bf/AMEX:BURU_icon.jpeg

AMEX:BURU

NUBURU

  • Stock

USD

Last Close

0.47

08/11 21:00

Market Cap

1.75M

Beta: 0.12

Volume Today

2.05M

Avg: 1.51M

PE Ratio

−0.27

PFCF: −0.32

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Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
7.28M
-
-10.21M
240.14%
-1.93M
81.11%
-2.64M
37.19%
-2.29M
13.49%
-3.90M
70.28%
-3.92M
0.71%
-4.02M
2.53%
-4.77M
18.52%
-6.11M
28.09%
-5.09M
16.73%
-4.75M
6.66%
-5.70M
20.09%
-12.69M
122.56%
depreciation and amortization
132.17K
-
132.17K
0%
143.38K
8.49%
139.23K
2.90%
135.15K
2.93%
155.63K
15.15%
89.75K
42.33%
69.97K
22.05%
126.11K
80.25%
98.90K
21.58%
144.96K
46.57%
135.93K
6.23%
256.89K
88.99%
132.64K
48.37%
deferred income tax
stock based compensation
126.59K
-
224.24K
77.13%
98.42K
56.11%
89.76K
8.80%
69.45K
22.62%
1.20M
1,623.75%
600.16K
49.87%
495.49K
17.44%
463.98K
6.36%
796.78K
71.73%
635.03K
20.30%
594.62K
6.36%
614.12K
3.28%
change in working capital
2.53M
-
1.01M
59.97%
-274.43K
127.07%
557.10K
303.00%
128.94K
76.86%
-503.23K
490.30%
1.22M
343.22%
497.00K
59.39%
510.02K
2.62%
344.77K
32.40%
-172.39K
150.00%
-109.00K
36.77%
1.69M
1,646.00%
accounts receivables
-1.50K
-
-1.50K
0%
-98.11K
6,440.47%
-69.17K
29.50%
135.50K
295.90%
-63.23K
146.66%
-592.72K
837.39%
416.52K
170.27%
-195.56K
146.95%
-124.17K
36.51%
177.03K
242.57%
-12.38K
106.99%
349.66K
2,925.51%
inventory
-253.16K
-
-253.16K
0%
-159.99K
36.80%
431.79K
369.90%
-163.68K
137.91%
-440.22K
168.94%
222.40K
150.52%
182.07K
18.13%
-357.79K
296.51%
197.06K
155.08%
-797.19K
504.53%
-655.87K
17.73%
-218.54K
66.68%
accounts payables
-52.45K
-
23.50K
144.80%
308.12K
1,211.25%
-142.14K
146.13%
941.40K
762.30%
-478.68K
150.85%
1.80M
476.68%
835.92K
53.64%
56.26K
93.27%
20.23K
64.04%
952.94K
4,610.28%
other working capital
2.53M
-
1.01M
59.97%
36.11K
96.44%
170.97K
373.52%
-151K
188.32%
142.36K
194.28%
652.85K
358.59%
377.08K
42.24%
-739.72K
296.17%
-564.05K
23.75%
391.51K
169.41%
539.01K
37.68%
-23.40K
104.34%
other non cash items
-10.09M
-
8.70M
186.27%
51.92K
99.40%
25.84K
50.23%
51.03K
97.51%
218.86K
328.85%
-548.19K
350.48%
20.18K
103.68%
-383.17K
1,998.65%
217.03K
156.64%
-81.67K
137.63%
-155.68K
90.63%
1.03M
759.32%
net cash provided by operating activities
-271.01K
-
-489.87K
80.76%
-1.91M
289.57%
-1.83M
3.97%
-1.90M
3.85%
-2.83M
48.54%
-2.56M
9.53%
-2.94M
14.95%
-4.05M
37.78%
-4.65M
14.78%
-4.56M
1.93%
-4.28M
6.11%
-2.09M
51.10%
investments in property plant and equipment
-84.08K
-
-84.08K
0%
-147.41K
75.33%
-110.89K
24.78%
-102.38K
7.67%
-83.09K
18.84%
-96.80K
16.50%
-253.76K
162.14%
-344.80K
35.88%
-481.07K
39.52%
-317.04K
34.10%
-24.84K
92.16%
acquisitions net
purchases of investments
-600K
-
sales maturities of investments
303.58M
-
other investing activites
21.60K
-
21.60K
0%
45K
108.33%
107.29K
138.43%
-302.98M
-
net cash used for investing activites
-62.48K
-
-62.48K
0%
-102.41K
63.92%
-3.59K
96.49%
-102.38K
2,749.46%
-83.09K
18.84%
-96.80K
16.50%
-253.76K
162.14%
-344.80K
35.88%
-481.07K
39.52%
-317.04K
34.10%
-24.84K
92.16%
debt repayment
-600K
-
-675K
-
common stock issued
-17K
-
-386.83K
-
200K
-
common stock repurchased
-302.87M
-
dividends paid
other financing activites
308.68M
-
4.10M
-
10.23M
149.56%
-121.59K
101.19%
-172.21K
41.62%
-23.37K
86.43%
net cash used provided by financing activities
-17K
-
7.80K
-
5.64M
72,245.77%
396.75K
92.97%
6.07K
98.47%
5.21M
85,747.35%
2.03M
61.09%
3.04M
49.95%
10.23M
236.78%
-121.59K
101.19%
4.83M
4,070.39%
176.63K
96.34%
effect of forex changes on cash
net change in cash
-350.49K
-
-489.87K
39.77%
-2.00M
308.88%
3.81M
290.05%
-1.61M
142.26%
-2.90M
80.51%
2.55M
187.92%
-1.17M
145.73%
-1.36M
16.25%
5.10M
475.90%
-5.00M
197.97%
521.97K
110.44%
-1.92M
467.23%
cash at beginning of period
2.31M
-
1.96M
15.18%
4.20M
114.72%
2.20M
47.65%
6.01M
172.97%
4.40M
26.78%
1.49M
66.02%
4.05M
170.82%
2.88M
28.84%
1.52M
47.12%
6.62M
334.97%
1.63M
75.44%
2.15M
32.09%
cash at end of period
1.96M
-
1.47M
25.02%
2.20M
49.93%
6.01M
172.97%
4.40M
26.78%
1.49M
66.02%
4.05M
170.82%
2.88M
28.84%
1.52M
47.12%
6.62M
334.97%
1.63M
75.44%
2.15M
32.09%
231.88K
89.21%
operating cash flow
-271.01K
-
-489.87K
80.76%
-1.91M
289.57%
-1.83M
3.97%
-1.90M
3.85%
-2.83M
48.54%
-2.56M
9.53%
-2.94M
14.95%
-4.05M
37.78%
-4.65M
14.78%
-4.56M
1.93%
-4.28M
6.11%
-2.09M
51.10%
capital expenditure
-84.08K
-
-84.08K
0%
-147.41K
75.33%
-110.89K
24.78%
-102.38K
7.67%
-83.09K
18.84%
-96.80K
16.50%
-253.76K
162.14%
-344.80K
35.88%
-481.07K
39.52%
-317.04K
34.10%
-24.84K
92.16%
free cash flow
-355.09K
-
-573.95K
61.63%
-2.06M
258.18%
-1.94M
5.46%
-2.01M
3.19%
-2.91M
45.10%
-2.65M
8.79%
-3.19M
20.32%
-4.40M
37.63%
-5.13M
16.72%
-4.88M
4.95%
-4.31M
11.70%
-2.09M
51.38%

All numbers in USD (except ratios and percentages)