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NASDAQ:CUENW

Cuentas Inc.

  • Stock

USD

Last Close

0.00

22/11 20:00

Volume Today

95

Avg: -

PE Ratio

−0.07

PFCF: −0.23

Preview

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Sep '14
Sep '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-573.75K
-
-1.83M
218.08%
-9.44M
417.40%
-724.64K
92.33%
-3.58M
394.73%
-1.29M
64.13%
-7.48M
481.88%
-10.73M
43.36%
-14.53M
35.45%
-2.20M
84.89%
depreciation and amortization
398
-
4.53K
1,037.69%
217.54K
4,704.33%
154.83K
28.83%
465K
200.33%
1K
99.78%
1.80M
180,000%
1.81M
0.56%
1.81M
0.11%
15K
99.17%
deferred income tax
3.74M
-
-1.09M
129.10%
1.48M
235.68%
48K
96.75%
-5K
110.42%
5K
200%
stock based compensation
1.13M
-
1.15M
2.09%
444K
61.54%
487K
9.68%
1.44M
196.51%
2.75M
90.10%
1.70M
38.18%
622K
63.35%
change in working capital
6.48K
-
135.44K
1,991.37%
1.30M
862.94%
-575.70K
144.14%
2.11M
465.82%
-2.21M
204.89%
2.67M
220.73%
-3.17M
219.01%
170K
105.36%
-803K
572.35%
accounts receivables
-899
-
899
200%
28.36K
3,054.95%
5.86M
20,570.09%
3.96M
32.45%
18K
99.55%
-11K
-
-274K
2,390.91%
-1.10M
302.19%
inventory
-24.01K
-
20.16K
-
1.19M
5,782.26%
549K
53.70%
392K
28.60%
-1.69M
-
accounts payables
268.81K
-
1.24M
-
-7.53M
709.56%
-2.38M
68.36%
-217K
90.90%
843K
488.48%
-1.54M
283.16%
421K
127.27%
299K
28.98%
other working capital
-237.43K
-
134.54K
156.66%
19.64K
85.40%
-89.73K
556.96%
-19K
78.83%
-2.40M
12,542.11%
1.82M
175.94%
75K
95.89%
23K
69.33%
803K
3,391.30%
other non cash items
168.95K
-
1.32M
682.12%
2.12M
60.77%
769.18K
63.79%
-1.42M
284.87%
1.64M
215.61%
-162K
109.85%
11K
106.79%
2.71M
24,572.73%
-2.63M
197.05%
net cash provided by operating activities
-397.93K
-
-363.64K
8.62%
-929.44K
155.59%
-308.95K
66.76%
-517K
67.34%
-1.31M
154.35%
-1.74M
32.17%
-9.33M
436.82%
-8.14M
12.79%
-4.19M
48.47%
investments in property plant and equipment
-3.98K
-
-14.48K
264.23%
-5.68K
-
-9K
58.56%
-47K
-
-7K
85.11%
acquisitions net
88.80K
-
139.42K
57.01%
-40K
-
-657K
1,542.50%
purchases of investments
sales maturities of investments
other investing activites
5.91K
-
-2.10M
-
net cash used for investing activites
-3.98K
-
-14.48K
264.23%
94.71K
754.18%
133.75K
41.21%
-9K
106.73%
-87K
-
-664K
663.22%
-2.10M
215.96%
debt repayment
-12.47K
-
-210.50K
1,588.32%
-31.60K
84.99%
-652.38K
1,964.43%
-48K
92.64%
-355K
-
common stock issued
13.26B
-
64K
100.00%
535K
735.94%
1.59M
197.38%
750K
52.86%
10.61M
1,315.20%
2.69M
74.67%
6.03M
124.40%
common stock repurchased
16.74B
-
-29K
-
dividends paid
-30B
-
other financing activites
418.51K
-
579.82K
38.54%
1.18K
99.80%
599.99K
50,575.08%
100K
83.33%
-414K
514%
1.20M
389.61%
5.54M
361.88%
net cash used provided by financing activities
406.04K
-
369.32K
9.04%
1.07M
190.53%
11.61K
98.92%
587K
4,954.68%
1.18M
100.51%
1.95M
65.59%
15.80M
710.52%
2.66M
83.16%
effect of forex changes on cash
net change in cash
4.14K
-
-8.80K
312.54%
238.25K
2,807.75%
-163.59K
168.66%
61K
137.29%
-138K
326.23%
211K
252.90%
6.38M
2,923.70%
-6.14M
196.25%
-261K
95.75%
cash at beginning of period
4.66K
-
8.80K
88.86%
18.05K
105.10%
256.30K
1,320.19%
93K
63.71%
154K
65.59%
16K
89.61%
227K
1,318.75%
6.61M
2,810.57%
466K
92.95%
cash at end of period
8.80K
-
256.30K
-
92.71K
63.83%
154K
66.10%
16K
89.61%
227K
1,318.75%
6.61M
2,810.57%
466K
92.95%
205K
56.01%
operating cash flow
-397.93K
-
-363.64K
8.62%
-929.44K
155.59%
-308.95K
66.76%
-517K
67.34%
-1.31M
154.35%
-1.74M
32.17%
-9.33M
436.82%
-8.14M
12.79%
-4.19M
48.47%
capital expenditure
-3.98K
-
-14.48K
264.23%
-5.68K
-
-9K
58.56%
-47K
-
-7K
85.11%
free cash flow
-401.90K
-
-378.12K
5.92%
-929.44K
145.81%
-314.62K
66.15%
-526K
67.18%
-1.31M
150%
-1.74M
32.17%
-9.38M
439.53%
-8.14M
13.15%
-4.19M
48.51%

All numbers in USD (except ratios and percentages)