US Stock MarketDetailed Quotes

PLAB Photronics

Watchlist
  • 25.360
  • -0.070-0.28%
Close Nov 26 16:00 ET
  • 25.360
  • 0.0000.00%
Post 16:03 ET
1.61BMarket Cap11.17P/E (TTM)

Photronics Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jul 28, 2024
(Q2)Apr 28, 2024
(Q1)Jan 28, 2024
(FY)Oct 31, 2023
(Q4)Oct 31, 2023
(Q3)Jul 30, 2023
(Q2)Apr 30, 2023
(Q1)Jan 29, 2023
(FY)Oct 31, 2022
(Q4)Oct 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-12.57%75.08M
-6.72%76.49M
49.96%41.51M
9.81%302.18M
34.51%106.62M
-7.29%85.88M
85.69%82M
-53.19%27.68M
82.52%275.19M
110.39%79.27M
Net income from continuing operations
-0.18%48.17M
-4.89%56.37M
35.00%39.08M
11.38%199.63M
14.28%63.16M
-1.97%48.26M
37.75%59.27M
-8.75%28.95M
127.42%179.24M
93.02%55.26M
Depreciation and amortization
-1.53%20.13M
4.03%20.79M
8.36%20.7M
0.63%80.84M
11.46%21.31M
3.20%20.44M
-2.99%19.98M
-8.19%19.11M
-11.14%80.33M
-9.35%19.12M
Deferred tax
----
----
----
-214.59%-927K
----
----
----
----
138.34%809K
----
Change In working capital
-77.26%3.44M
-725.44%-4.6M
6.07%-20.85M
72.19%14.63M
777.39%20.95M
-31.24%15.14M
103.49%735K
-532.08%-22.2M
139.20%8.5M
121.23%2.39M
-Change in receivables
-161.88%-2.77M
-69.56%491K
61.59%-2.91M
107.86%4.03M
191.28%5.51M
122.26%4.47M
105.68%1.61M
-331.42%-7.57M
-39.90%-51.23M
73.50%-6.03M
-Change in inventory
-75.25%-1.38M
-33.41%-4.82M
-76.01%409K
160.62%1.24M
208.87%3.93M
-111.85%-788K
-286.18%-3.61M
124.29%1.71M
-168.26%-2.04M
-73.01%-3.61M
-Change in payables and accrued expense
-31.41%6.03M
110.45%1.22M
-373.38%-15.51M
-100.49%-294K
-48.62%5.9M
-63.27%8.79M
-222.86%-11.71M
-120.98%-3.28M
138.20%60.57M
-22.35%11.49M
-Change in other current assets
-41.52%1.56M
-110.36%-1.5M
78.22%-2.84M
702.74%9.67M
933.52%5.61M
-76.81%2.67M
449.85%14.44M
-94.06%-13.06M
108.94%1.2M
145.55%543K
Cash from discontinued investing activities
Operating cash flow
-12.57%75.08M
-6.72%76.49M
49.96%41.51M
9.81%302.18M
34.51%106.62M
-7.29%85.88M
85.69%82M
-53.19%27.68M
82.52%275.19M
110.39%79.27M
Investing cash flow
Cash flow from continuing investing activities
-1,286.42%-27.35M
-125.89%-72.49M
-39.92%-42.22M
31.28%-101.55M
63.65%-37.31M
82.86%-1.97M
-122.91%-32.09M
-56.99%-30.17M
-42.77%-147.76M
-511.00%-102.64M
Net PPE purchase and sale
-15.83%-24.42M
24.91%-20M
-39.29%-43.31M
-16.87%-131.3M
20.48%-52.48M
-82.90%-21.09M
-70.34%-26.63M
-62.17%-31.1M
-2.97%-112.34M
-292.91%-66M
Net intangibles purchase and sale
----
----
----
42.93%-117K
----
----
----
----
-20.59%-205K
----
Net investment purchase and sale
-116.52%-3.06M
-805.77%-52.87M
--64K
170.38%27.35M
137.79%14.68M
--18.5M
---5.84M
--0
---38.85M
---38.85M
Net other investing changes
-79.74%124K
0.00%378K
11.65%1.04M
-30.71%2.52M
-75.05%605K
2,960.00%612K
-69.47%378K
2,255.81%927K
-36.97%3.64M
1,326.47%2.43M
Cash from discontinued investing activities
Investing cash flow
-1,286.42%-27.35M
-125.89%-72.49M
-39.92%-42.22M
31.28%-101.55M
63.65%-37.31M
82.86%-1.97M
-122.91%-32.09M
-56.99%-30.17M
-42.77%-147.76M
-511.00%-102.64M
Financing cash flow
Cash flow from continuing financing activities
-46.64%-1.7M
66.43%-1.86M
70.44%-2.87M
52.20%-18.49M
84.26%-2.09M
95.01%-1.16M
-201.91%-5.53M
-2,799.70%-9.71M
28.22%-38.69M
51.77%-13.29M
Net issuance payments of debt
-1.53%-1.66M
70.01%-1.65M
87.05%-1.19M
71.82%-18.44M
84.56%-2.09M
93.30%-1.63M
55.55%-5.5M
39.32%-9.22M
-13,032.81%-65.44M
-92.06%-13.52M
Net common stock issuance
----
----
----
--0
----
----
----
----
94.77%-2.52M
--0
Proceeds from stock option exercised by employees
-60.00%-64K
-286.90%-325K
-123.72%-2.61M
-101.26%-54K
-78.44%1.24M
-263.64%-40K
97.81%-84K
-149.03%-1.17M
24.47%4.28M
261.30%5.74M
Net other financing activities
-96.28%19K
105.17%119K
39.29%936K
----
----
-54.42%511K
-99.60%58K
-95.52%672K
360.45%25M
---5.51M
Cash from discontinued financing activities
Financing cash flow
-46.64%-1.7M
66.43%-1.86M
70.44%-2.87M
52.20%-18.49M
84.26%-2.09M
95.01%-1.16M
-201.91%-5.53M
-2,799.70%-9.71M
28.22%-38.69M
51.77%-13.29M
Net cash flow
Beginning cash position
34.40%493.91M
51.89%508.52M
55.66%501.87M
15.28%322.41M
17.76%448.48M
10.60%367.49M
5.55%334.79M
15.28%322.41M
-0.68%279.68M
33.04%380.83M
Current changes in cash
-44.38%46.03M
-95.18%2.14M
70.68%-3.58M
105.25%182.14M
283.37%67.22M
42.94%82.75M
58.88%44.38M
-130.84%-12.2M
1,439.49%88.74M
-449.57%-36.66M
Effect of exchange rate changes
-44.63%-2.62M
-41.99%-16.87M
-52.63%13.03M
94.18%-2.68M
33.24%-16.49M
71.71%-1.81M
7.64%-11.88M
1,436.85%27.5M
-1,078.35%-46.01M
-24,559.41%-24.7M
End cash Position
19.81%537.33M
34.40%493.91M
51.89%508.52M
56.18%499.29M
56.18%499.29M
17.76%448.48M
10.60%367.49M
5.55%334.79M
15.55%319.68M
15.55%319.68M
Free cash flow
-21.82%50.66M
2.03%56.49M
47.15%-1.81M
4.99%170.76M
313.64%54.02M
-20.11%64.79M
94.10%55.37M
-108.55%-3.42M
291.88%162.64M
-36.93%13.06M
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
--
(Q3)Jul 28, 2024(Q2)Apr 28, 2024(Q1)Jan 28, 2024(FY)Oct 31, 2023(Q4)Oct 31, 2023(Q3)Jul 30, 2023(Q2)Apr 30, 2023(Q1)Jan 29, 2023(FY)Oct 31, 2022(Q4)Oct 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -12.57%75.08M-6.72%76.49M49.96%41.51M9.81%302.18M34.51%106.62M-7.29%85.88M85.69%82M-53.19%27.68M82.52%275.19M110.39%79.27M
Net income from continuing operations -0.18%48.17M-4.89%56.37M35.00%39.08M11.38%199.63M14.28%63.16M-1.97%48.26M37.75%59.27M-8.75%28.95M127.42%179.24M93.02%55.26M
Depreciation and amortization -1.53%20.13M4.03%20.79M8.36%20.7M0.63%80.84M11.46%21.31M3.20%20.44M-2.99%19.98M-8.19%19.11M-11.14%80.33M-9.35%19.12M
Deferred tax -------------214.59%-927K----------------138.34%809K----
Change In working capital -77.26%3.44M-725.44%-4.6M6.07%-20.85M72.19%14.63M777.39%20.95M-31.24%15.14M103.49%735K-532.08%-22.2M139.20%8.5M121.23%2.39M
-Change in receivables -161.88%-2.77M-69.56%491K61.59%-2.91M107.86%4.03M191.28%5.51M122.26%4.47M105.68%1.61M-331.42%-7.57M-39.90%-51.23M73.50%-6.03M
-Change in inventory -75.25%-1.38M-33.41%-4.82M-76.01%409K160.62%1.24M208.87%3.93M-111.85%-788K-286.18%-3.61M124.29%1.71M-168.26%-2.04M-73.01%-3.61M
-Change in payables and accrued expense -31.41%6.03M110.45%1.22M-373.38%-15.51M-100.49%-294K-48.62%5.9M-63.27%8.79M-222.86%-11.71M-120.98%-3.28M138.20%60.57M-22.35%11.49M
-Change in other current assets -41.52%1.56M-110.36%-1.5M78.22%-2.84M702.74%9.67M933.52%5.61M-76.81%2.67M449.85%14.44M-94.06%-13.06M108.94%1.2M145.55%543K
Cash from discontinued investing activities
Operating cash flow -12.57%75.08M-6.72%76.49M49.96%41.51M9.81%302.18M34.51%106.62M-7.29%85.88M85.69%82M-53.19%27.68M82.52%275.19M110.39%79.27M
Investing cash flow
Cash flow from continuing investing activities -1,286.42%-27.35M-125.89%-72.49M-39.92%-42.22M31.28%-101.55M63.65%-37.31M82.86%-1.97M-122.91%-32.09M-56.99%-30.17M-42.77%-147.76M-511.00%-102.64M
Net PPE purchase and sale -15.83%-24.42M24.91%-20M-39.29%-43.31M-16.87%-131.3M20.48%-52.48M-82.90%-21.09M-70.34%-26.63M-62.17%-31.1M-2.97%-112.34M-292.91%-66M
Net intangibles purchase and sale ------------42.93%-117K-----------------20.59%-205K----
Net investment purchase and sale -116.52%-3.06M-805.77%-52.87M--64K170.38%27.35M137.79%14.68M--18.5M---5.84M--0---38.85M---38.85M
Net other investing changes -79.74%124K0.00%378K11.65%1.04M-30.71%2.52M-75.05%605K2,960.00%612K-69.47%378K2,255.81%927K-36.97%3.64M1,326.47%2.43M
Cash from discontinued investing activities
Investing cash flow -1,286.42%-27.35M-125.89%-72.49M-39.92%-42.22M31.28%-101.55M63.65%-37.31M82.86%-1.97M-122.91%-32.09M-56.99%-30.17M-42.77%-147.76M-511.00%-102.64M
Financing cash flow
Cash flow from continuing financing activities -46.64%-1.7M66.43%-1.86M70.44%-2.87M52.20%-18.49M84.26%-2.09M95.01%-1.16M-201.91%-5.53M-2,799.70%-9.71M28.22%-38.69M51.77%-13.29M
Net issuance payments of debt -1.53%-1.66M70.01%-1.65M87.05%-1.19M71.82%-18.44M84.56%-2.09M93.30%-1.63M55.55%-5.5M39.32%-9.22M-13,032.81%-65.44M-92.06%-13.52M
Net common stock issuance --------------0----------------94.77%-2.52M--0
Proceeds from stock option exercised by employees -60.00%-64K-286.90%-325K-123.72%-2.61M-101.26%-54K-78.44%1.24M-263.64%-40K97.81%-84K-149.03%-1.17M24.47%4.28M261.30%5.74M
Net other financing activities -96.28%19K105.17%119K39.29%936K---------54.42%511K-99.60%58K-95.52%672K360.45%25M---5.51M
Cash from discontinued financing activities
Financing cash flow -46.64%-1.7M66.43%-1.86M70.44%-2.87M52.20%-18.49M84.26%-2.09M95.01%-1.16M-201.91%-5.53M-2,799.70%-9.71M28.22%-38.69M51.77%-13.29M
Net cash flow
Beginning cash position 34.40%493.91M51.89%508.52M55.66%501.87M15.28%322.41M17.76%448.48M10.60%367.49M5.55%334.79M15.28%322.41M-0.68%279.68M33.04%380.83M
Current changes in cash -44.38%46.03M-95.18%2.14M70.68%-3.58M105.25%182.14M283.37%67.22M42.94%82.75M58.88%44.38M-130.84%-12.2M1,439.49%88.74M-449.57%-36.66M
Effect of exchange rate changes -44.63%-2.62M-41.99%-16.87M-52.63%13.03M94.18%-2.68M33.24%-16.49M71.71%-1.81M7.64%-11.88M1,436.85%27.5M-1,078.35%-46.01M-24,559.41%-24.7M
End cash Position 19.81%537.33M34.40%493.91M51.89%508.52M56.18%499.29M56.18%499.29M17.76%448.48M10.60%367.49M5.55%334.79M15.55%319.68M15.55%319.68M
Free cash flow -21.82%50.66M2.03%56.49M47.15%-1.81M4.99%170.76M313.64%54.02M-20.11%64.79M94.10%55.37M-108.55%-3.42M291.88%162.64M-36.93%13.06M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
% Chg

No Data