bf/NASDAQ:NTRB_icon.jpeg

NASDAQ:NTRBW

Nutriband

  • Stock

USD

Last Close

5.53

06/11 21:00

Market Cap

65.00M

Beta: -

Volume Today

147.63K

Avg: 1.02K

PE Ratio

−4.15

PFCF: −6.01

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
Jan '16
Jan '17
Jan '18
Jan '19
Jan '20
Jan '21
Jan '22
Jan '23
Jan '24
net income
-400
-
-151.26K
37,715%
-2.67M
1,666.46%
-3.33M
24.67%
-2.72M
18.30%
-2.93M
7.76%
-6.18M
110.59%
-4.48M
27.41%
-5.49M
22.35%
depreciation and amortization
37.01K
-
91.41K
146.97%
169.72K
85.68%
318.26K
87.52%
368.96K
15.93%
287.72K
22.02%
deferred income tax
678.77K
-
-12.93K
101.91%
stock based compensation
7.77K
-
1.76M
-
252.70K
85.67%
2.00M
693.38%
1.36M
31.93%
732.13K
46.35%
742.70K
1.44%
change in working capital
400
-
-4.43K
1,208.25%
75.09K
1,793.84%
400.51K
433.39%
712.96K
78.01%
110.23K
84.54%
-541.38K
591.15%
-219.32K
59.49%
223.22K
201.78%
accounts receivables
-12.82K
-
255
101.99%
-94.75K
37,258.04%
42.97K
145.35%
-41.66K
196.97%
-153.97K
269.54%
inventory
-8.05K
-
3.92K
148.65%
4.13K
5.57%
-720.15K
17,524.39%
-10.23K
98.58%
-78.80K
669.91%
-97.69K
23.97%
60.73K
162.17%
accounts payables
4K
-
337.98K
8,349.50%
720.15K
113.07%
155.22K
78.45%
-145.26K
193.58%
-104.86K
27.81%
198.89K
289.67%
other working capital
3.62K
-
67.17K
1,758.17%
71.22K
6.03%
712.71K
900.64%
59.99K
91.58%
-360.29K
700.53%
24.90K
106.91%
117.56K
372.22%
other non cash items
2.50M
-
24.30K
99.03%
91.32K
275.79%
363.89K
298.49%
2.23M
511.53%
614.51K
72.39%
1.92M
211.90%
net cash provided by operating activities
-147.92K
-
-92.86K
37.23%
-1.11M
1,090.49%
-894.47K
19.09%
-297.06K
66.79%
-2.81M
845.69%
-2.99M
6.34%
-3.53M
18.09%
investments in property plant and equipment
-4.16K
-
-81.59K
-
-79.30K
2.81%
-51.76K
34.73%
acquisitions net
-400K
-
66.99K
-
purchases of investments
sales maturities of investments
other investing activites
-51.76K
-
net cash used for investing activites
92.89K
-
-404.16K
535.12%
66.99K
-
-81.59K
221.79%
-79.30K
2.81%
-51.76K
34.73%
debt repayment
-23.05K
-
-8.25K
64.21%
-42.85K
419.39%
-175K
308.40%
-356.41K
103.66%
-1.63M
356.51%
-17.80K
98.91%
-2.09M
11,626.72%
common stock issued
175K
-
50K
71.43%
1.50M
2,900%
250K
83.33%
515.11K
106.04%
6.42M
1,146.19%
296.88K
95.38%
2.61M
778.44%
common stock repurchased
2.50M
-
-104.47K
-
-119.01K
13.92%
dividends paid
-2.50M
-
-196.59K
-
-296.88K
51.01%
other financing activites
100
-
22.95K
22,850%
24.01K
4.63%
526.74K
2,093.64%
355.25K
32.56%
213.18K
39.99%
3.14M
1,372.75%
296.88K
90.54%
-1
100.00%
net cash used provided by financing activities
100
-
174.90K
174,800%
65.76K
62.40%
1.98M
2,916.77%
430.25K
78.31%
371.87K
13.57%
7.63M
1,951.96%
160.07K
97.90%
2.09M
1,203.63%
effect of forex changes on cash
47
-
-28
159.57%
394
1,507.14%
-252
163.96%
net change in cash
100
-
27.02K
26,924%
65.76K
143.35%
474.65K
621.77%
-464.47K
197.86%
141.81K
130.53%
4.74M
3,242.37%
-2.91M
161.32%
-1.49M
48.65%
cash at beginning of period
100
-
27.12K
27,024%
474.65K
-
10.18K
97.86%
151.99K
1,392.91%
4.89M
3,118.48%
1.99M
59.41%
cash at end of period
100
-
27.12K
27,024%
92.89K
242.45%
474.65K
411.01%
10.18K
97.86%
151.99K
1,392.91%
4.89M
3,118.48%
1.99M
59.41%
492.94K
75.17%
operating cash flow
-147.92K
-
-92.86K
37.23%
-1.11M
1,090.49%
-894.47K
19.09%
-297.06K
66.79%
-2.81M
845.69%
-2.99M
6.34%
-3.53M
18.09%
capital expenditure
-4.16K
-
-81.59K
-
-79.30K
2.81%
-51.76K
34.73%
free cash flow
-147.92K
-
-92.86K
37.23%
-1.11M
1,094.97%
-894.47K
19.39%
-297.06K
66.79%
-2.89M
873.16%
-3.07M
6.08%
-3.58M
16.72%

All numbers in USD (except ratios and percentages)