bf/NYSE:CHPT_icon.png

COM:CHARGEPOINT

ChargePoint

  • Stock

Last Close

1.09

21/11 21:00

Market Cap

812.33M

Beta: -

Volume Today

12.02M

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
Jan '20
Jan '21
Jan '22
Jan '23
Jan '24
net income
-134.33M
-
-197.02M
46.67%
-132.57M
32.71%
-344.46M
159.83%
-457.61M
32.85%
depreciation and amortization
7.70M
-
10.08M
30.98%
17.40M
72.53%
25.05M
44.00%
35.69M
42.47%
deferred income tax
875K
-
74.54M
8,418.51%
-3.92M
105.25%
142.62M
-
stock based compensation
2.94M
-
4.95M
68.44%
67.33M
1,261.05%
93.35M
38.64%
117.33M
25.69%
change in working capital
29.07M
-
10.20M
64.92%
17.05M
67.25%
-64.44M
477.85%
-102.79M
59.51%
accounts receivables
-8.70M
-
3.29M
137.83%
-38.89M
1,281.29%
-94.60M
143.26%
36.51M
138.59%
inventory
-1.47M
-
-9.59M
551.15%
-1.49M
84.45%
-39.36M
2,541.48%
-173.66M
341.23%
accounts payables
15.70M
-
-493K
103.14%
7.93M
1,709.13%
31.48M
296.77%
-5.47M
117.37%
other working capital
23.54M
-
16.98M
27.86%
49.50M
191.46%
38.04M
23.14%
39.83M
4.70%
other non cash items
5.81M
-
5.41M
6.82%
-122.47M
2,362.15%
23.45M
119.15%
-67.06M
385.99%
net cash provided by operating activities
-87.94M
-
-91.85M
4.45%
-157.18M
71.13%
-267.05M
69.90%
-331.82M
24.26%
investments in property plant and equipment
-14.88M
-
-11.48M
22.85%
-16.41M
42.89%
-18.56M
13.12%
-19.42M
4.64%
acquisitions net
47.01M
-
-205.33M
-
-2.76M
98.66%
purchases of investments
-179.51M
-
-284.83M
-
sales maturities of investments
132.50M
-
47.01M
64.52%
180M
-
105M
41.67%
other investing activites
-47.01M
-
net cash used for investing activites
-61.90M
-
35.53M
157.40%
-221.74M
724.09%
-126.15M
43.11%
85.58M
167.83%
debt repayment
-1.18M
-
-36.05M
-
common stock issued
17.16M
-
132.92M
674.66%
4.92M
96.30%
49.45M
905.90%
299.25M
505.16%
common stock repurchased
-20.89M
-
dividends paid
-1.16M
-
-20.89M
1,701.27%
other financing activites
1.18M
-
-2.84M
340.73%
622.61M
21,999.93%
323.41M
48.06%
10.15M
96.86%
net cash used provided by financing activities
17.16M
-
128.91M
651.33%
549.69M
326.40%
372.86M
32.17%
309.41M
17.02%
effect of forex changes on cash
132K
-
141K
6.82%
-1.02M
826.95%
-729K
28.88%
89K
112.21%
net change in cash
-132.54M
-
72.74M
154.88%
169.74M
133.36%
-21.07M
112.41%
63.25M
400.14%
cash at beginning of period
205.70M
-
73.15M
64.44%
145.89M
99.43%
315.63M
116.35%
294.56M
6.68%
cash at end of period
73.15M
-
145.89M
99.43%
315.63M
116.35%
294.56M
6.68%
357.81M
21.47%
operating cash flow
-87.94M
-
-91.85M
4.45%
-157.18M
71.13%
-267.05M
69.90%
-331.82M
24.26%
capital expenditure
-14.88M
-
-11.48M
22.85%
-16.41M
42.89%
-18.56M
13.12%
-19.42M
4.64%
free cash flow
-102.82M
-
-103.33M
0.50%
-173.59M
67.99%
-285.61M
64.53%
-351.25M
22.98%

All numbers in (except ratios and percentages)