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NNDM Nano Dimension

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  • 2.179
  • +0.049+2.31%
Trading Nov 21 13:54 ET
477.76MMarket Cap-5315P/E (TTM)

Nano Dimension Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
28.84%-13.91M
37.10%-17.71M
53.58%-12.98M
-14.14%-105.07M
-11.91%-29.41M
12.53%-19.55M
-28.20%-28.16M
-30.24%-27.95M
-115.84%-92.05M
-80.10%-26.28M
Net income from continuing operations
87.08%-8.64M
-370.56%-44.26M
-259.21%-34.96M
75.62%-55.66M
98.48%-1.34M
0.39%-66.87M
76.47%-9.41M
165.97%21.96M
-13.68%-228.3M
44.94%-87.9M
Operating gains losses
650.00%66K
--0
-95.16%6K
-65.61%326K
-100.82%-7K
-112.37%-12K
7,466.67%221K
4,233.33%124K
67.20%948K
73.13%857K
Depreciation and amortization
-3.65%1.53M
-11.36%1.37M
45.19%2.07M
-10.15%6.54M
66.22%1.99M
-50.81%1.59M
-10.20%1.54M
24.72%1.42M
-1.35%7.28M
-50.15%1.2M
Deferred tax
--0
--0
--0
98.11%-11K
-90.23%84K
--0
89.44%-92K
99.35%-3K
88.41%-581K
120.10%860K
Other non cash items
-36.69%-12.33M
12.66%-7.99M
-23.03%-9.74M
-646.13%-45.66M
-86.77%-19.57M
-67.23%-9.02M
-203.62%-9.15M
-962.31%-7.92M
65.14%-6.12M
-94.18%-10.48M
Change In working capital
-92.92%727K
68.28%-1.51M
109.21%404K
-521.34%-7.25M
-320.72%-8.36M
944.46%10.27M
-1,671.75%-4.77M
-4,200.93%-4.39M
-142.95%-1.17M
-160.83%-1.99M
-Change in receivables
-80.28%607K
216.65%946K
207.52%4.9M
-186.60%-11.38M
-57.12%-9.09M
-24.35%3.08M
-205.32%-811K
-50.66%-4.56M
-352.16%-3.97M
-1,510.86%-5.78M
-Change in inventory
114.21%290K
158.17%388K
-319.63%-2.29M
92.61%-340K
338.97%2.91M
-35.52%-2.04M
52.70%-667K
-16.45%-545K
-293.24%-4.6M
-141.00%-1.22M
-Change in payables and accrued expense
-97.52%244K
15.16%-2.93M
-277.13%-2.26M
0.61%5.95M
-136.92%-1.71M
1,139.47%9.82M
-1,489.86%-3.45M
-47.94%1.28M
387.14%5.91M
606.12%4.62M
-Change in other working capital
30.19%-414K
-50.00%81K
109.09%51K
-198.73%-1.48M
-222.73%-486K
6.61%-593K
-72.45%162K
-148.87%-561K
--1.5M
--396K
Cash from discontinued investing activities
Operating cash flow
28.84%-13.91M
37.10%-17.71M
53.58%-12.98M
-14.14%-105.07M
-11.91%-29.41M
12.53%-19.55M
-28.20%-28.16M
-30.24%-27.95M
-115.84%-92.05M
-80.10%-26.28M
Investing cash flow
Cash flow from continuing investing activities
-102.71%-3.33M
-77.29%17.16M
104.02%9.06M
-146.18%-166.6M
-140.94%-139.51M
139.10%122.71M
241.66%75.58M
-446.72%-225.38M
86.37%-67.67M
229.78%340.72M
Capital expenditure reported
--0
----
----
----
----
--0
----
----
----
----
Net PPE purchase and sale
74.81%-490K
87.63%-393K
80.32%-776K
3.09%-9.1M
99.04%-32K
-27.96%-1.95M
-23.91%-3.18M
-99.70%-3.94M
3.82%-9.39M
56.17%-3.33M
Net intangibles purchase and sale
--0
--0
---711K
---1.52M
--0
---1.52M
--0
--0
--0
----
Net business purchase and sale
--0
----
----
--0
925,400.00%9.26M
--0
-15,028.57%-5.3M
----
58.35%-31.06M
100.01%1K
Net investment purchase and sale
-111.34%-12.98M
-84.43%12.01M
97.11%-6.59M
-421.98%-189.06M
-146.22%-152.04M
138.01%114.38M
281.91%77.11M
-943.03%-228.5M
91.29%-36.22M
234.77%328.97M
Net other investing changes
450.00%14K
-105.91%-14K
99.74%-11K
0.31%-8.45M
-473.57%-8.41M
99.38%-4K
102.35%237K
-21,255.00%-4.23M
-26,378.13%-8.47M
225,200.00%2.25M
Cash from discontinued investing activities
Investing cash flow
-102.71%-3.33M
-77.29%17.16M
104.02%9.06M
-146.18%-166.6M
-140.94%-139.51M
139.10%122.71M
241.66%75.58M
-446.72%-225.38M
86.37%-67.67M
229.78%340.72M
Financing cash flow
Cash flow from continuing financing activities
99.01%-669K
-391.78%-19.46M
-169.20%-53.18M
-1,899.13%-105.41M
-849.87%-14.4M
-8,097.81%-67.3M
-96.33%-3.96M
-2,044.84%-19.75M
-100.66%-5.27M
-107.67%-1.52M
Net issuance payments of debt
6.16%-1.19M
6.98%-1.2M
5.01%-1.21M
-17.60%-5.36M
-30.87%-1.53M
2.01%-1.27M
-5.48%-1.29M
-45.78%-1.28M
-97.44%-4.56M
-9.79%-1.17M
Net common stock issuance
--0
-1,248.41%-18.19M
-180.37%-51.57M
---96.39M
---10.66M
---65.99M
-81.32%-1.35M
---18.39M
--0
--0
Proceeds from stock option exercised by employees
----
----
----
--0
----
----
----
----
--0
----
Net other financing activities
1,079.25%519K
95.06%-65K
-369.41%-399K
-412.29%-3.67M
-532.29%-2.21M
-111.25%-53K
-2,643.75%-1.32M
-88.89%-85K
-184.43%-716K
-232.08%-350K
Cash from discontinued financing activities
Financing cash flow
99.01%-669K
-391.78%-19.46M
-169.20%-53.18M
-1,899.13%-105.41M
-849.87%-14.4M
-8,097.81%-67.3M
-96.33%-3.96M
-2,044.84%-19.75M
-100.66%-5.27M
-107.67%-1.52M
Net cash flow
Beginning cash position
-49.01%231.78M
-38.89%251.86M
-54.83%309.57M
-19.71%685.36M
32.18%489.32M
-35.64%454.56M
-47.70%412.17M
-19.71%685.36M
45.83%853.63M
-67.17%370.2M
Current changes in cash
-149.94%-17.91M
-146.04%-20.01M
79.09%-57.09M
-128.54%-377.08M
-158.58%-183.31M
110.64%35.86M
156.20%43.46M
-329.33%-273.09M
-162.28%-165M
212.62%312.93M
Effect of exchange rate changes
80.84%-209K
93.30%-72K
-503.88%-622K
139.58%1.29M
59.12%3.56M
-213.41%-1.09M
76.56%-1.08M
94.51%-103K
-196.91%-3.26M
-39.53%2.24M
End cash Position
-56.34%213.66M
-49.01%231.78M
-38.89%251.86M
-54.83%309.57M
-54.83%309.57M
32.18%489.32M
-35.64%454.56M
-47.70%412.17M
-19.71%685.36M
-19.71%685.36M
Free cash flow
37.44%-14.4M
42.22%-18.11M
54.66%-14.46M
-14.05%-115.69M
0.56%-29.44M
3.57%-23.01M
-27.75%-31.34M
-36.09%-31.9M
-93.55%-101.44M
-33.44%-29.61M
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
--
(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 28.84%-13.91M37.10%-17.71M53.58%-12.98M-14.14%-105.07M-11.91%-29.41M12.53%-19.55M-28.20%-28.16M-30.24%-27.95M-115.84%-92.05M-80.10%-26.28M
Net income from continuing operations 87.08%-8.64M-370.56%-44.26M-259.21%-34.96M75.62%-55.66M98.48%-1.34M0.39%-66.87M76.47%-9.41M165.97%21.96M-13.68%-228.3M44.94%-87.9M
Operating gains losses 650.00%66K--0-95.16%6K-65.61%326K-100.82%-7K-112.37%-12K7,466.67%221K4,233.33%124K67.20%948K73.13%857K
Depreciation and amortization -3.65%1.53M-11.36%1.37M45.19%2.07M-10.15%6.54M66.22%1.99M-50.81%1.59M-10.20%1.54M24.72%1.42M-1.35%7.28M-50.15%1.2M
Deferred tax --0--0--098.11%-11K-90.23%84K--089.44%-92K99.35%-3K88.41%-581K120.10%860K
Other non cash items -36.69%-12.33M12.66%-7.99M-23.03%-9.74M-646.13%-45.66M-86.77%-19.57M-67.23%-9.02M-203.62%-9.15M-962.31%-7.92M65.14%-6.12M-94.18%-10.48M
Change In working capital -92.92%727K68.28%-1.51M109.21%404K-521.34%-7.25M-320.72%-8.36M944.46%10.27M-1,671.75%-4.77M-4,200.93%-4.39M-142.95%-1.17M-160.83%-1.99M
-Change in receivables -80.28%607K216.65%946K207.52%4.9M-186.60%-11.38M-57.12%-9.09M-24.35%3.08M-205.32%-811K-50.66%-4.56M-352.16%-3.97M-1,510.86%-5.78M
-Change in inventory 114.21%290K158.17%388K-319.63%-2.29M92.61%-340K338.97%2.91M-35.52%-2.04M52.70%-667K-16.45%-545K-293.24%-4.6M-141.00%-1.22M
-Change in payables and accrued expense -97.52%244K15.16%-2.93M-277.13%-2.26M0.61%5.95M-136.92%-1.71M1,139.47%9.82M-1,489.86%-3.45M-47.94%1.28M387.14%5.91M606.12%4.62M
-Change in other working capital 30.19%-414K-50.00%81K109.09%51K-198.73%-1.48M-222.73%-486K6.61%-593K-72.45%162K-148.87%-561K--1.5M--396K
Cash from discontinued investing activities
Operating cash flow 28.84%-13.91M37.10%-17.71M53.58%-12.98M-14.14%-105.07M-11.91%-29.41M12.53%-19.55M-28.20%-28.16M-30.24%-27.95M-115.84%-92.05M-80.10%-26.28M
Investing cash flow
Cash flow from continuing investing activities -102.71%-3.33M-77.29%17.16M104.02%9.06M-146.18%-166.6M-140.94%-139.51M139.10%122.71M241.66%75.58M-446.72%-225.38M86.37%-67.67M229.78%340.72M
Capital expenditure reported --0------------------0----------------
Net PPE purchase and sale 74.81%-490K87.63%-393K80.32%-776K3.09%-9.1M99.04%-32K-27.96%-1.95M-23.91%-3.18M-99.70%-3.94M3.82%-9.39M56.17%-3.33M
Net intangibles purchase and sale --0--0---711K---1.52M--0---1.52M--0--0--0----
Net business purchase and sale --0----------0925,400.00%9.26M--0-15,028.57%-5.3M----58.35%-31.06M100.01%1K
Net investment purchase and sale -111.34%-12.98M-84.43%12.01M97.11%-6.59M-421.98%-189.06M-146.22%-152.04M138.01%114.38M281.91%77.11M-943.03%-228.5M91.29%-36.22M234.77%328.97M
Net other investing changes 450.00%14K-105.91%-14K99.74%-11K0.31%-8.45M-473.57%-8.41M99.38%-4K102.35%237K-21,255.00%-4.23M-26,378.13%-8.47M225,200.00%2.25M
Cash from discontinued investing activities
Investing cash flow -102.71%-3.33M-77.29%17.16M104.02%9.06M-146.18%-166.6M-140.94%-139.51M139.10%122.71M241.66%75.58M-446.72%-225.38M86.37%-67.67M229.78%340.72M
Financing cash flow
Cash flow from continuing financing activities 99.01%-669K-391.78%-19.46M-169.20%-53.18M-1,899.13%-105.41M-849.87%-14.4M-8,097.81%-67.3M-96.33%-3.96M-2,044.84%-19.75M-100.66%-5.27M-107.67%-1.52M
Net issuance payments of debt 6.16%-1.19M6.98%-1.2M5.01%-1.21M-17.60%-5.36M-30.87%-1.53M2.01%-1.27M-5.48%-1.29M-45.78%-1.28M-97.44%-4.56M-9.79%-1.17M
Net common stock issuance --0-1,248.41%-18.19M-180.37%-51.57M---96.39M---10.66M---65.99M-81.32%-1.35M---18.39M--0--0
Proceeds from stock option exercised by employees --------------0------------------0----
Net other financing activities 1,079.25%519K95.06%-65K-369.41%-399K-412.29%-3.67M-532.29%-2.21M-111.25%-53K-2,643.75%-1.32M-88.89%-85K-184.43%-716K-232.08%-350K
Cash from discontinued financing activities
Financing cash flow 99.01%-669K-391.78%-19.46M-169.20%-53.18M-1,899.13%-105.41M-849.87%-14.4M-8,097.81%-67.3M-96.33%-3.96M-2,044.84%-19.75M-100.66%-5.27M-107.67%-1.52M
Net cash flow
Beginning cash position -49.01%231.78M-38.89%251.86M-54.83%309.57M-19.71%685.36M32.18%489.32M-35.64%454.56M-47.70%412.17M-19.71%685.36M45.83%853.63M-67.17%370.2M
Current changes in cash -149.94%-17.91M-146.04%-20.01M79.09%-57.09M-128.54%-377.08M-158.58%-183.31M110.64%35.86M156.20%43.46M-329.33%-273.09M-162.28%-165M212.62%312.93M
Effect of exchange rate changes 80.84%-209K93.30%-72K-503.88%-622K139.58%1.29M59.12%3.56M-213.41%-1.09M76.56%-1.08M94.51%-103K-196.91%-3.26M-39.53%2.24M
End cash Position -56.34%213.66M-49.01%231.78M-38.89%251.86M-54.83%309.57M-54.83%309.57M32.18%489.32M-35.64%454.56M-47.70%412.17M-19.71%685.36M-19.71%685.36M
Free cash flow 37.44%-14.4M42.22%-18.11M54.66%-14.46M-14.05%-115.69M0.56%-29.44M3.57%-23.01M-27.75%-31.34M-36.09%-31.9M-93.55%-101.44M-33.44%-29.61M
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

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Price Target

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