SHSP

NASDAQ:SHSP

SharpSpring, Inc.

  • Stock

USD

Last Close

17.10

01/01 00:00

Volume Today

132.42K

Avg: 194.46K

PE Ratio

−37.59

PFCF: -

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
net income
1.27M
-
-841.21K
166.08%
-8.24M
880.05%
4.95M
160.05%
-4.98M
200.49%
-9.48M
90.52%
-12.39M
30.69%
-5.83M
52.95%
depreciation and amortization
102.31K
-
424.70K
315.10%
1.71M
302.41%
1.52M
11.11%
807.57K
46.84%
892.23K
10.48%
1.01M
13.21%
1.60M
58.02%
deferred income tax
-22.90K
-
-617.85K
2,597.93%
842.69K
236.39%
167.76K
80.09%
5.62K
96.65%
-168.12K
3,092.51%
359
-
stock based compensation
576.82K
-
650.73K
12.81%
890.19K
36.80%
705.65K
20.73%
783.94K
11.10%
964.68K
23.05%
1.20M
24.83%
1.53M
26.78%
change in working capital
915.23K
-
742.88K
18.83%
-4.04M
643.28%
12.27M
404.12%
-3.59M
129.25%
1.83M
150.90%
1.70M
7.22%
12.43M
632.89%
accounts receivables
13.13K
-
-153.06K
1,265.87%
-428.76K
180.14%
-499.52K
16.50%
665.30K
233.19%
-183.35K
127.56%
-204.22K
11.38%
21.99K
110.77%
inventory
-1.51M
-
-2.02M
33.68%
2.48M
222.75%
-11.09M
547.10%
-7.77M
29.95%
-8.92M
14.82%
-9.43M
5.65%
accounts payables
196.91K
-
238.96K
21.35%
-156.08K
165.32%
-22.86K
85.35%
1.09M
4,886.88%
439.03K
59.88%
-978.83K
322.95%
other working capital
902.11K
-
2.21M
145.07%
-1.83M
182.56%
10.45M
672.50%
6.86M
34.36%
8.69M
26.65%
10.38M
19.52%
22.81M
119.71%
other non cash items
-895.89K
-
67.93K
107.58%
7.34M
10,704.70%
-26.69M
463.57%
2.92M
110.93%
2.34M
19.83%
450.67K
80.72%
-12.57M
2,889.17%
net cash provided by operating activities
1.95M
-
427.19K
78.08%
-1.50M
450.77%
-7.07M
371.69%
-4.05M
42.66%
-3.62M
10.56%
-8.03M
121.45%
-2.85M
64.53%
investments in property plant and equipment
-287.48K
-
-66.76K
76.78%
-625.73K
837.23%
-455.51K
27.20%
-177.11K
61.12%
-893.89K
404.71%
-1.37M
52.71%
-1.15M
16.01%
acquisitions net
-7M
-
-1M
-
1M
200%
-5M
-
purchases of investments
sales maturities of investments
other investing activites
-375.47K
-
14.22M
-
-64.27K
100.45%
4.70K
107.31%
434.21K
9,138.62%
net cash used for investing activites
-287.48K
-
-7.44M
2,488.83%
-625.73K
91.59%
12.77M
2,140.07%
758.62K
94.06%
-889.19K
217.21%
-5.93M
567.00%
-1.15M
80.67%
debt repayment
common stock issued
471.30K
-
10.51M
2,129.61%
5.33M
49.26%
15.59M
-
13.94M
10.56%
common stock repurchased
dividends paid
-1.26M
-
-2.46M
95.85%
other financing activites
70.81K
-
66.84K
5.60%
-1.86M
2,878.62%
-1.20M
35.60%
22.13K
101.85%
8.45M
38,099.66%
968.99K
88.54%
6.53M
573.42%
net cash used provided by financing activities
-713.83K
-
8.12M
1,236.87%
3.47M
57.18%
-1.20M
134.42%
22.13K
101.85%
8.45M
38,099.66%
16.56M
95.83%
20.47M
23.62%
effect of forex changes on cash
-5.98K
-
-17.41K
191.18%
-8.50K
51.18%
20.50K
341.26%
-19.64K
195.78%
-37.92K
93.09%
-88.09K
132.32%
net change in cash
947.24K
-
1.09M
15.52%
1.33M
21.83%
4.49M
237.01%
-3.25M
172.38%
3.92M
220.59%
2.56M
34.68%
16.39M
539.80%
cash at beginning of period
784.00K
-
1.73M
120.82%
2.83M
63.21%
4.16M
47.18%
8.65M
108.03%
5.40M
37.59%
9.32M
72.62%
11.88M
27.48%
cash at end of period
1.73M
-
2.83M
63.21%
4.16M
47.18%
8.65M
108.03%
5.40M
37.59%
9.32M
72.62%
11.88M
27.48%
28.27M
137.91%
operating cash flow
1.95M
-
427.19K
78.08%
-1.50M
450.77%
-7.07M
371.69%
-4.05M
42.66%
-3.62M
10.56%
-8.03M
121.45%
-2.85M
64.53%
capital expenditure
-287.48K
-
-66.76K
76.78%
-625.73K
837.23%
-455.51K
27.20%
-177.11K
61.12%
-893.89K
404.71%
-1.37M
52.71%
-1.15M
16.01%
free cash flow
1.66M
-
360.42K
78.30%
-2.12M
689.36%
-7.52M
254.18%
-4.23M
43.78%
-4.52M
6.82%
-9.39M
107.85%
-3.99M
57.48%

All numbers in USD (except ratios and percentages)