CPTA

NASDAQ:CPTA

Capitala Finance Corp.

  • Stock

USD

Last Close

24.96

01/01 00:00

Volume Today

89.44K

Avg: 28.26K

PE Ratio

−1.94

PFCF: 1.30

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
net income
28.86M
-
-3.44M
111.92%
13.85M
502.62%
9.15M
33.92%
-6.98M
176.31%
-16.03M
129.47%
-27.65M
72.51%
-35.45M
28.21%
depreciation and amortization
deferred income tax
-1.92M
-
stock based compensation
change in working capital
994K
-
-1.37M
237.93%
-81K
94.09%
4.27M
5,370.37%
-1.11M
125.91%
-718K
35.08%
2.85M
497.08%
-1.99M
169.84%
accounts receivables
inventory
accounts payables
175K
-
-75K
142.86%
other working capital
-1.37M
-
-81K
94.09%
-1.28M
-
-643K
49.80%
other non cash items
-68.67M
-
-114.55M
66.80%
-110.15M
3.83%
55.70M
150.57%
51.90M
6.83%
46.08M
11.21%
89.39M
93.99%
90.55M
1.30%
net cash provided by operating activities
-38.82M
-
-119.36M
207.44%
-96.38M
19.25%
69.12M
171.72%
43.81M
36.62%
27.42M
37.41%
64.60M
135.57%
53.11M
17.78%
investments in property plant and equipment
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
net cash used for investing activites
debt repayment
-10M
-
-43M
330%
-68.50M
59.30%
-157.44M
129.84%
-35M
77.77%
-42.20M
20.57%
-60.98M
44.50%
common stock issued
74.25M
-
61.70M
-
common stock repurchased
-12M
-
dividends paid
-13.52M
-
-24.39M
80.43%
-35.59M
45.88%
-27.37M
23.08%
-21.71M
20.68%
-15.22M
29.91%
-14.88M
2.19%
-3.72M
75.01%
other financing activites
49.25M
-
107.23M
117.75%
104.27M
2.77%
28.93M
72.26%
130.28M
350.40%
30.87M
76.31%
15.51M
49.75%
-793K
105.11%
net cash used provided by financing activities
109.98M
-
72.84M
33.77%
75.38M
3.49%
-66.95M
188.81%
-48.87M
27.00%
-19.35M
60.41%
-41.57M
114.86%
-65.49M
57.54%
effect of forex changes on cash
net change in cash
71.16M
-
-46.52M
165.37%
-21.00M
54.85%
2.18M
110.36%
-5.06M
332.54%
8.07M
259.57%
23.03M
185.19%
-12.38M
153.76%
cash at beginning of period
30.47M
-
101.62M
233.55%
55.11M
45.77%
34.10M
38.11%
36.28M
6.38%
31.22M
13.95%
39.30M
25.86%
62.32M
58.60%
cash at end of period
101.62M
-
55.11M
45.77%
34.10M
38.11%
36.28M
6.38%
31.22M
13.95%
39.30M
25.86%
62.32M
58.60%
49.94M
19.86%
operating cash flow
-38.82M
-
-119.36M
207.44%
-96.38M
19.25%
69.12M
171.72%
43.81M
36.62%
27.42M
37.41%
64.60M
135.57%
53.11M
17.78%
capital expenditure
free cash flow
-38.82M
-
-119.36M
207.44%
-96.38M
19.25%
69.12M
171.72%
43.81M
36.62%
27.42M
37.41%
64.60M
135.57%
53.11M
17.78%

All numbers in USD (except ratios and percentages)