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EGAN eGain

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  • 5.720
  • +0.050+0.88%
Trading Dec 23 14:00 ET
163.16MMarket Cap30.11P/E (TTM)

eGain Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-88.27%954K
169.51%12.45M
-14.82%-5.12M
93.15%1.75M
3.78%7.7M
969.87%8.13M
-43.10%4.62M
-296.09%-4.46M
-22.38%905K
397.91%7.42M
Net income from continuing operations
-74.88%652K
268.90%7.78M
-42.10%1.51M
501.34%1.49M
2,200.96%2.19M
16,325.00%2.6M
186.40%2.11M
267.70%2.6M
39.51%-372K
87.41%-104K
Operating gains losses
----
----
----
----
----
----
---9K
--0
---7K
----
Depreciation and amortization
-8.48%367K
-9.01%1.49M
-12.62%360K
-22.06%325K
-1.48%399K
0.75%401K
7.09%1.63M
7.01%412K
6.11%417K
2.79%405K
Deferred tax
586.67%219K
115.58%91K
351.13%555K
-32.30%-213K
4.63%-206K
-421.43%-45K
-300.00%-584K
-136.29%-221K
-35.29%-161K
-1,863.64%-216K
Other non cash items
-29.20%354K
-1.96%1.5M
-12.96%329K
-14.70%325K
-12.66%345K
33.33%500K
3.17%1.53M
5.59%378K
-2.81%381K
5.05%395K
Change In working capital
-137.45%-1.34M
53.93%-3.02M
-2.42%-8.88M
-58.12%-1.39M
-28.74%3.67M
265.79%3.58M
-56.84%-6.56M
-20,542.86%-8.67M
55.21%-881K
181.37%5.15M
-Change in receivables
-31.77%8.94M
94.21%-261K
2.09%-20.77M
-50.04%3.17M
-52.02%4.23M
756.21%13.1M
-100.62%-4.51M
-114.33%-21.21M
268.68%6.35M
357.01%8.82M
-Change in prepaid assets
555.73%597K
-376.22%-453K
-430.00%-528K
50.00%-233K
-66.07%439K
84.10%-131K
-54.06%164K
140.00%160K
-33.91%-466K
232.65%1.29M
-Change in payables and accrued expense
-28.55%-4.93M
197.92%330K
109.72%1.36M
43.33%2.28M
3,642.86%524K
-48.01%-3.83M
-848.89%-337K
-51.24%648K
-55.08%1.59M
104.13%14K
-Change in other current assets
614.67%386K
20.13%-250K
64.15%-57K
74.67%-115K
95.52%-3K
-120.44%-75K
-85.21%-313K
-284.88%-159K
-131.63%-454K
-2,133.33%-67K
-Change in other current liabilities
31.72%-183K
14.53%-894K
11.64%-243K
30.50%-180K
3.33%-203K
11.26%-268K
23.65%-1.05M
-1.10%-275K
38.48%-259K
39.66%-210K
-Change in other working capital
-18.03%-6.15M
-186.40%-1.5M
-6.67%11.36M
17.34%-6.32M
71.92%-1.32M
-1,424.27%-5.21M
34.75%-522K
33.53%12.17M
-882.13%-7.64M
-81.38%-4.71M
Cash from discontinued investing activities
Operating cash flow
-88.27%954K
169.51%12.45M
-14.82%-5.12M
93.15%1.75M
3.78%7.7M
969.87%8.13M
-43.10%4.62M
-296.09%-4.46M
-22.38%905K
397.91%7.42M
Investing cash flow
Cash flow from continuing investing activities
-240.63%-109K
31.25%-198K
30.00%-49K
-118.67%-14K
40.46%-103K
73.33%-32K
54.14%-288K
18.60%-70K
128.20%75K
-19.31%-173K
Net PPE purchase and sale
-240.63%-109K
31.25%-198K
30.00%-49K
-118.67%-14K
40.46%-103K
73.33%-32K
54.14%-288K
18.60%-70K
128.20%75K
-19.31%-173K
Cash from discontinued investing activities
Investing cash flow
-240.63%-109K
31.25%-198K
30.00%-49K
-118.67%-14K
40.46%-103K
73.33%-32K
54.14%-288K
18.60%-70K
128.20%75K
-19.31%-173K
Financing cash flow
Cash flow from continuing financing activities
-821.25%-4.42M
-277.32%-15.39M
-94.05%-7.93M
-436.47%-5.35M
-266.97%-1.63M
-1,700.00%-480K
-222.60%-4.08M
-662.04%-4.09M
-166.01%-998K
44.02%975K
Net issuance payments of debt
--0
----
----
----
--44K
--33K
----
----
----
----
Net common stock issuance
-786.85%-4.59M
-198.30%-17.19M
-87.45%-8.74M
-393.82%-5.44M
---2.5M
---517K
---5.76M
---4.66M
---1.1M
--0
Cash dividends paid
----
--0
--0
----
----
----
--0
--0
----
----
Proceeds from stock option exercised by employees
3,975.00%163K
6.95%1.8M
40.63%810K
56.31%161K
-15.28%826K
-86.67%4K
-49.38%1.68M
-20.77%576K
-93.19%103K
--975K
Cash from discontinued financing activities
Financing cash flow
-821.25%-4.42M
-277.32%-15.39M
-94.05%-7.93M
-436.47%-5.35M
-266.97%-1.63M
-1,700.00%-480K
-222.60%-4.08M
-662.04%-4.09M
-166.01%-998K
44.02%975K
Net cash flow
Beginning cash position
-4.37%70.01M
1.42%73.21M
2.06%82.99M
7.38%86.84M
11.61%79.83M
1.42%73.21M
14.14%72.18M
15.33%81.31M
18.08%80.87M
1.58%71.53M
Current changes in cash
-146.95%-3.58M
-1,334.25%-3.14M
-52.04%-13.1M
-20,011.11%-3.62M
-27.42%5.96M
1,037.16%7.62M
-97.65%254K
-395.54%-8.62M
-100.75%-18K
519.88%8.22M
Effect of exchange rate changes
178.45%779K
-108.01%-62K
-76.47%120K
-150.55%-231K
-7.46%1.04M
24.72%-993K
141.21%774K
141.23%510K
214.82%457K
4,591.67%1.13M
End cash Position
-15.81%67.21M
-4.37%70.01M
-4.37%70.01M
2.06%82.99M
7.38%86.84M
11.61%79.83M
1.42%73.21M
1.42%73.21M
15.33%81.31M
18.08%80.87M
Free cash flow
-89.57%845K
182.85%12.26M
-14.13%-5.17M
76.94%1.73M
4.83%7.59M
1,165.47%8.1M
-42.17%4.33M
-306.99%-4.53M
8.89%980K
374.94%7.24M
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)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -88.27%954K169.51%12.45M-14.82%-5.12M93.15%1.75M3.78%7.7M969.87%8.13M-43.10%4.62M-296.09%-4.46M-22.38%905K397.91%7.42M
Net income from continuing operations -74.88%652K268.90%7.78M-42.10%1.51M501.34%1.49M2,200.96%2.19M16,325.00%2.6M186.40%2.11M267.70%2.6M39.51%-372K87.41%-104K
Operating gains losses ---------------------------9K--0---7K----
Depreciation and amortization -8.48%367K-9.01%1.49M-12.62%360K-22.06%325K-1.48%399K0.75%401K7.09%1.63M7.01%412K6.11%417K2.79%405K
Deferred tax 586.67%219K115.58%91K351.13%555K-32.30%-213K4.63%-206K-421.43%-45K-300.00%-584K-136.29%-221K-35.29%-161K-1,863.64%-216K
Other non cash items -29.20%354K-1.96%1.5M-12.96%329K-14.70%325K-12.66%345K33.33%500K3.17%1.53M5.59%378K-2.81%381K5.05%395K
Change In working capital -137.45%-1.34M53.93%-3.02M-2.42%-8.88M-58.12%-1.39M-28.74%3.67M265.79%3.58M-56.84%-6.56M-20,542.86%-8.67M55.21%-881K181.37%5.15M
-Change in receivables -31.77%8.94M94.21%-261K2.09%-20.77M-50.04%3.17M-52.02%4.23M756.21%13.1M-100.62%-4.51M-114.33%-21.21M268.68%6.35M357.01%8.82M
-Change in prepaid assets 555.73%597K-376.22%-453K-430.00%-528K50.00%-233K-66.07%439K84.10%-131K-54.06%164K140.00%160K-33.91%-466K232.65%1.29M
-Change in payables and accrued expense -28.55%-4.93M197.92%330K109.72%1.36M43.33%2.28M3,642.86%524K-48.01%-3.83M-848.89%-337K-51.24%648K-55.08%1.59M104.13%14K
-Change in other current assets 614.67%386K20.13%-250K64.15%-57K74.67%-115K95.52%-3K-120.44%-75K-85.21%-313K-284.88%-159K-131.63%-454K-2,133.33%-67K
-Change in other current liabilities 31.72%-183K14.53%-894K11.64%-243K30.50%-180K3.33%-203K11.26%-268K23.65%-1.05M-1.10%-275K38.48%-259K39.66%-210K
-Change in other working capital -18.03%-6.15M-186.40%-1.5M-6.67%11.36M17.34%-6.32M71.92%-1.32M-1,424.27%-5.21M34.75%-522K33.53%12.17M-882.13%-7.64M-81.38%-4.71M
Cash from discontinued investing activities
Operating cash flow -88.27%954K169.51%12.45M-14.82%-5.12M93.15%1.75M3.78%7.7M969.87%8.13M-43.10%4.62M-296.09%-4.46M-22.38%905K397.91%7.42M
Investing cash flow
Cash flow from continuing investing activities -240.63%-109K31.25%-198K30.00%-49K-118.67%-14K40.46%-103K73.33%-32K54.14%-288K18.60%-70K128.20%75K-19.31%-173K
Net PPE purchase and sale -240.63%-109K31.25%-198K30.00%-49K-118.67%-14K40.46%-103K73.33%-32K54.14%-288K18.60%-70K128.20%75K-19.31%-173K
Cash from discontinued investing activities
Investing cash flow -240.63%-109K31.25%-198K30.00%-49K-118.67%-14K40.46%-103K73.33%-32K54.14%-288K18.60%-70K128.20%75K-19.31%-173K
Financing cash flow
Cash flow from continuing financing activities -821.25%-4.42M-277.32%-15.39M-94.05%-7.93M-436.47%-5.35M-266.97%-1.63M-1,700.00%-480K-222.60%-4.08M-662.04%-4.09M-166.01%-998K44.02%975K
Net issuance payments of debt --0--------------44K--33K----------------
Net common stock issuance -786.85%-4.59M-198.30%-17.19M-87.45%-8.74M-393.82%-5.44M---2.5M---517K---5.76M---4.66M---1.1M--0
Cash dividends paid ------0--0--------------0--0--------
Proceeds from stock option exercised by employees 3,975.00%163K6.95%1.8M40.63%810K56.31%161K-15.28%826K-86.67%4K-49.38%1.68M-20.77%576K-93.19%103K--975K
Cash from discontinued financing activities
Financing cash flow -821.25%-4.42M-277.32%-15.39M-94.05%-7.93M-436.47%-5.35M-266.97%-1.63M-1,700.00%-480K-222.60%-4.08M-662.04%-4.09M-166.01%-998K44.02%975K
Net cash flow
Beginning cash position -4.37%70.01M1.42%73.21M2.06%82.99M7.38%86.84M11.61%79.83M1.42%73.21M14.14%72.18M15.33%81.31M18.08%80.87M1.58%71.53M
Current changes in cash -146.95%-3.58M-1,334.25%-3.14M-52.04%-13.1M-20,011.11%-3.62M-27.42%5.96M1,037.16%7.62M-97.65%254K-395.54%-8.62M-100.75%-18K519.88%8.22M
Effect of exchange rate changes 178.45%779K-108.01%-62K-76.47%120K-150.55%-231K-7.46%1.04M24.72%-993K141.21%774K141.23%510K214.82%457K4,591.67%1.13M
End cash Position -15.81%67.21M-4.37%70.01M-4.37%70.01M2.06%82.99M7.38%86.84M11.61%79.83M1.42%73.21M1.42%73.21M15.33%81.31M18.08%80.87M
Free cash flow -89.57%845K182.85%12.26M-14.13%-5.17M76.94%1.73M4.83%7.59M1,165.47%8.1M-42.17%4.33M-306.99%-4.53M8.89%980K374.94%7.24M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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