bf/NYSE:DDD_icon.jpeg

COM:3DSYSTEMS

3D Systems

  • Stock

USD

Last Close

3.22

22/11 21:00

Market Cap

464.35M

Beta: -

Volume Today

2.46M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
11.95M
-
-663.92M
5,657.72%
-39.27M
94.09%
-65.32M
66.36%
-45.26M
30.71%
-69.63M
53.84%
-149.59M
114.84%
322.05M
315.28%
-122.95M
138.18%
-370.43M
201.29%
depreciation and amortization
55.19M
-
83.07M
50.52%
60.53M
27.13%
62.04M
2.49%
59.29M
4.43%
50.40M
15.01%
44.59M
11.51%
34.62M
22.36%
38.69M
11.73%
33.41M
13.63%
deferred income tax
-24.55M
-
-2.88M
88.29%
-6.57M
128.38%
-5.57M
15.21%
-2.99M
46.29%
-3.35M
12.17%
-1.21M
64.04%
-11.68M
868.41%
-2.52M
78.44%
-2.41M
4.21%
stock based compensation
32.79M
-
34.73M
5.92%
31.30M
9.90%
27.26M
12.89%
29.25M
7.31%
23.59M
19.37%
17.73M
24.85%
55.15M
211.16%
42.41M
23.10%
23.37M
44.91%
change in working capital
-34.76M
-
-35.30M
1.53%
-11.95M
66.15%
-906K
92.42%
-31.19M
3,342.49%
27.46M
188.04%
-7.31M
126.61%
-707K
90.32%
-30.19M
4,169.87%
-65.51M
117.01%
accounts receivables
-55.98M
-
20.89M
137.32%
27.13M
29.87%
3.99M
85.30%
599K
84.98%
15.07M
2,416.03%
-6.05M
140.16%
-11.91M
96.83%
8.14M
168.33%
-6.79M
183.45%
inventory
-30.75M
-
-31.24M
1.58%
-22.18M
29.01%
-17.72M
20.12%
-34.03M
92.11%
18.45M
154.20%
-9.90M
153.67%
7.87M
179.45%
-48.14M
712.00%
-20.78M
56.84%
accounts payables
23.48M
-
-18.90M
180.50%
-5.88M
68.91%
12.45M
311.77%
11.56M
7.14%
-16.85M
245.74%
-6.65M
60.51%
27.16M
508.22%
-2.69M
109.92%
-5.53M
105.05%
other working capital
28.49M
-
-6.04M
121.21%
-11.02M
82.44%
375K
103.40%
-9.31M
2,583.20%
10.79M
215.84%
15.30M
41.83%
-23.82M
255.70%
12.51M
152.51%
-32.41M
359.16%
other non cash items
10.50M
-
581.17M
5,433.86%
22.85M
96.07%
8.44M
63.08%
-4.31M
151.07%
3.13M
172.54%
75.67M
2,321.31%
-351.30M
564.27%
6.16M
101.75%
300.90M
4,785.60%
net cash provided by operating activities
51.11M
-
-3.13M
106.12%
56.90M
1,919.12%
25.94M
54.41%
4.80M
81.51%
31.58M
558.49%
-20.12M
163.71%
48.15M
339.29%
-68.39M
242.05%
-80.67M
17.95%
investments in property plant and equipment
-23.48M
-
-23.31M
0.74%
-17.70M
24.06%
-32.04M
81.03%
-41.66M
30.04%
-23.98M
42.43%
-13.64M
43.12%
-18.79M
37.73%
-22.50M
19.73%
-27.18M
20.82%
acquisitions net
-345.36M
-
-91.80M
73.42%
-3.53M
96.15%
-36.54M
934.28%
-2.50M
-
-12.50M
400%
-139.69M
1,017.48%
-103.65M
25.80%
-28.96M
72.06%
purchases of investments
-384.39M
-
-194K
99.95%
sales maturities of investments
200.31M
-
180.93M
9.68%
other investing activites
-6.60M
-
-5.75M
12.88%
-650K
88.70%
-2.08M
219.69%
-163K
92.16%
-387K
137.42%
1.91M
593.54%
419.03M
21,838.80%
325K
99.92%
194K
40.31%
net cash used for investing activites
-375.44M
-
-120.86M
67.81%
-21.88M
81.89%
-70.66M
222.91%
-41.83M
40.80%
-26.87M
35.75%
-24.23M
9.82%
260.56M
1,175.21%
-309.89M
218.94%
124.78M
140.27%
debt repayment
-696K
-
-1.05M
50.72%
-1.05M
0.57%
-437K
58.58%
-694K
58.81%
-76.77M
10,961.67%
-46.84M
38.98%
-21.39M
54.33%
-100.61M
-
common stock issued
299.73M
-
24.70M
-
common stock repurchased
-2.87M
-
-3.19M
-
-5.14M
60.86%
-12.62M
145.60%
-10.86M
13.91%
dividends paid
-5.14M
-
other financing activites
9.55M
-
-1.11M
111.60%
-8.75M
-
14.96M
270.93%
98.66M
559.59%
25.43M
74.22%
439.81M
1,629.22%
-2.96M
100.67%
-5.86M
97.80%
net cash used provided by financing activities
308.58M
-
-2.16M
100.70%
-3.93M
82.01%
-9.19M
134.03%
14.26M
255.25%
18.70M
31.10%
-6.98M
137.33%
405.80M
5,913.75%
-13.82M
103.41%
-106.47M
670.18%
effect of forex changes on cash
-5.71M
-
-3.08M
46.04%
-1.79M
41.86%
5.30M
396.26%
-3.15M
159.31%
289K
109.19%
1.43M
394.12%
-9.24M
747.27%
-5.88M
36.37%
3.49M
159.38%
net change in cash
-21.45M
-
-129.22M
502.31%
29.30M
122.68%
-48.60M
265.86%
-25.91M
46.69%
23.70M
191.46%
-49.91M
310.59%
705.26M
1,513.17%
-398.00M
156.43%
-56.60M
85.78%
cash at beginning of period
306.32M
-
284.86M
7.00%
155.64M
45.36%
184.95M
18.83%
136.83M
26.02%
110.92M
18.94%
134.62M
21.37%
84.71M
37.07%
789.97M
832.55%
388.25M
50.85%
cash at end of period
284.86M
-
155.64M
45.36%
184.95M
18.83%
136.34M
26.28%
110.92M
18.65%
134.62M
21.37%
84.71M
37.07%
789.97M
832.55%
391.98M
50.38%
331.64M
15.39%
operating cash flow
51.11M
-
-3.13M
106.12%
56.90M
1,919.12%
25.94M
54.41%
4.80M
81.51%
31.58M
558.49%
-20.12M
163.71%
48.15M
339.29%
-68.39M
242.05%
-80.67M
17.95%
capital expenditure
-23.48M
-
-23.31M
0.74%
-17.70M
24.06%
-32.04M
81.03%
-41.66M
30.04%
-23.98M
42.43%
-13.64M
43.12%
-18.79M
37.73%
-22.50M
19.73%
-27.18M
20.82%
free cash flow
27.63M
-
-26.43M
195.67%
39.20M
248.31%
-6.10M
115.56%
-36.87M
504.49%
7.60M
120.60%
-33.76M
544.50%
29.36M
186.94%
-90.89M
409.63%
-107.85M
18.66%

All numbers in USD (except ratios and percentages)