bf/NASDAQ:JAMF_icon.jpeg

NASDAQ:JAMF

Jamf Holding Corp.

  • Stock

USD

Last Close

19.51

13/05 20:00

Market Cap

2.46B

Beta: 0.42

Volume Today

634.33K

Avg: 379.21K

PE Ratio

−20.58

PFCF: 55.11

Mar '19
Jun '19
Sep '19
Dec '19
Mar '20
Jun '20
Sep '20
Dec '20
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
net income
-9.01M
-
-7.67M
14.86%
-4.67M
39.12%
-11.25M
140.88%
-8.29M
26.30%
-423K
94.90%
-5.09M
1,104.02%
-8.96M
76.03%
-3.07M
65.77%
-17.99M
486.09%
-30.38M
68.92%
-23.75M
21.83%
-25.63M
7.91%
-63.14M
146.36%
-31.30M
50.42%
-21.23M
32.17%
-24.20M
13.98%
-36.20M
49.58%
-32.28M
10.83%
-17.41M
46.06%
-20.52M
17.89%
depreciation and amortization
8.95M
-
9.14M
2.13%
9.35M
2.34%
9.37M
0.19%
9.59M
2.31%
9.42M
1.77%
9.38M
0.42%
9.79M
4.42%
9.78M
0.06%
9.75M
0.31%
13.71M
40.57%
13.82M
0.79%
13.89M
0.53%
13.89M
0.01%
13.95M
0.45%
13.09M
6.18%
12.42M
5.10%
12.41M
0.08%
12.77M
2.83%
12.70M
0.55%
11.99M
5.55%
deferred income tax
-2.92M
-
-2.48M
15.02%
-1.46M
41.22%
-4.38M
200%
-2.56M
41.46%
-653K
74.53%
-2.14M
227.72%
-3.17M
48.27%
-758K
76.11%
89K
111.74%
-1.90M
2,233.71%
-3.08M
61.98%
-468K
84.79%
-731K
56.20%
-820K
12.18%
-936K
14.15%
-27K
97.12%
-328K
1,114.81%
-1.62M
393.29%
-3K
99.81%
-267K
8,800%
stock based compensation
569K
-
649K
14.06%
598K
7.86%
645K
7.86%
811K
25.74%
764K
5.80%
2.33M
204.71%
2.84M
21.99%
2.83M
0.28%
4.11M
44.99%
15.84M
285.68%
13.03M
17.71%
16.01M
22.86%
53.02M
231.19%
20.49M
61.36%
19.65M
4.12%
19.55M
0.49%
30.18M
54.39%
28.35M
6.08%
22.92M
19.16%
20.58M
10.21%
change in working capital
-6.82M
-
-3.48M
48.97%
9.33M
368.26%
9.17M
1.69%
-10.89M
218.75%
9.79M
189.87%
10.64M
8.66%
14.23M
33.82%
-9.92M
169.69%
30.03M
402.77%
22.96M
23.54%
-6.67M
129.06%
-13.46M
101.74%
8.89M
166.06%
34.42M
287.07%
10.90M
68.34%
-38.84M
456.32%
-884K
97.72%
15.86M
1,893.55%
-9.46M
159.65%
accounts receivables
-4.09M
-
-6.54M
59.95%
-2.41M
63.19%
-1.42M
41.22%
310K
121.89%
-7.68M
2,578.71%
-10.96M
42.61%
-4.84M
55.85%
-7.07M
46.05%
9.31M
231.83%
935K
89.96%
-9.71M
1,137.97%
-2.19M
77.43%
-15.68M
615.98%
2.75M
117.51%
5.64M
105.39%
3.92M
30.56%
-15.96M
507.71%
5.54M
134.68%
-12.72M
329.83%
12.70M
199.80%
inventory
-5.84M
-
2.34M
140.07%
-249K
110.65%
4.62M
1,954.22%
-8.77M
289.95%
8.07M
192.00%
-5.04M
162.51%
9.03M
278.96%
-11.10M
223.00%
6.14M
155.31%
-1.47M
123.97%
1.48M
200.41%
11.46M
-
2.69M
76.53%
727K
72.98%
accounts payables
-707K
-
-730K
3.25%
601K
182.33%
2.13M
254.58%
-1.88M
188.22%
2.14M
213.72%
2.89M
35.03%
743K
74.26%
-1.19M
260.30%
3.48M
391.77%
2.74M
21.27%
-2.95M
207.86%
-413K
86.00%
705K
270.70%
7.47M
960.14%
-1.88M
125.09%
-575K
69.33%
92K
116.00%
5.40M
5,768.48%
4.44M
17.84%
-5.68M
227.98%
other working capital
3.82M
-
1.46M
61.85%
11.39M
681.00%
3.84M
66.28%
-552K
114.38%
7.27M
1,416.49%
23.75M
226.83%
9.30M
60.83%
9.44M
1.45%
11.10M
17.62%
20.76M
87.03%
4.50M
78.30%
-10.86M
341.04%
23.87M
319.80%
24.20M
1.40%
7.14M
70.52%
-42.17M
691.02%
3.52M
108.35%
2.23M
36.68%
-1.90M
185.20%
other non cash items
1.37M
-
1.99M
44.65%
1.94M
2.52%
2.26M
16.63%
2.53M
12.00%
-616K
124.36%
8.48M
1,475.97%
4.98M
41.29%
5.15M
3.56%
8.01M
55.35%
6.58M
17.84%
6.99M
6.22%
6.67M
4.58%
7.39M
10.92%
9.74M
31.80%
5.70M
41.47%
6.29M
10.24%
6.38M
1.51%
10.20M
59.83%
7.18M
29.65%
net cash provided by operating activities
-7.86M
-
-1.86M
76.33%
15.09M
911.08%
5.82M
61.45%
-8.82M
251.65%
18.28M
307.22%
23.58M
29.04%
19.70M
16.46%
4.02M
79.58%
34.00M
745.12%
26.80M
21.16%
338K
98.74%
-2.99M
984.62%
19.33M
746.56%
46.49M
140.48%
27.17M
41.55%
-24.80M
191.26%
11.57M
146.65%
33.28M
187.63%
15.92M
52.16%
-15.90M
199.91%
investments in property plant and equipment
-1.50M
-
-1.81M
20.68%
-2.85M
56.75%
-1.03M
63.94%
-1.04M
1.27%
-327K
68.53%
-470K
43.73%
-2.53M
438.72%
-3.29M
29.94%
-1.92M
41.61%
-2.05M
6.72%
-2.49M
21.66%
-1.96M
21.25%
-912K
53.56%
-2.77M
203.62%
-2.08M
24.81%
-1.12M
46.16%
-665K
40.68%
-736K
10.68%
-412K
44.02%
-1.75M
325.97%
acquisitions net
-35.31M
-
-4.87M
-
-2.51M
-
-3.04M
21.06%
-349.67M
-
-4.02M
-
-19.79M
-
-18.80M
-
purchases of investments
-3.10M
-
-750K
-
-1.50M
-
sales maturities of investments
other investing activites
4K
-
12K
200%
10K
16.67%
13K
30%
-24.99M
192,307.69%
8K
100.03%
-87K
1,187.50%
-72K
17.24%
12K
116.67%
14K
16.67%
-39K
378.57%
11K
128.21%
19K
72.73%
25K
31.58%
net cash used for investing activites
-36.81M
-
-1.81M
95.07%
-7.71M
324.90%
-1.03M
86.70%
-1.04M
1.27%
-327K
68.53%
-470K
43.73%
-5.04M
972.34%
-6.32M
25.38%
-1.91M
69.76%
-351.71M
18,304.34%
-27.48M
92.19%
-5.98M
78.24%
-999K
83.29%
-5.94M
494.69%
-21.86M
268.00%
-1.86M
91.51%
-704K
62.09%
-19.52M
2,673.01%
-393K
97.99%
-3.23M
721.88%
debt repayment
common stock issued
2.98M
-
10.69M
-
3.14M
-
5.20M
65.75%
2.72M
47.66%
242K
91.11%
2.67M
1,005.37%
402K
84.97%
common stock repurchased
dividends paid
other financing activites
39.79M
-
-680K
101.71%
-4.59M
574.41%
-5.15M
12.23%
103K
102.00%
-2.20M
2,238.83%
115.92M
5,361.87%
-840K
100.72%
4.02M
578.45%
-1.94M
148.15%
326.82M
16,989.97%
-34.07M
110.42%
-3.44M
89.90%
66K
101.92%
-24K
136.36%
-4.68M
19,408.33%
-206K
95.60%
-277K
34.47%
-238K
-
280K
217.65%
net cash used provided by financing activities
39.79M
-
-680K
101.71%
-4.59M
574.41%
-5.15M
12.23%
103K
102.00%
-2.20M
2,238.83%
115.92M
5,361.87%
2.15M
98.15%
4.02M
87.37%
-1.94M
148.15%
326.82M
16,989.97%
-23.38M
107.15%
-3.44M
85.28%
66K
101.92%
3.12M
4,619.70%
521K
83.27%
2.52M
383.11%
-35K
101.39%
2.67M
7,742.86%
164K
93.87%
280K
70.73%
effect of forex changes on cash
604K
-
-401K
166.39%
142K
135.41%
-606K
526.76%
-128K
78.88%
-145K
13.28%
-645K
344.83%
-532K
17.52%
609K
214.47%
42K
93.10%
50K
19.05%
-282K
664%
269K
195.39%
-184K
168.40%
net change in cash
-4.88M
-
-4.36M
10.81%
2.79M
164.02%
-357K
112.80%
-9.76M
2,632.77%
15.75M
261.41%
139.03M
782.92%
17.41M
87.48%
1.32M
92.41%
30.30M
2,191.60%
1.31M
95.67%
-50.65M
3,957.43%
-12.55M
75.21%
17.75M
241.41%
43.13M
142.94%
6.44M
85.07%
-24.10M
474.13%
10.88M
145.15%
16.15M
48.41%
15.96M
1.16%
-19.04M
219.29%
cash at beginning of period
39.24M
-
34.36M
12.44%
30.00M
12.68%
32.79M
9.29%
32.43M
1.09%
22.68M
30.08%
38.42M
69.44%
177.46M
361.84%
194.87M
9.81%
196.19M
0.68%
226.49M
15.44%
227.80M
0.58%
177.15M
22.23%
164.59M
7.09%
182.35M
10.79%
225.48M
23.65%
231.92M
2.86%
207.82M
10.39%
218.70M
5.24%
231.25M
5.74%
250.81M
8.46%
cash at end of period
34.36M
-
30.00M
12.68%
32.79M
9.29%
32.43M
1.09%
22.68M
30.08%
38.42M
69.44%
177.46M
361.84%
194.87M
9.81%
196.19M
0.68%
226.49M
15.44%
227.80M
0.58%
177.15M
22.23%
164.59M
7.09%
182.35M
10.79%
225.48M
23.65%
231.92M
2.86%
207.82M
10.39%
218.70M
5.24%
234.85M
7.38%
247.21M
5.26%
231.77M
6.24%
operating cash flow
-7.86M
-
-1.86M
76.33%
15.09M
911.08%
5.82M
61.45%
-8.82M
251.65%
18.28M
307.22%
23.58M
29.04%
19.70M
16.46%
4.02M
79.58%
34.00M
745.12%
26.80M
21.16%
338K
98.74%
-2.99M
984.62%
19.33M
746.56%
46.49M
140.48%
27.17M
41.55%
-24.80M
191.26%
11.57M
146.65%
33.28M
187.63%
15.92M
52.16%
-15.90M
199.91%
capital expenditure
-1.50M
-
-1.81M
20.68%
-2.85M
56.75%
-1.03M
63.94%
-1.04M
1.27%
-327K
68.53%
-470K
43.73%
-2.53M
438.72%
-3.29M
29.94%
-1.92M
41.61%
-2.05M
6.72%
-2.49M
21.66%
-1.96M
21.25%
-912K
53.56%
-2.77M
203.62%
-2.08M
24.81%
-1.12M
46.16%
-665K
40.68%
-736K
10.68%
-412K
44.02%
-1.75M
325.97%
free cash flow
-9.36M
-
-3.67M
60.75%
12.24M
433.09%
4.79M
60.87%
-9.86M
305.82%
17.95M
282.07%
23.11M
28.77%
17.17M
25.72%
733K
95.73%
32.08M
4,276.26%
24.75M
22.83%
-2.16M
108.71%
-4.95M
129.78%
18.42M
471.82%
43.72M
137.35%
25.09M
42.61%
-25.92M
203.30%
10.90M
142.07%
32.54M
198.42%
15.51M
52.34%
-17.66M
213.88%

All numbers in USD (except ratios and percentages)