.10%-1.97M-19.87%-3.03M36.54%-1.76M17.40%-13.54M59.41%-5.51M-505.33%-2.74M-202.88%-2.53M
Operating gains losses -----78.26%-82K----------------96.49%-46K-42.86%-20K98.58%-17K----
Depreciation and amortization 19.73%437K-14.92%1.64M28.82%447K-17.82%452K-28.05%372K-28.29%365K21.71%1.92M-37.36%347K37.50%550K66.24%517K
Deferred tax 0.00%-55K-1.40%-218K0.00%-54K-1.85%-55K3.57%-54K-7.84%-55K---215K---54K---54K---56K
Other non cash items 161.33%196K-83.93%503K-90.22%247K-57.00%89K-69.44%92K-21.88%75K200.10%3.13M894.49%2.53M-45.24%207K44.02%301K
Change In working capital -135.27%-85K-149.89%-4.57M-142.65%-2.24M7.09%-1.77M56.18%-798K107.17%241K75.62%-1.83M468.79%5.26M-540.74%-1.9M49.01%-1.82M
-Change in receivables -319.53%-281K-183.39%-2.67M-131.65%-1.27M-88.51%-1.72M-62.43%195K131.37%128K188.54%3.2M209.86%4M-120.07%-914K109.14%519K
-Change in inventory -755.47%-898K41.44%-2.19M-125.02%-587K81.24%-402K22.77%-1.33M106.20%137K-17.07%-3.73M44.46%2.35M-160.39%-2.14M-8.35%-1.73M
-Change in prepaid assets -179.34%-169K-89.46%200K136.63%478K-40.90%341K-213.20%-832K-44.39%213K1,876.04%1.9M9.78%202K112.92%577K744.83%735K
-Change in payables and accrued expense 171.54%334K136.15%769K70.91%-176K576.00%169K163.40%653K123.79%123K1.39%-2.13M43.67%-605K316.67%25K-760.26%-1.03M
-Change in other current liabilities -19.81%-127K32.02%-344K154.76%23K18.54%-145K27.04%-116K16.54%-106K-4.76%-506K62.50%-42K-19.46%-178K-28.23%-159K
-Change in other working capital 515.75%1.06M38.71%-342K-11.37%-715K-101.10%-8K496.88%635K47.74%-254K-130.24%-558K-140.30%-642K117.57%730K-104.47%-160K
Cash from discontinued investing activities
Operating cash flow 85.22%-89K-3.49%-9.75M-259.97%-3.76M20.71%-2.8M22.83%-2.59M87.66%-602K1.90%-9.42M271.14%2.35M-70,680.00%-3.53M13.65%-3.36M
Investing cash flow
Cash flow from continuing investing activities 98.70%-142K-1,337.77%-6.7M4,340.35%4.83M-548.15%-350K-174.16%-244K-5,134.45%-10.94M97.34%-466K-165.12%-114K99.69%-54K-17.11%-89K
Net PPE purchase and sale 19.21%-143K-49.79%-698K-71.93%-196K-50.00%-81K-174.16%-244K15.31%-177K-131.84%-466K-165.12%-114K-50.00%-54K-17.11%-89K
Net investment purchase and sale 100.01%1K---5.73M--5.03M--0--0---10.76M--0--0--0--0
Net other investing changes -------269K--0----------------------------
Cash from discontinued investing activities
Investing cash flow 98.70%-142K-1,337.77%-6.7M4,340.35%4.83M-548.15%-350K-174.16%-244K-5,134.45%-10.94M97.34%-466K-165.12%-114K99.69%-54K-17.11%-89K
Financing cash flow
Cash flow from continuing financing activities 020.65%-607K-861.54%-198K41.14%-196K64.07%-129K15.15%-84K-101.31%-765K108.87%26K-608.51%-333K13.70%-359K
Net issuance payments of debt --020.65%-607K-861.54%-198K41.14%-196K64.07%-129K15.15%-84K25.29%-765K108.87%26K-14.83%-333K13.70%-359K
Cash from discontinued financing activities
Financing cash flow --020.65%-607K-861.54%-198K41.14%-196K64.07%-129K15.15%-84K-101.31%-765K108.87%26K-608.51%-333K13.70%-359K
Net cash flow
Beginning cash position -66.90%8.48M-29.27%25.63M-70.42%7.24M-59.18%10.97M-54.73%14.04M-29.27%25.63M598.09%36.23M-35.69%24.48M-51.57%26.88M-48.19%31.02M
Current changes in cash 98.01%-231K-60.14%-17.06M-61.06%880K14.61%-3.34M22.12%-2.97M-124.14%-11.63M-134.17%-10.65M232.32%2.26M77.53%-3.92M13.12%-3.81M
Effect of exchange rate changes -779.07%-292K-295.65%-90K132.64%362K-125.71%-389K68.55%-106K304.76%43K137.40%46K-839.83%-1.11M7,665.00%1.51M-5,716.67%-337K
End cash Position -43.33%7.96M-66.90%8.48M-66.90%8.48M-70.42%7.24M-59.18%10.97M-54.73%14.04M-29.27%25.63M-29.27%25.63M-35.69%24.48M-51.57%26.88M
Free cash flow 70.22%-232K-5.68%-10.45M-276.90%-3.95M19.65%-2.88M17.75%-2.84M84.69%-779K-0.85%-9.89M257.88%2.23M-11,458.06%-3.58M13.06%-3.45M
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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