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AIOT Powerfleet

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  • 5.960
  • -0.230-3.72%
Close Jan 8 16:00 ET
  • 5.961
  • +0.001+0.01%
Post 20:01 ET
787.86MMarket Cap-6.53P/E (TTM)

Powerfleet Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
1,435.66%5.54M
-533.90%-7.62M
-104.73%-208K
252.04%4.4M
56.23%4.63M
-259.43%-1.57M
27.83%-415K
182.59%1.76M
123.17%1.25M
171.52%2.96M
Net income from continuing operations
620.52%15.5M
-567.85%-22.31M
-50.04%-8.52M
15.98%-5.68M
-169.58%-3.79M
-59.67%-3.67M
-2,422.88%-2.98M
262.88%4.77M
47.09%-6.75M
77.30%-1.41M
Depreciation and amortization
-344.06%-5.53M
362.83%10.34M
-79.43%1.94M
14.32%9.45M
19.38%2.52M
20.26%2.43M
10.81%2.27M
6.89%2.23M
-3.40%8.26M
-3.03%2.11M
Deferred tax
-3,604.76%-736K
170.82%1.02M
1,716.67%97K
-100.85%-6K
-213.14%-680K
-64.16%276K
-47.50%21K
153.63%377K
-62.50%708K
-49.37%601K
Other non cash items
-356.83%-1.05M
132.82%2.14M
110.88%662K
-275.53%-6.08M
-187.55%-640K
-8.71%681K
-46.96%410K
-637.70%-6.53M
8.01%3.47M
-36.16%731K
Change In working capital
204.24%2.04M
-4,463.40%-6.98M
871.30%3.55M
94.88%-460K
2,465.64%4.61M
-60.86%-2.96M
55.45%-1.96M
94.02%-153K
24.61%-8.99M
94.84%-195K
-Change in receivables
464.67%3.11M
-955.58%-6.97M
151.10%746K
-6.73%-1.46M
-6.70%1.55M
-2,504.39%-2.97M
64.17%-852K
252.91%815K
85.67%-1.37M
179.66%1.66M
-Change in inventory
-459.64%-1.4M
-163.29%-624K
141.65%726K
61.03%-1.74M
-51.73%517K
-1,700.00%-2.41M
111.17%389K
87.71%-237K
24.73%-4.47M
147.52%1.07M
-Change in prepaid assets
404.50%1.57M
-903.17%-1.52M
-282.05%-1.44M
196.94%791K
1,110.91%556K
24.07%-265K
-66.38%311K
114.14%189K
71.47%-816K
97.23%-55K
-Change in payables and accrued expense
-146.88%-3.4M
1,434.49%4.99M
-8.19%4.06M
868.52%4.42M
236.05%3.2M
2,899.06%2.97M
-227.95%-1.38M
-146.23%-374K
-107.19%-575K
-160.74%-2.36M
-Change in other current liabilities
50.77%-320K
-33.57%-927K
75.66%-694K
-4.09%-2.85M
-29.08%-910K
14.59%-597K
7.67%-650K
-9.98%-694K
1.83%-2.74M
31.75%-705K
-Change in other working capital
1,014.35%2.49M
-1,404.73%-1.93M
-60.16%153K
-60.86%384K
-256.25%-300K
171.14%313K
32.74%223K
-86.05%148K
-19.79%981K
164.00%192K
Cash from discontinued investing activities
Operating cash flow
1,435.66%5.54M
-533.90%-7.62M
-104.73%-208K
252.04%4.4M
56.23%4.63M
-259.43%-1.57M
27.83%-415K
182.59%1.76M
123.17%1.25M
171.52%2.96M
Investing cash flow
Cash flow from continuing investing activities
-1,053.37%-23.13M
187.01%19.64M
-224.26%-1.9M
124.15%1.53M
25.29%-1.74M
21.13%-1.57M
-42.91%-2.01M
1,221.64%6.84M
-109.12%-6.33M
-372.41%-2.33M
Capital expenditure reported
319.75%4.41M
-343.48%-7.89M
73.21%-1.9M
-13.85%-7.09M
21.94%-1.74M
21.13%-1.57M
-42.91%-2.01M
-191.80%-1.78M
-105.81%-6.23M
-352.13%-2.23M
Net business purchase and sale
---27.53M
215.65%27.53M
--0
--8.72M
--0
--0
--0
--8.72M
--0
--0
Net investment purchase and sale
----
----
--0
0.00%-100K
--0
--0
--0
---100K
---100K
---100K
Cash from discontinued investing activities
Investing cash flow
-1,053.37%-23.13M
187.01%19.64M
-224.26%-1.9M
124.15%1.53M
25.29%-1.74M
21.13%-1.57M
-42.91%-2.01M
1,221.64%6.84M
-109.12%-6.33M
-372.41%-2.33M
Financing cash flow
Cash flow from continuing financing activities
28,584.29%89.5M
-6,411.64%-89.47M
2,604.61%92.82M
-1,214.18%-3.71M
-1,078.01%-2.36M
-224.78%-287K
-66.27%312K
18.12%-1.37M
-101.74%-282K
106.98%241K
Net issuance payments of debt
-194.32%-1.33M
375.79%3.67M
43,087.04%92.85M
-204.23%-216K
-573.36%-1.23M
293.25%932K
51.40%1.41M
11.16%-1.33M
98.81%-71K
112.74%259K
Net common stock issuance
68,650.00%2.74M
-6,345.45%-2.84M
78.01%-31K
33.18%-141K
83.33%-3K
-1,185.71%-90K
20.00%-4K
75.69%-44K
-100.81%-211K
96.01%-18K
Cash dividends paid
--88.05M
---90.3M
--0
---3.39M
---1.13M
---1.13M
----
----
--0
--0
Proceeds from stock option exercised by employees
--36K
--0
--0
--36K
--0
--0
----
----
--0
--0
Cash from discontinued financing activities
Financing cash flow
28,584.29%89.5M
-6,411.64%-89.47M
2,604.61%92.82M
-1,214.18%-3.71M
-1,078.01%-2.36M
-224.78%-287K
-66.27%312K
18.12%-1.37M
-101.74%-282K
106.98%241K
Net cash flow
Beginning cash position
25.13%31.39M
509.62%109.66M
7.47%19.33M
-32.78%17.99M
15.25%19.61M
22.35%22.04M
20.23%25.09M
-32.78%17.99M
45.16%26.76M
-50.15%17.01M
Current changes in cash
3,511.43%71.91M
-1,172.24%-77.45M
3,986.17%90.71M
141.39%2.22M
-39.20%532K
-343.91%-3.43M
-100.19%-2.11M
263.68%7.22M
-168.81%-5.36M
110.82%875K
Effect of exchange rate changes
192.90%876K
-569.11%-823K
56.56%-381K
74.27%-877K
-891.18%-807K
536.84%996K
47.67%-943K
91.69%-123K
-741.81%-3.41M
-85.83%102K
End cash Position
-11.03%19.61M
25.13%31.39M
467.27%109.66M
7.47%19.33M
7.47%19.33M
15.25%19.61M
22.35%22.04M
20.23%25.09M
-32.78%17.99M
-32.78%17.99M
Free cash flow
511.12%9.95M
-61,936.00%-15.51M
21.81%-2.11M
45.87%-2.7M
293.60%2.89M
-213.37%-3.14M
-22.35%-2.42M
99.09%-25K
40.82%-4.98M
115.83%734K
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
--
--
--
--
Unqualified Opinion
--
(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 1,435.66%5.54M-533.90%-7.62M-104.73%-208K252.04%4.4M56.23%4.63M-259.43%-1.57M27.83%-415K182.59%1.76M123.17%1.25M171.52%2.96M
Net income from continuing operations 620.52%15.5M-567.85%-22.31M-50.04%-8.52M15.98%-5.68M-169.58%-3.79M-59.67%-3.67M-2,422.88%-2.98M262.88%4.77M47.09%-6.75M77.30%-1.41M
Depreciation and amortization -344.06%-5.53M362.83%10.34M-79.43%1.94M14.32%9.45M19.38%2.52M20.26%2.43M10.81%2.27M6.89%2.23M-3.40%8.26M-3.03%2.11M
Deferred tax -3,604.76%-736K170.82%1.02M1,716.67%97K-100.85%-6K-213.14%-680K-64.16%276K-47.50%21K153.63%377K-62.50%708K-49.37%601K
Other non cash items -356.83%-1.05M132.82%2.14M110.88%662K-275.53%-6.08M-187.55%-640K-8.71%681K-46.96%410K-637.70%-6.53M8.01%3.47M-36.16%731K
Change In working capital 204.24%2.04M-4,463.40%-6.98M871.30%3.55M94.88%-460K2,465.64%4.61M-60.86%-2.96M55.45%-1.96M94.02%-153K24.61%-8.99M94.84%-195K
-Change in receivables 464.67%3.11M-955.58%-6.97M151.10%746K-6.73%-1.46M-6.70%1.55M-2,504.39%-2.97M64.17%-852K252.91%815K85.67%-1.37M179.66%1.66M
-Change in inventory -459.64%-1.4M-163.29%-624K141.65%726K61.03%-1.74M-51.73%517K-1,700.00%-2.41M111.17%389K87.71%-237K24.73%-4.47M147.52%1.07M
-Change in prepaid assets 404.50%1.57M-903.17%-1.52M-282.05%-1.44M196.94%791K1,110.91%556K24.07%-265K-66.38%311K114.14%189K71.47%-816K97.23%-55K
-Change in payables and accrued expense -146.88%-3.4M1,434.49%4.99M-8.19%4.06M868.52%4.42M236.05%3.2M2,899.06%2.97M-227.95%-1.38M-146.23%-374K-107.19%-575K-160.74%-2.36M
-Change in other current liabilities 50.77%-320K-33.57%-927K75.66%-694K-4.09%-2.85M-29.08%-910K14.59%-597K7.67%-650K-9.98%-694K1.83%-2.74M31.75%-705K
-Change in other working capital 1,014.35%2.49M-1,404.73%-1.93M-60.16%153K-60.86%384K-256.25%-300K171.14%313K32.74%223K-86.05%148K-19.79%981K164.00%192K
Cash from discontinued investing activities
Operating cash flow 1,435.66%5.54M-533.90%-7.62M-104.73%-208K252.04%4.4M56.23%4.63M-259.43%-1.57M27.83%-415K182.59%1.76M123.17%1.25M171.52%2.96M
Investing cash flow
Cash flow from continuing investing activities -1,053.37%-23.13M187.01%19.64M-224.26%-1.9M124.15%1.53M25.29%-1.74M21.13%-1.57M-42.91%-2.01M1,221.64%6.84M-109.12%-6.33M-372.41%-2.33M
Capital expenditure reported 319.75%4.41M-343.48%-7.89M73.21%-1.9M-13.85%-7.09M21.94%-1.74M21.13%-1.57M-42.91%-2.01M-191.80%-1.78M-105.81%-6.23M-352.13%-2.23M
Net business purchase and sale ---27.53M215.65%27.53M--0--8.72M--0--0--0--8.72M--0--0
Net investment purchase and sale ----------00.00%-100K--0--0--0---100K---100K---100K
Cash from discontinued investing activities
Investing cash flow -1,053.37%-23.13M187.01%19.64M-224.26%-1.9M124.15%1.53M25.29%-1.74M21.13%-1.57M-42.91%-2.01M1,221.64%6.84M-109.12%-6.33M-372.41%-2.33M
Financing cash flow
Cash flow from continuing financing activities 28,584.29%89.5M-6,411.64%-89.47M2,604.61%92.82M-1,214.18%-3.71M-1,078.01%-2.36M-224.78%-287K-66.27%312K18.12%-1.37M-101.74%-282K106.98%241K
Net issuance payments of debt -194.32%-1.33M375.79%3.67M43,087.04%92.85M-204.23%-216K-573.36%-1.23M293.25%932K51.40%1.41M11.16%-1.33M98.81%-71K112.74%259K
Net common stock issuance 68,650.00%2.74M-6,345.45%-2.84M78.01%-31K33.18%-141K83.33%-3K-1,185.71%-90K20.00%-4K75.69%-44K-100.81%-211K96.01%-18K
Cash dividends paid --88.05M---90.3M--0---3.39M---1.13M---1.13M----------0--0
Proceeds from stock option exercised by employees --36K--0--0--36K--0--0----------0--0
Cash from discontinued financing activities
Financing cash flow 28,584.29%89.5M-6,411.64%-89.47M2,604.61%92.82M-1,214.18%-3.71M-1,078.01%-2.36M-224.78%-287K-66.27%312K18.12%-1.37M-101.74%-282K106.98%241K
Net cash flow
Beginning cash position 25.13%31.39M509.62%109.66M7.47%19.33M-32.78%17.99M15.25%19.61M22.35%22.04M20.23%25.09M-32.78%17.99M45.16%26.76M-50.15%17.01M
Current changes in cash 3,511.43%71.91M-1,172.24%-77.45M3,986.17%90.71M141.39%2.22M-39.20%532K-343.91%-3.43M-100.19%-2.11M263.68%7.22M-168.81%-5.36M110.82%875K
Effect of exchange rate changes 192.90%876K-569.11%-823K56.56%-381K74.27%-877K-891.18%-807K536.84%996K47.67%-943K91.69%-123K-741.81%-3.41M-85.83%102K
End cash Position -11.03%19.61M25.13%31.39M467.27%109.66M7.47%19.33M7.47%19.33M15.25%19.61M22.35%22.04M20.23%25.09M-32.78%17.99M-32.78%17.99M
Free cash flow 511.12%9.95M-61,936.00%-15.51M21.81%-2.11M45.87%-2.7M293.60%2.89M-213.37%-3.14M-22.35%-2.42M99.09%-25K40.82%-4.98M115.83%734K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified OpinionUnqualified Opinion--------Unqualified Opinion--
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