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AIRG Airgain

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  • 8.410
  • +0.470+5.92%
Close Oct 2 16:00 ET
95.05MMarket Cap-7188P/E (TTM)

Airgain Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-111.05%-1.2M
21.97%-1.12M
-174.25%-3.3M
-181.97%-1.94M
521.36%640K
73.76%-570K
-134.54%-1.43M
139.80%4.45M
155.61%2.36M
107.68%103K
Net income from continuing operations
-13.97%-2.51M
14.10%-2.46M
-43.53%-12.43M
-70.31%-5.48M
-44.80%-1.88M
-36.20%-2.21M
-13.37%-2.86M
14.16%-8.66M
30.69%-3.22M
57.67%-1.3M
Operating gains losses
----
----
----
----
----
----
----
-80.95%4K
--1K
--0
Depreciation and amortization
-4.96%881K
13.22%1.02M
-1.92%3.63M
-2.90%903K
-2.28%900K
0.22%927K
-2.70%900K
4.25%3.7M
1.86%930K
2.79%921K
Deferred tax
200.00%12K
133.33%7K
-60.00%12K
-16.67%5K
--0
-60.00%4K
-62.50%3K
101.32%30K
0.00%6K
0.00%6K
Other non cash items
--37K
---15K
----
----
----
----
----
-200.00%-2.04M
----
----
Change In working capital
-200.73%-827K
-56.74%-721K
-71.95%1.8M
-72.93%1.43M
271.94%1.11M
89.80%-275K
-110.24%-460K
175.99%6.43M
368.45%5.28M
-86.42%-645K
-Change in receivables
309.62%1M
-482.63%-2.27M
-32.16%1.37M
-255.21%-1.1M
536.22%2.35M
70.91%-478K
-77.00%593K
141.56%2.02M
274.88%710K
-71.38%370K
-Change in inventory
-75.63%-555K
27.45%-185K
-61.40%1.82M
-69.78%1.55M
216.99%847K
-422.45%-316K
-210.87%-255K
175.44%4.72M
313.11%5.12M
63.76%-724K
-Change in prepaid assets
653.66%309K
-99.46%3K
181.23%822K
321.86%619K
-119.55%-393K
110.82%41K
417.14%555K
-372.78%-1.01M
-204.49%-279K
-148.51%-179K
-Change in payables and accrued expense
-855.33%-1.84M
888.04%1.65M
-232.83%-886K
204.29%316K
-337.10%-1.24M
119.33%244K
-108.31%-209K
-77.99%667K
-223.17%-303K
-233.49%-283K
-Change in other current assets
-250.00%-9K
--15K
-95.62%6K
--0
--0
-91.18%6K
--0
174.00%137K
-65.43%28K
143.04%34K
-Change in other current liabilities
-3,700.00%-38K
88.57%-4K
-19.05%-75K
-218.18%-35K
-100.00%-4K
99.17%-1K
-149.30%-35K
-142.31%-63K
21.43%-11K
-107.41%-2K
-Change in other working capital
34.06%307K
106.49%72K
-3,480.00%-1.25M
347.37%85K
-429.50%-458K
-57.75%229K
-50.88%-1.11M
95.52%-35K
-92.69%19K
181.76%139K
Cash from discontinued investing activities
Operating cash flow
-111.05%-1.2M
21.97%-1.12M
-174.25%-3.3M
-181.97%-1.94M
521.36%640K
73.76%-570K
-134.54%-1.43M
139.80%4.45M
155.61%2.36M
107.68%103K
Investing cash flow
Cash flow from continuing investing activities
-500.00%-90K
32.58%-60K
53.87%-346K
-38.10%-174K
85.22%-68K
58.33%-15K
30.47%-89K
94.97%-750K
35.05%-126K
-245.86%-460K
Net PPE purchase and sale
-500.00%-90K
32.58%-60K
53.87%-346K
-38.10%-174K
85.22%-68K
58.33%-15K
30.47%-89K
-1.90%-750K
35.05%-126K
-245.86%-460K
Cash from discontinued investing activities
Investing cash flow
-500.00%-90K
32.58%-60K
53.87%-346K
-38.10%-174K
85.22%-68K
58.33%-15K
30.47%-89K
94.97%-750K
35.05%-126K
-245.86%-460K
Financing cash flow
Cash flow from continuing financing activities
15,793.75%2.54M
186.69%469K
92.73%-458K
0
-32.32%67K
100.23%16K
-550.83%-541K
-359.53%-6.3M
476K
-47.62%99K
Net common stock issuance
1,487.27%2.62M
--488K
1.75%232K
--0
-32.32%67K
931.25%165K
--0
-90.61%228K
---7K
-47.62%99K
Proceeds from stock option exercised by employees
----
-44.53%76K
----
----
----
----
--137K
----
----
----
Net other financing activities
--0
85.99%-95K
89.44%-690K
--0
--0
---12K
---678K
---6.53M
--483K
--0
Cash from discontinued financing activities
Financing cash flow
15,793.75%2.54M
186.69%469K
92.73%-458K
--0
-32.32%67K
100.23%16K
-550.83%-541K
-359.53%-6.3M
--476K
-47.62%99K
Net cash flow
Beginning cash position
-27.46%7.26M
-33.96%7.98M
-17.76%12.08M
7.68%10.08M
-1.85%9.45M
-46.82%10.01M
-17.76%12.08M
-61.70%14.69M
-51.04%9.37M
-52.86%9.62M
Current changes in cash
319.68%1.25M
65.60%-710K
-57.40%-4.11M
-177.81%-2.11M
347.67%639K
93.82%-569K
-149.81%-2.06M
88.98%-2.61M
161.06%2.71M
79.94%-258K
Effect of exchange rate changes
---3K
---2K
--3K
----
----
--0
--0
--0
----
----
End cash Position
-9.89%8.51M
-27.46%7.26M
-33.96%7.98M
-33.96%7.98M
7.68%10.08M
-1.85%9.45M
-46.82%10.01M
-17.76%12.08M
-17.76%12.08M
-51.04%9.37M
Free cash flow
-121.03%-1.29M
22.59%-1.18M
-199.02%-3.65M
-194.49%-2.11M
260.22%572K
73.62%-585K
-137.85%-1.52M
130.93%3.68M
150.28%2.23M
75.80%-357K
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
(Q2)Jun 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -111.05%-1.2M21.97%-1.12M-174.25%-3.3M-181.97%-1.94M521.36%640K73.76%-570K-134.54%-1.43M139.80%4.45M155.61%2.36M107.68%103K
Net income from continuing operations -13.97%-2.51M14.10%-2.46M-43.53%-12.43M-70.31%-5.48M-44.80%-1.88M-36.20%-2.21M-13.37%-2.86M14.16%-8.66M30.69%-3.22M57.67%-1.3M
Operating gains losses -----------------------------80.95%4K--1K--0
Depreciation and amortization -4.96%881K13.22%1.02M-1.92%3.63M-2.90%903K-2.28%900K0.22%927K-2.70%900K4.25%3.7M1.86%930K2.79%921K
Deferred tax 200.00%12K133.33%7K-60.00%12K-16.67%5K--0-60.00%4K-62.50%3K101.32%30K0.00%6K0.00%6K
Other non cash items --37K---15K---------------------200.00%-2.04M--------
Change In working capital -200.73%-827K-56.74%-721K-71.95%1.8M-72.93%1.43M271.94%1.11M89.80%-275K-110.24%-460K175.99%6.43M368.45%5.28M-86.42%-645K
-Change in receivables 309.62%1M-482.63%-2.27M-32.16%1.37M-255.21%-1.1M536.22%2.35M70.91%-478K-77.00%593K141.56%2.02M274.88%710K-71.38%370K
-Change in inventory -75.63%-555K27.45%-185K-61.40%1.82M-69.78%1.55M216.99%847K-422.45%-316K-210.87%-255K175.44%4.72M313.11%5.12M63.76%-724K
-Change in prepaid assets 653.66%309K-99.46%3K181.23%822K321.86%619K-119.55%-393K110.82%41K417.14%555K-372.78%-1.01M-204.49%-279K-148.51%-179K
-Change in payables and accrued expense -855.33%-1.84M888.04%1.65M-232.83%-886K204.29%316K-337.10%-1.24M119.33%244K-108.31%-209K-77.99%667K-223.17%-303K-233.49%-283K
-Change in other current assets -250.00%-9K--15K-95.62%6K--0--0-91.18%6K--0174.00%137K-65.43%28K143.04%34K
-Change in other current liabilities -3,700.00%-38K88.57%-4K-19.05%-75K-218.18%-35K-100.00%-4K99.17%-1K-149.30%-35K-142.31%-63K21.43%-11K-107.41%-2K
-Change in other working capital 34.06%307K106.49%72K-3,480.00%-1.25M347.37%85K-429.50%-458K-57.75%229K-50.88%-1.11M95.52%-35K-92.69%19K181.76%139K
Cash from discontinued investing activities
Operating cash flow -111.05%-1.2M21.97%-1.12M-174.25%-3.3M-181.97%-1.94M521.36%640K73.76%-570K-134.54%-1.43M139.80%4.45M155.61%2.36M107.68%103K
Investing cash flow
Cash flow from continuing investing activities -500.00%-90K32.58%-60K53.87%-346K-38.10%-174K85.22%-68K58.33%-15K30.47%-89K94.97%-750K35.05%-126K-245.86%-460K
Net PPE purchase and sale -500.00%-90K32.58%-60K53.87%-346K-38.10%-174K85.22%-68K58.33%-15K30.47%-89K-1.90%-750K35.05%-126K-245.86%-460K
Cash from discontinued investing activities
Investing cash flow -500.00%-90K32.58%-60K53.87%-346K-38.10%-174K85.22%-68K58.33%-15K30.47%-89K94.97%-750K35.05%-126K-245.86%-460K
Financing cash flow
Cash flow from continuing financing activities 15,793.75%2.54M186.69%469K92.73%-458K0-32.32%67K100.23%16K-550.83%-541K-359.53%-6.3M476K-47.62%99K
Net common stock issuance 1,487.27%2.62M--488K1.75%232K--0-32.32%67K931.25%165K--0-90.61%228K---7K-47.62%99K
Proceeds from stock option exercised by employees -----44.53%76K------------------137K------------
Net other financing activities --085.99%-95K89.44%-690K--0--0---12K---678K---6.53M--483K--0
Cash from discontinued financing activities
Financing cash flow 15,793.75%2.54M186.69%469K92.73%-458K--0-32.32%67K100.23%16K-550.83%-541K-359.53%-6.3M--476K-47.62%99K
Net cash flow
Beginning cash position -27.46%7.26M-33.96%7.98M-17.76%12.08M7.68%10.08M-1.85%9.45M-46.82%10.01M-17.76%12.08M-61.70%14.69M-51.04%9.37M-52.86%9.62M
Current changes in cash 319.68%1.25M65.60%-710K-57.40%-4.11M-177.81%-2.11M347.67%639K93.82%-569K-149.81%-2.06M88.98%-2.61M161.06%2.71M79.94%-258K
Effect of exchange rate changes ---3K---2K--3K----------0--0--0--------
End cash Position -9.89%8.51M-27.46%7.26M-33.96%7.98M-33.96%7.98M7.68%10.08M-1.85%9.45M-46.82%10.01M-17.76%12.08M-17.76%12.08M-51.04%9.37M
Free cash flow -121.03%-1.29M22.59%-1.18M-199.02%-3.65M-194.49%-2.11M260.22%572K73.62%-585K-137.85%-1.52M130.93%3.68M150.28%2.23M75.80%-357K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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