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
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
2.45M
-
2.94M
20.02%
4.71M
60.44%
-753K
115.98%
-7.79M
934.79%
-11.86M
52.22%
depreciation and amortization
782K
-
1.52M
94.37%
1.07M
29.28%
1.21M
12.93%
1.86M
52.97%
1.42M
23.80%
deferred income tax
stock based compensation
change in working capital
-895K
-
-2.85M
218.66%
-1.52M
46.60%
-859K
43.60%
2.59M
401.51%
986K
61.93%
accounts receivables
2.47M
-
inventory
-114K
-
183K
260.53%
81K
55.74%
-735K
1,007.41%
accounts payables
-2.47M
-
other working capital
-781K
-
-3.04M
288.60%
-1.60M
47.15%
-124K
92.27%
other non cash items
-160K
-
-1.05M
555%
-980K
6.49%
-4.31M
339.69%
-760K
82.36%
2.18M
386.58%
net cash provided by operating activities
2.17M
-
557K
74.38%
3.28M
489.59%
-4.71M
243.33%
-4.11M
12.79%
-7.28M
77.39%
investments in property plant and equipment
-1.34M
-
-1.68M
25.69%
-2.07M
22.88%
-9.62M
365.04%
-9.18M
4.50%
-15.70M
70.90%
acquisitions net
5.96M
-
purchases of investments
sales maturities of investments
other investing activites
-4.51M
-
net cash used for investing activites
-1.34M
-
-1.68M
25.69%
-2.07M
22.88%
-9.62M
365.04%
-13.69M
42.39%
-9.73M
28.91%
debt repayment
-75.91M
-
-1.28M
98.31%
-1.74M
35.97%
common stock issued
common stock repurchased
-16K
-
dividends paid
-527K
-
-615K
16.70%
other financing activites
18K
-
455K
-
151.81M
33,264.84%
net cash used provided by financing activities
18K
-
514K
2,755.56%
-72K
114.01%
75.29M
104,669.44%
-1.28M
101.70%
-1.75M
37.22%
effect of forex changes on cash
86K
-
-12K
113.95%
-80K
566.67%
228K
385%
-30K
113.16%
33K
210%
net change in cash
939K
-
-625K
166.56%
1.06M
270.24%
61.19M
5,651.32%
-19.11M
131.23%
-1.14M
94.03%
cash at beginning of period
406K
-
1.34M
231.28%
720K
46.47%
1.78M
147.78%
62.98M
3,430.16%
1.55M
97.54%
cash at end of period
1.34M
-
720K
46.47%
1.78M
147.78%
62.98M
3,430.16%
43.87M
30.34%
409K
99.07%
operating cash flow
2.17M
-
557K
74.38%
3.28M
489.59%
-4.71M
243.33%
-4.11M
12.79%
-7.28M
77.39%
capital expenditure
-1.34M
-
-1.68M
25.69%
-2.07M
22.88%
-9.62M
365.04%
-9.18M
4.50%
-15.70M
70.90%
free cash flow
835K
-
-1.13M
234.85%
1.22M
207.99%
-14.32M
1,277.96%
-13.29M
7.23%
-22.98M
72.90%

All numbers in EUR (except ratios and percentages)