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    COM:QUMU

    Qumu

    • Stock

    USD

    Last Close

    0.90

    08/02 21:00

    Volume Today

    45.53K

    Avg: -

    Preview

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    Dec '14
    Dec '15
    Dec '16
    Dec '17
    Dec '18
    Dec '19
    Dec '20
    Dec '21
    net income
    -8.52M
    -
    -28.70M
    236.84%
    -11.18M
    61.06%
    -11.72M
    4.91%
    -3.62M
    69.15%
    -6.44M
    78.13%
    -9.20M
    42.79%
    -16.36M
    77.88%
    depreciation and amortization
    2.05M
    -
    3.12M
    52.17%
    3.30M
    5.93%
    3.04M
    7.81%
    2.37M
    22.30%
    1.53M
    35.50%
    1.52M
    0.52%
    983K
    35.24%
    deferred income tax
    -126K
    -
    -564K
    347.62%
    -229K
    59.40%
    -166K
    27.51%
    -131K
    21.08%
    31K
    123.66%
    2K
    93.55%
    2K
    0%
    stock based compensation
    1.84M
    -
    1.83M
    0.38%
    1.42M
    22.52%
    1.19M
    16.26%
    1.08M
    9.08%
    857K
    20.79%
    1.18M
    37.46%
    2.07M
    75.47%
    change in working capital
    626K
    -
    301K
    51.92%
    -2.77M
    1,021.26%
    3.63M
    230.98%
    1.74M
    52.09%
    1.59M
    8.45%
    6.26M
    293.22%
    -2.50M
    139.97%
    accounts receivables
    -5.71M
    -
    -1.33M
    76.69%
    3.24M
    343.73%
    2.10M
    35.23%
    -786K
    137.41%
    1.72M
    318.83%
    -938K
    154.53%
    1.91M
    303.73%
    inventory
    -18K
    -
    -1.44M
    7,877.78%
    -1.71M
    19.29%
    -3.76M
    119.32%
    662K
    117.62%
    -174K
    126.28%
    -682K
    291.95%
    accounts payables
    973K
    -
    443K
    54.47%
    -1.41M
    417.38%
    1.66M
    217.78%
    -1.20M
    172.22%
    174K
    114.55%
    682K
    291.95%
    -530K
    177.71%
    other working capital
    5.38M
    -
    2.63M
    51.22%
    -2.90M
    210.40%
    3.63M
    225.33%
    3.06M
    15.75%
    -127K
    104.15%
    7.20M
    5,770.87%
    -3.88M
    153.94%
    other non cash items
    -18.51M
    -
    783K
    104.23%
    -31K
    103.96%
    2.01M
    6,587.10%
    -4.28M
    312.98%
    898K
    120.97%
    1.81M
    101.34%
    -1.59M
    188.00%
    net cash provided by operating activities
    -22.64M
    -
    -23.23M
    2.57%
    -9.48M
    59.17%
    -2.01M
    78.79%
    -2.84M
    41.30%
    -1.54M
    45.90%
    1.57M
    202.08%
    -17.41M
    1,208.79%
    investments in property plant and equipment
    -1.05M
    -
    -635K
    39.58%
    -76K
    88.03%
    -24K
    68.42%
    -127K
    429.17%
    -168K
    32.28%
    -128K
    23.81%
    -239K
    86.72%
    acquisitions net
    -11.56M
    -
    9.78M
    -
    41K
    99.58%
    purchases of investments
    -33.50M
    -
    -10.25M
    69.40%
    sales maturities of investments
    23.25M
    -
    27.46M
    18.13%
    6.25M
    77.24%
    other investing activites
    19.68M
    -
    2.34M
    88.09%
    50K
    -
    net cash used for investing activites
    -3.18M
    -
    18.92M
    695.06%
    6.17M
    67.37%
    -24K
    100.39%
    9.65M
    40,312.50%
    -127K
    101.32%
    -128K
    0.79%
    -189K
    47.66%
    debt repayment
    -320K
    -
    -1.02M
    218.13%
    -730K
    28.29%
    -14.40M
    1,872.88%
    -4.32M
    70.00%
    -372K
    91.39%
    -25K
    93.28%
    common stock issued
    193K
    -
    142K
    26.42%
    8.20M
    -
    440K
    94.63%
    23.09M
    5,146.59%
    common stock repurchased
    -99K
    -
    -50K
    49.49%
    -26K
    48%
    -17K
    34.62%
    -33K
    94.12%
    -75K
    127.27%
    -188K
    150.67%
    -51K
    72.87%
    dividends paid
    -178K
    -
    -440K
    -
    other financing activites
    -59K
    -
    178K
    401.69%
    8M
    4,394.38%
    8.69M
    -
    -204K
    102.35%
    440K
    315.69%
    3.27M
    642.50%
    net cash used provided by financing activities
    35K
    -
    -228K
    751.43%
    6.96M
    3,150.88%
    -747K
    110.74%
    -5.74M
    668.81%
    3.60M
    162.72%
    -120K
    103.33%
    26.28M
    21,996.67%
    effect of forex changes on cash
    -252K
    -
    -80K
    68.25%
    -354K
    342.50%
    109K
    130.79%
    -119K
    209.17%
    66K
    155.46%
    -83K
    225.76%
    6K
    107.23%
    net change in cash
    -26.04M
    -
    -4.61M
    82.29%
    3.29M
    171.38%
    -2.67M
    181.23%
    946K
    135.38%
    2.00M
    111.73%
    1.24M
    38.14%
    8.69M
    600.97%
    cash at beginning of period
    37.73M
    -
    11.68M
    69.03%
    7.07M
    39.47%
    10.36M
    46.55%
    7.69M
    25.80%
    8.64M
    12.30%
    10.64M
    23.19%
    11.88M
    11.65%
    cash at end of period
    11.68M
    -
    7.07M
    39.47%
    10.36M
    46.55%
    7.69M
    25.80%
    8.64M
    12.30%
    10.64M
    23.19%
    11.88M
    11.65%
    20.56M
    73.12%
    operating cash flow
    -22.64M
    -
    -23.23M
    2.57%
    -9.48M
    59.17%
    -2.01M
    78.79%
    -2.84M
    41.30%
    -1.54M
    45.90%
    1.57M
    202.08%
    -17.41M
    1,208.79%
    capital expenditure
    -1.05M
    -
    -635K
    39.58%
    -76K
    88.03%
    -24K
    68.42%
    -127K
    429.17%
    -168K
    32.28%
    -128K
    23.81%
    -239K
    86.72%
    free cash flow
    -23.70M
    -
    -23.86M
    0.70%
    -9.56M
    59.94%
    -2.04M
    78.70%
    -2.97M
    45.87%
    -1.71M
    42.56%
    1.44M
    184.53%
    -17.65M
    1,323.79%

    All numbers in USD (except ratios and percentages)