bf/NASDAQ:SLNH_icon.jpeg

NASDAQ:SLNH

Soluna

  • Stock

USD

Last Close

3.04

06/11 22:31

Market Cap

21.68M

Beta: 2.34

Volume Today

536.09K

Avg: 767.23K

PE Ratio

−0.08

PFCF: −0.23

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
Dec '14
Dec '15
Dec '16
Dec '17
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
740K
-
-2.83M
482.70%
-359K
87.32%
582K
262.12%
323K
44.50%
1.95M
502.48%
-6.39M
428.26%
-107.02M
1,575.27%
-27.70M
74.11%
depreciation and amortization
83K
-
80K
3.61%
85K
6.25%
81K
4.71%
87K
7.41%
159K
82.76%
3.87M
2,335.22%
28.42M
633.88%
4.13M
85.46%
deferred income tax
165K
-
1.33M
709.09%
-99K
107.42%
-364K
-
41K
111.26%
-1.39M
3,485.37%
-1.11M
20.24%
stock based compensation
85K
-
141K
65.88%
449K
218.44%
41K
90.87%
31K
24.39%
54K
74.19%
1.94M
3,494.44%
3.67M
89.23%
4.22M
15.03%
change in working capital
-281K
-
-289K
2.85%
-3K
98.96%
-314K
10,366.67%
-189K
39.81%
-173K
8.47%
3.19M
1,943.35%
139K
95.64%
-3.48M
2,605.04%
accounts receivables
-372K
-
209K
156.18%
71K
66.03%
-527K
842.25%
125K
123.72%
-230K
284%
-471K
104.78%
211K
144.80%
-2.62M
1,341.71%
inventory
-47K
-
-316K
572.34%
-35K
88.92%
13K
137.14%
-94K
823.08%
99K
205.32%
579K
484.85%
accounts payables
67K
-
-64K
195.52%
-28K
56.25%
201K
817.86%
9K
95.52%
90K
900%
2.77M
2,972.22%
553K
80%
-862K
255.88%
other working capital
71K
-
-118K
266.20%
-11K
90.68%
-1K
90.91%
-229K
22,800%
-132K
42.36%
316K
339.39%
-625K
297.78%
3.48M
657.12%
other non cash items
-106K
-
139K
231.13%
449K
223.02%
-27K
106.01%
37K
237.04%
2.90M
-
70.43M
2,331.03%
17.47M
75.20%
net cash provided by operating activities
686K
-
-1.43M
307.87%
522K
136.61%
363K
30.46%
289K
20.39%
1.62M
461.25%
5.55M
242.29%
-5.75M
203.55%
-2.99M
48.04%
investments in property plant and equipment
-77K
-
-55K
28.57%
-136K
147.27%
-107K
21.32%
-83K
22.43%
-835K
906.02%
-57.27M
6,758.44%
-63.76M
11.34%
-12.71M
80.07%
acquisitions net
13.83M
-
purchases of investments
-750K
-
sales maturities of investments
other investing activites
102K
-
20K
80.39%
-37K
-
4.30M
11,716.22%
2.38M
44.74%
net cash used for investing activites
25K
-
-35K
240%
-136K
288.57%
-107K
21.32%
-83K
22.43%
-1.58M
1,809.64%
-57.30M
3,515.46%
-45.63M
20.37%
-10.33M
77.36%
debt repayment
-14.66M
-
-4.49M
69.37%
common stock issued
74K
-
83K
12.16%
17.25M
20,683.13%
2.86M
83.43%
817K
71.41%
common stock repurchased
2.53M
-
-25K
100.99%
-14.66M
-
dividends paid
-3.54M
-
-630K
-
-3.85M
511.43%
-656K
82.97%
other financing activites
1K
-
7K
-
216K
2,985.71%
-3.47M
1,705.09%
83K
102.39%
72.08M
86,749.40%
48.43M
32.82%
21.70M
55.19%
net cash used provided by financing activities
1K
-
2.53M
-
191K
92.46%
-3.47M
1,915.18%
83K
102.39%
59.38M
71,443.37%
42.94M
27.68%
21.86M
49.09%
effect of forex changes on cash
net change in cash
712K
-
-1.46M
305.20%
2.92M
299.79%
447K
84.69%
-3.26M
829.53%
120K
103.68%
7.63M
6,256.67%
-8.44M
210.61%
8.55M
201.29%
cash at beginning of period
1.21M
-
1.92M
58.79%
462K
75.98%
3.38M
631.82%
5.77M
70.69%
2.51M
56.51%
2.63M
4.78%
10.26M
290.04%
1.82M
82.25%
cash at end of period
1.92M
-
462K
75.98%
3.38M
631.82%
3.83M
13.22%
2.51M
34.43%
2.63M
4.78%
10.26M
290.04%
1.82M
82.25%
10.37M
469.30%
operating cash flow
686K
-
-1.43M
307.87%
522K
136.61%
363K
30.46%
289K
20.39%
1.62M
461.25%
5.55M
242.29%
-5.75M
203.55%
-2.99M
48.04%
capital expenditure
-77K
-
-55K
28.57%
-136K
147.27%
-107K
21.32%
-83K
22.43%
-835K
906.02%
-57.27M
6,758.44%
-63.76M
11.34%
-12.71M
80.07%
free cash flow
609K
-
-1.48M
343.19%
386K
126.06%
256K
33.68%
206K
19.53%
787K
282.04%
-51.72M
6,671.28%
-69.51M
34.41%
-15.69M
77.42%

All numbers in USD (except ratios and percentages)