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COM:ONEATLAS

Atlas

  • Stock

Last Close

12.25

19/08 20:00

Market Cap

471.04M

Beta: -

Volume Today

380.05K

Avg: -

Preview

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Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
net income
-180
-
287.66K
159,911.11%
8.03M
2,691.49%
-27.06M
437.01%
-29.70M
9.77%
-8.07M
72.83%
depreciation and amortization
19.88M
-
26.06M
31.06%
23.68M
9.13%
32.18M
35.89%
deferred income tax
887K
-
2.36M
165.84%
15.21M
545.12%
stock based compensation
1.98M
-
10.79M
444.10%
3.63M
66.40%
7.40M
104.14%
change in working capital
180
-
140.86K
78,157.78%
365K
159.12%
1.12M
206.03%
8.65M
674.49%
-33.71M
489.71%
accounts receivables
3.52M
-
-2.63M
174.71%
2.54M
196.58%
inventory
-3.52M
-
2.63M
174.71%
accounts payables
86.10K
-
6.23M
7,139.00%
-4.31M
169.20%
13.26M
407.47%
-13.33M
200.52%
other working capital
180
-
54.76K
30,322.78%
-5.87M
10,815.66%
5.43M
192.54%
-4.61M
184.90%
-22.92M
397.25%
other non cash items
-471.97K
-
360K
176.28%
2.51M
596.67%
7.64M
204.63%
4.40M
42.40%
net cash provided by operating activities
-43.45K
-
31.51M
72,616.57%
15.77M
49.94%
29.10M
84.52%
2.20M
92.45%
investments in property plant and equipment
-10.45M
-
-3.79M
63.76%
-3.96M
4.44%
-8.41M
112.59%
acquisitions net
-294K
-
-20.39M
6,834.35%
-32.67M
60.24%
-30.15M
7.71%
purchases of investments
-200M
-
sales maturities of investments
other investing activites
-7.13K
-
1.14M
16,100%
318K
72.11%
78K
75.47%
440K
464.10%
net cash used for investing activites
-200.01M
-
-9.61M
95.20%
-23.86M
148.33%
-36.55M
53.19%
-38.12M
4.30%
debt repayment
-300K
-
-129.21M
42,969.67%
-215.68M
66.93%
-324.22M
50.32%
-3.63M
98.88%
common stock issued
10.23M
-
496.75M
4,756.33%
common stock repurchased
480.84M
-
-156.19M
132.48%
dividends paid
-6.61M
-
-1.19M
82.08%
other financing activites
201.63M
-
120.98M
40.00%
-266.81M
320.53%
-11.08M
95.85%
34.66M
412.72%
net cash used provided by financing activities
201.33M
-
-8.22M
104.08%
1.96M
123.84%
4.08M
107.96%
31.02M
660.77%
effect of forex changes on cash
net change in cash
1.28M
-
13.68M
972.15%
-6.12M
144.77%
-3.37M
45.04%
-4.90M
45.56%
cash at beginning of period
6.51M
-
20.18M
210.11%
14.06M
30.33%
10.70M
23.93%
cash at end of period
1.28M
-
20.18M
1,482.43%
14.06M
30.33%
10.70M
23.93%
5.80M
45.79%
operating cash flow
-43.45K
-
31.51M
72,616.57%
15.77M
49.94%
29.10M
84.52%
2.20M
92.45%
capital expenditure
-10.45M
-
-3.79M
63.76%
-3.96M
4.44%
-8.41M
112.59%
free cash flow
-43.45K
-
21.05M
48,557.93%
11.98M
43.07%
25.15M
109.83%
-6.21M
124.70%

All numbers in (except ratios and percentages)