Harrow Health Inc. 8.625%... (HROWL)
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At close: undefined
25.31
0.00%
After-hours Dec 13, 2024, 01:16 PM EST

Cashflow (Annual)

Get detailed ratio statement breakdowns, uncovering price to free cash flow ratio, price per earnings, and much more.
Year FY23 FY22 FY21 FY20 FY19 FY18 FY17 FY16 FY15 FY14 FY13 FY12 FY11 FY10 FY09 FY08 FY07 FY06
Net Income -24.41M -14.09M -18.01M -3.42M -125.00K 14.63M -11.98M -19.09M -15.90M -10.12M -7.64M -5.38M -953.94K -2.53M -4.55M -3.30M -4.28M -46.21K
Depreciation & Amortization 12.34M 3.67M 2.40M 2.74M 2.66M 1.84M 1.76M 1.41M 610.00K 85.35K 5.66K 2.94K 338.00 1.06K 1.06K 704.00 201.25K -
Stock-Based Compensation 15.70M 7.97M 5.75M 2.77M 2.02M 2.64M 2.94M 3.67M 3.44M 2.61M 3.13M 2.16M 192.15K 680.20K 509.50K 562.44K 184.52K -
Other Working Capital -4.26M -3.22M 103.00K -87.00K -699.00K 1.04M -217.00K 312.00K -29.00K 199.79K 303.35K -128.36K 56.45K -105.73K 318.64K -135.95K -126.01K 4.95K
Other Non-Cash Items 7.35M 9.72M 677.00K 815.00K 512.00K 613.00K -1.29M 3.59M 380.00K 2.61M 293.14K 24.66K 329.14K 55.48K 538.55K 904.15K 1.83M 1.20K
Deferred Income Tax - - 14.52M 2.17M -2.40M -22.47M -935.00K -111.00K - -2.61M -293.14K 1.20M -60.29K 209.30K -509.50K -562.44K -184.52K -
Change in Working Capital -7.13M -5.57M -253.00K -6.27M -1.72M 3.44M 700.00K -683.00K 325.00K 362.71K 63.55K 103.07K 201.44K -713.11K 443.27K -133.95K 486.56K 4.95K
Operating Cash Flow 3.84M 1.71M 5.08M -1.10M 950.00K 687.00K -8.80M -11.21M -11.14M -7.06M -4.44M -1.90M -291.16K -2.30M -3.57M -2.53M -1.76M -40.06K
Capital Expenditures -152.55M -7.77M -28.51M -994.00K -1.84M -2.20M -1.07M -7.14M -1.18M -173.99K -20.00K -15.49K - - - -3.15K - -
Acquisitions - 30.00K 9.83M 13.00K 4.00K - 113.00K -100.00K -3.43M -636.37K - - - - - - - -
Purchase of Investments - - 16.90M - - - - -50.00K - -100.17K -50.00K - - - - - - -
Sales Maturities Of Investments - - 9.83M - - - - - - 845.71K - - - - - - - -
Other Investing Acitivies -151.09M 6.00M -26.73M 13.00K 4.00K 4.00K 113.00K -100.00K -524.00K -845.71K -50.00K -15.49K - - - - - -
Investing Cash Flow -152.55M -1.74M -18.69M -981.00K -1.83M -2.20M -961.00K -7.29M -5.13M -910.53K -70.00K -15.49K - - - -3.15K - -
Debt Repayment 74.64M 31.72M 71.07M 1.46M -1.49M -691.00K 893.00K -267.00K 9.24M -10.00K - 450.00K 300.00K 1.00M - - 1.50M -
Common Stock Repurchased - - -11.00M -29.00K - - - - - -13.00K -191 - - - - - - -
Dividend Paid - - -127.00K - - - - - - - - -200.00K - - - - - -
Other Financial Acitivies -12.63M -234.00K -19.47M - -282.00K 4.18M -27.00K 4.42M 1.10M -862 - 50.00K -154.14K - - - 105.91K -
Financial Cash Flow 126.53M 54.14M 51.47M 1.43M -1.01M 4.13M 4.93M 24.67M 10.75M 598.14K 10.05M 11.81M 145.86K 1.00M 49.50K 3.94M 5.47M -
Net Cash Flow -22.18M 54.10M 37.87M -648.00K -1.89M 2.62M -4.83M 6.17M -5.53M -7.37M 5.54M 9.89M -145.30K -1.30M -3.52M 1.40M 3.71M -6.80M
Free Cash Flow -148.71M -6.07M -23.43M -2.09M -887.00K -1.52M -9.88M -18.35M -12.32M -7.23M -4.46M -1.92M -291.16K -2.30M -3.57M -2.54M -1.76M -40.06K