MODU

HEL:MODU

Modulight Oyj

  • Stock

EUR

Last Close

1.11

25/09 14:18

Market Cap

48.53M

Beta: -

Volume Today

15.24K

Avg: 37.06K

PE Ratio

−4.85

PFCF: −3.39

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
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
1.01M
-
1.48M
46.59%
-3.54M
338.97%
-3.54M
0%
-2.19M
38.30%
-2.61M
19.45%
-2.10M
-
-4.01M
-
-1.87M
53.37%
-1.95M
4.11%
depreciation and amortization
276.50K
-
302K
9.22%
-59.50K
119.70%
-59.50K
0%
443K
844.54%
435K
1.81%
514K
-
213.50K
-
664K
211.01%
826K
24.40%
deferred income tax
stock based compensation
change in working capital
-1.22M
-
-1.11M
8.69%
790K
170.92%
790K
0%
87.50K
88.92%
201K
129.71%
149K
-
927.50K
-
278K
70.03%
-1.59M
670.50%
accounts receivables
-1.09M
-
1.09M
-
1.09M
0%
inventory
-91.50K
-
15K
116.39%
91.50K
510.00%
91.50K
0%
-469K
-
149K
-
accounts payables
other working capital
-35K
-
-1.13M
3,125.71%
-395K
65.01%
-395K
0%
87.50K
122.15%
670K
665.71%
927.50K
-
278K
70.03%
other non cash items
1
-
-332K
33,200,100%
390K
217.47%
390K
0%
-514K
-
2K
-
1.09M
-
1.33M
21.98%
4.27M
221.14%
net cash provided by operating activities
67.50K
-
338K
400.74%
-2.42M
816.27%
-2.42M
0%
-1.65M
31.66%
-2.49M
50.38%
-1.43M
-
-1.78M
-
-929K
47.94%
-93K
89.99%
investments in property plant and equipment
-909K
-
-2.37M
161.17%
-3.90M
64.26%
-3.90M
0%
-1.40M
64.11%
-1.38M
1.54%
-5.62M
-
-4.17M
-
-1.21M
71.10%
-1.53M
27.05%
acquisitions net
purchases of investments
sales maturities of investments
198K
-
other investing activites
-685.50K
-
685.50K
-
685.50K
0%
-1.18M
272.50%
-158K
86.64%
2.36M
-
2.67M
-
net cash used for investing activites
-1.59M
-
-2.37M
48.89%
-3.21M
35.38%
-3.21M
0%
-2.58M
19.66%
-1.54M
40.51%
-3.26M
-
-1.50M
-
-1.21M
19.40%
-1.33M
10.62%
debt repayment
-536K
-
-465K
13.25%
common stock issued
common stock repurchased
-8K
-
dividends paid
-307.50K
-
-307.50K
0%
other financing activites
1.71M
-
36.24M
-
36.24M
0%
-339K
100.94%
-497K
-
net cash used provided by financing activities
1.71M
-
2.77M
61.66%
35.93M
1,199.13%
35.93M
0%
-339K
100.94%
-333K
1.77%
-325K
-
-505K
-
-536K
6.14%
-465K
13.25%
effect of forex changes on cash
80.50K
-
-32K
139.75%
33.50K
204.69%
33.50K
0%
-12.50K
137.31%
-26K
108%
3K
-
20K
-
-7K
135%
net change in cash
264.50K
-
698K
163.89%
30.33M
4,245.63%
30.33M
0%
-4.59M
115.13%
-4.38M
4.47%
-5.01M
-
-3.76M
-
-193K
94.87%
657K
440.41%
cash at beginning of period
1.61M
-
2.31M
43.22%
58.19M
-
37.67M
-
508K
-
315K
37.99%
cash at end of period
264.50K
-
2.31M
774.48%
32.65M
1,311.39%
30.33M
7.09%
-4.59M
115.13%
53.80M
1,272.67%
32.66M
-
-3.76M
-
315K
108.37%
972K
208.57%
operating cash flow
67.50K
-
338K
400.74%
-2.42M
816.27%
-2.42M
0%
-1.65M
31.66%
-2.49M
50.38%
-1.43M
-
-1.78M
-
-929K
47.94%
-93K
89.99%
capital expenditure
-909K
-
-2.37M
161.17%
-3.90M
64.26%
-3.90M
0%
-1.40M
64.11%
-1.38M
1.54%
-5.62M
-
-4.17M
-
-1.21M
71.10%
-1.53M
27.05%
free cash flow
-841.50K
-
-2.04M
141.95%
-6.32M
210.44%
-6.32M
0%
-3.05M
51.68%
-3.87M
26.59%
-7.05M
-
-5.95M
-
-2.13M
64.16%
-1.62M
23.90%

All numbers in EUR (except ratios and percentages)