bf/NASDAQ:ENVX_icon.jpeg

COM:ENOVIX

Enovix Corporation

  • Stock

Last Close

9.10

22/11 17:00

Market Cap

1.78B

Beta: -

Volume Today

1.33M

Avg: -

Preview

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Dec '20
Mar '21
Jun '21
Oct '21
Jan '22
Apr '22
Jul '22
Oct '22
Jan '23
Apr '23
Jul '23
Oct '23
Dec '23
Mar '24
Jun '24
net income
-13.34M
-
-16.16M
21.16%
-153.33M
848.51%
-10.84M
92.93%
-84.57M
680.29%
42.71M
150.50%
-1.14M
102.66%
-82.01M
7,125.81%
-11.18M
86.37%
-73.60M
558.29%
-64.31M
12.63%
-16.18M
74.83%
-60.04M
270.95%
-46.50M
22.55%
-115.95M
149.36%
depreciation and amortization
143K
-
141K
1.40%
687K
-
453K
34.06%
448K
1.10%
1.35M
201.79%
3.00M
121.52%
3.18M
6.08%
3.60M
13.25%
3.67M
1.97%
2.90M
20.96%
23.01M
693.34%
24.97M
8.55%
5.94M
76.20%
deferred income tax
-813K
-
-222K
72.69%
-4.59M
1,965.77%
stock based compensation
469K
-
1.55M
231.56%
3.04M
-
3.99M
31.30%
5.24M
31.15%
8.18M
56.17%
8.70M
6.34%
8.25M
5.16%
29.16M
253.42%
15.04M
48.41%
13.27M
11.75%
11.62M
12.46%
12.76M
9.81%
19.04M
49.19%
change in working capital
2.81M
-
1.08M
61.58%
-501.72K
146.54%
-3.86M
669.95%
3.11M
180.51%
-282K
109.07%
-2.61M
824.47%
-445K
82.93%
4.14M
1,029.44%
2.40M
42.05%
3.46M
44.31%
-1.48M
-
-5.33M
259.92%
-4.75M
10.99%
accounts receivables
96K
-
-164K
270.83%
149K
190.85%
-21K
114.09%
-539K
-
505K
193.69%
164K
67.52%
inventory
217K
-
-182K
183.87%
-181K
0.55%
18K
109.94%
4.09M
-
2.20M
46.17%
-2.97M
235.01%
accounts payables
1.95M
-
1.17M
39.84%
-4.26M
-
1.88M
144.12%
-959K
151.01%
1.21M
225.96%
-441K
136.51%
2.46M
658.73%
-1.79M
172.73%
2.68M
249.78%
1.76M
-
-7.28M
514.16%
-969K
86.69%
other working capital
858K
-
-94K
110.96%
398K
-
1.23M
209.05%
677K
44.96%
-3.81M
663.52%
-317K
91.69%
2.02M
736.59%
4.22M
109.17%
778K
81.57%
-2.12M
-
-1.62M
23.36%
-3.44M
112.01%
other non cash items
5.41M
-
4.78M
11.54%
161.77M
3,283.70%
-8.40M
105.19%
59.82M
812.14%
-67.80M
213.34%
-26.40M
61.06%
50.16M
290%
-26.22M
152.27%
12.84M
148.97%
18.58M
44.74%
11K
99.94%
206K
1,772.73%
173K
16.02%
-1K
100.58%
net cash provided by operating activities
-4.52M
-
-8.61M
90.53%
7.95M
192.29%
-19.37M
343.80%
-17.19M
11.26%
-19.69M
14.53%
-20.61M
4.68%
-20.60M
0.03%
-21.84M
5.98%
-25.61M
17.28%
-23.55M
8.04%
-11K
99.95%
-27.23M
247,427.27%
-35.04M
28.71%
-26.95M
23.10%
investments in property plant and equipment
-8.03M
-
-7.14M
11.07%
-10.94M
-
-12.07M
10.42%
-10.45M
13.45%
-4.02M
61.52%
-16.89M
320.01%
-4.85M
71.31%
-3.03M
37.43%
-12.69M
318.60%
-28.82M
-
-15.09M
47.64%
-25.21M
67.08%
acquisitions net
-9.97M
-
purchases of investments
-22.61M
-
-17.07M
24.51%
-14.75M
13.59%
sales maturities of investments
50.45M
-
51.26M
1.61%
40.36M
21.26%
other investing activites
7.17M
-
-65.74M
-
27.84M
-
34.19M
22.81%
25.61M
25.09%
net cash used for investing activites
-8.03M
-
-7.14M
11.07%
7.17M
200.47%
-10.94M
252.42%
-12.07M
10.42%
-10.45M
13.45%
-4.02M
61.52%
-16.89M
320.01%
-4.85M
71.31%
-3.03M
37.43%
-78.43M
2,486.68%
-10.94M
-
19.11M
274.63%
406K
97.88%
debt repayment
-69K
-
-1.80M
2,508.70%
-2.70M
49.94%
common stock issued
77.17M
-
52.83M
-
329K
99.38%
3.88M
-
5.85M
50.94%
38.05M
550.14%
common stock repurchased
-5K
-
-3K
-
-14K
366.67%
-3K
78.57%
-5K
66.67%
-1K
80%
-1K
0%
-9K
800%
-4K
55.56%
-946K
-
-2.22M
134.88%
-1K
99.95%
dividends paid
other financing activites
-71K
-
76K
207.04%
364.11M
478,986.84%
-1.34M
100.37%
53.03M
4,048.47%
1.19M
97.76%
1.77M
49.29%
-52.30M
3,046.48%
-777K
98.51%
151.38M
19,583.27%
15.64M
-
-2.22M
114.21%
-1.09M
50.81%
net cash used provided by financing activities
6.01M
-
-76K
101.26%
76K
200%
364.10M
478,982.89%
75.81M
79.18%
53.02M
30.06%
1.18M
97.77%
1.77M
49.83%
527K
70.29%
-457K
186.72%
151.38M
33,224.95%
2.20M
-
5.43M
147.27%
39.65M
630.22%
effect of forex changes on cash
-28.44M
-
154K
-
-541K
451.30%
-207K
61.74%
net change in cash
-6.54M
-
-15.83M
142.04%
-13.25M
16.29%
333.80M
2,619.58%
46.55M
86.06%
22.89M
50.83%
-23.45M
202.46%
-35.72M
52.35%
-26.16M
26.78%
-29.10M
11.26%
49.40M
269.76%
-11K
100.02%
-35.82M
325,527.27%
-11.05M
69.15%
12.90M
216.76%
cash at beginning of period
35.76M
-
29.22M
18.29%
13.39M
54.17%
5.08M
62.09%
338.87M
6,575.95%
385.42M
13.74%
408.30M
5.94%
384.86M
5.74%
349.13M
9.28%
322.98M
7.49%
293.88M
9.01%
270.94M
-
235.12M
13.22%
224.07M
4.70%
cash at end of period
29.22M
-
13.39M
54.17%
142.94K
98.93%
338.87M
236,967.22%
385.42M
13.74%
408.30M
5.94%
384.86M
5.74%
349.13M
9.28%
322.98M
7.49%
293.88M
9.01%
343.28M
16.81%
-11K
100.00%
235.12M
2,137,581.82%
224.07M
4.70%
236.97M
5.76%
operating cash flow
-4.52M
-
-8.61M
90.53%
7.95M
192.29%
-19.37M
343.80%
-17.19M
11.26%
-19.69M
14.53%
-20.61M
4.68%
-20.60M
0.03%
-21.84M
5.98%
-25.61M
17.28%
-23.55M
8.04%
-11K
99.95%
-27.23M
247,427.27%
-35.04M
28.71%
-26.95M
23.10%
capital expenditure
-8.03M
-
-7.14M
11.07%
-10.94M
-
-12.07M
10.42%
-10.45M
13.45%
-4.02M
61.52%
-16.89M
320.01%
-4.85M
71.31%
-3.03M
37.43%
-12.69M
318.60%
-28.82M
-
-15.09M
47.64%
-25.21M
67.08%
free cash flow
-12.55M
-
-15.75M
25.52%
7.95M
150.45%
-30.31M
481.42%
-29.27M
3.44%
-30.14M
2.99%
-24.63M
18.27%
-37.50M
52.23%
-26.68M
28.84%
-28.64M
7.35%
-36.24M
26.54%
-11K
99.97%
-56.04M
509,390.91%
-50.13M
10.55%
-52.16M
4.04%

All numbers in (except ratios and percentages)