COM:FIVERR
Fiverr International Ltd
- Stock
Last Close
31.83
22/11 21:00
Market Cap
863.44M
Beta: -
Volume Today
606.40K
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
Dec '17 | Dec '18 | Dec '19 | Dec '20 | Dec '21 | Dec '22 | Dec '23 | ||
---|---|---|---|---|---|---|---|---|
net income | -19.32M - | -36.06M 86.61% | -33.54M 6.99% | -14.81M 55.84% | -65.01M 338.97% | -71.49M 9.96% | 3.68M 105.15% | |
depreciation and amortization | 1.09M - | 2.25M 106.42% | 3.57M 58.71% | 4.34M 21.48% | 6.88M 58.51% | 10.19M 48.12% | 5.99M 41.22% | |
deferred income tax | 15K - | 8.13M 54,113.33% | -86.74M - | |||||
stock based compensation | 1.40M - | 11.65M 730.22% | 8.90M 23.60% | 15.81M 77.72% | 55.41M 250.34% | 71.75M 29.51% | 68.70M 4.26% | |
change in working capital | 11.79M - | -29.46M 349.83% | 8.05M 127.32% | 9.70M 20.54% | 13.11M 35.16% | -4.13M 131.53% | 2.73M 165.97% | |
accounts receivables | -1.58M - | -1.78M 12.26% | -6.24M 251.15% | -4.85M 22.32% | -2.88M 40.64% | |||
inventory | 1.58M - | 1.78M 12.26% | 6.24M 251.15% | 4.85M 22.32% | ||||
accounts payables | -145K - | 808K 657.24% | 240K 70.30% | -127K 152.92% | 18.12M 14,364.57% | 3.88M 78.58% | -3.19M 182.32% | |
other working capital | 11.94M - | -30.27M 353.56% | 7.81M 125.79% | 9.83M 25.87% | -5.00M 150.92% | -8.02M 60.17% | 8.80M 209.78% | |
other non cash items | -225K - | -51K 77.33% | -923K 1,709.80% | 2.08M 324.92% | 19.52M 840.37% | 23.79M 21.88% | 88.84M 273.37% | |
net cash provided by operating activities | -5.26M - | -51.68M 881.87% | -13.94M 73.02% | 17.14M 222.88% | 38.04M 121.98% | 30.11M 20.83% | 83.19M 176.26% | |
investments in property plant and equipment | -3.40M - | -1.60M 52.99% | -1.75M 9.89% | -4.04M 129.91% | -2.58M 36.11% | -2.37M 7.95% | -1.11M 53.10% | |
acquisitions net | -2.68M - | -9.97M 272.46% | -1.94M 80.53% | -97.08M 4,901.75% | -46.86M - | |||
purchases of investments | 830K - | -229.31M 27,727.23% | -431.18M 88.04% | -282.45M 34.49% | -141.70M 49.83% | -309.15M 118.17% | ||
sales maturities of investments | 10M - | 30M 200% | 104.99M 249.97% | 183.19M 74.48% | 193.76M 5.77% | 130.70M 32.54% | 273.19M 109.02% | |
other investing activites | -1.52M - | -490K 67.76% | -40K 91.84% | -72.39M 180,887.50% | -41.12M 43.21% | -1.25M 96.96% | 46.86M 3,845.64% | |
net cash used for investing activites | 5.08M - | 26.07M 412.83% | -136.08M 622.03% | -326.36M 139.83% | -229.47M 29.69% | -14.62M 93.63% | -37.08M 153.57% | |
debt repayment | -438K - | -421K 3.88% | -470K 11.64% | -524K 11.49% | -599K 14.31% | -2.27M 278.80% | ||
common stock issued | 53.07M - | 117.69M 121.77% | 129.85M 10.33% | 8.29M 93.61% | 3.77M 54.61% | 2.77M 26.56% | ||
common stock repurchased | -43.24M - | -8.99M 79.22% | -2.03M 77.43% | |||||
dividends paid | -499.69M - | -693K 99.86% | -1.74M 150.65% | |||||
other financing activites | 1.69M - | 1.24M 26.67% | 773K 37.66% | 965.42M 124,792.24% | -412K 100.04% | 632K 253.40% | 87K 86.23% | |
net cash used provided by financing activities | 1.25M - | 53.89M 4,200.72% | 117.99M 118.96% | 551.81M 367.67% | -2.40M 100.43% | -1.64M 31.71% | 2.85M 274.22% | |
effect of forex changes on cash | 627K - | -190K 130.30% | 245K 228.95% | 1.27M 417.55% | -130K 110.25% | -32K 75.38% | -29K 9.38% | |
net change in cash | 1.70M - | 28.09M 1,552.29% | -31.78M 213.15% | 243.86M 867.24% | -193.96M 179.54% | 13.82M 107.12% | 97.07M 602.43% | |
cash at beginning of period | 26.17M - | 27.87M 6.50% | 55.95M 100.80% | 24.17M 56.80% | 268.03M 1,008.89% | 74.07M 72.37% | 87.89M 18.66% | |
cash at end of period | 27.87M - | 55.95M 100.80% | 24.17M 56.80% | 268.03M 1,008.89% | 74.07M 72.37% | 87.89M 18.66% | 184.96M 110.44% | |
operating cash flow | -5.26M - | -51.68M 881.87% | -13.94M 73.02% | 17.14M 222.88% | 38.04M 121.98% | 30.11M 20.83% | 83.19M 176.26% | |
capital expenditure | -3.40M - | -1.60M 52.99% | -1.75M 9.89% | -4.04M 129.91% | -2.58M 36.11% | -2.37M 7.95% | -1.11M 53.10% | |
free cash flow | -8.66M - | -53.27M 515.16% | -15.70M 70.53% | 13.10M 183.44% | 35.46M 170.68% | 27.74M 21.77% | 82.07M 195.88% |
All numbers in USD (except ratios and percentages)