bf/NASDAQ:VALU_icon.png

NASDAQ:VALU

Value Line, Inc.

  • Stock

USD

Last Close

49.51

26/07 20:00

Market Cap

441.09M

Beta: 0.57

Volume Today

2.54K

Avg: 1.44K

PE Ratio

24.59

PFCF: 28.47

Dividend Yield

2.44%

Payout:56.77%

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
Apr '14
Apr '15
Apr '16
Apr '17
Apr '18
Apr '19
Apr '20
Apr '21
Apr '22
Apr '23
net income
6.77M
-
7.29M
7.74%
7.29M
0.01%
10.37M
42.19%
14.74M
42.16%
11.15M
24.35%
15.66M
40.48%
23.28M
48.63%
23.82M
2.33%
18.07M
24.15%
depreciation and amortization
2.08M
-
2.71M
30.22%
3.82M
40.59%
4.62M
21.12%
1.13M
75.67%
367K
67.38%
266K
27.52%
1.29M
386.09%
1.34M
3.33%
1.35M
0.97%
deferred income tax
464K
-
-237K
151.08%
-1.30M
448.95%
-1.71M
31.51%
-7.06M
312.51%
512K
107.25%
267K
47.85%
543K
103.37%
-89K
116.39%
20K
122.47%
stock based compensation
-7.50M
-
-7.97M
6.28%
-7.98M
0.13%
-15.84M
98.46%
-8.94M
43.56%
41K
-
-6.52M
16,007.32%
-372K
94.30%
498K
233.87%
change in working capital
1.10M
-
-193K
117.51%
377K
295.34%
-1.32M
451.46%
842K
163.55%
-54K
106.41%
-2.59M
4,698.15%
-1.22M
52.84%
587K
148.04%
-1.34M
328.45%
accounts receivables
72K
-
-203K
381.94%
155K
176.35%
236K
52.26%
-31K
113.14%
-455K
1,367.74%
-2.93M
544.84%
453K
115.44%
2.31M
409.49%
-447K
119.37%
inventory
810K
-
-271K
133.46%
-88K
67.53%
-533K
505.68%
338K
163.41%
301K
10.95%
1.10M
265.45%
-2.05M
286%
-43K
-
accounts payables
-202K
-
-663K
228.22%
920K
238.76%
-1.25M
235.33%
669K
153.73%
142K
78.77%
-12K
108.45%
21K
275%
-763K
3,733.33%
-51K
93.32%
other working capital
422K
-
944K
123.70%
-610K
164.62%
217K
135.57%
-134K
161.75%
-42K
68.66%
-745K
1,673.81%
350K
146.98%
-958K
373.71%
-800K
16.49%
other non cash items
567K
-
-200K
135.27%
-200K
0%
205K
202.50%
362K
76.59%
-144K
139.78%
99K
168.75%
-962K
1,071.72%
-638K
33.68%
-417K
34.64%
net cash provided by operating activities
3.49M
-
1.41M
59.65%
2.00M
42.43%
-3.68M
283.53%
1.07M
129.12%
11.83M
1,004.67%
13.74M
16.18%
16.41M
19.39%
24.65M
50.19%
18.18M
26.24%
investments in property plant and equipment
-2.69M
-
-2.54M
5.32%
-1.96M
22.88%
-1.68M
14.17%
-408K
75.77%
-122K
70.10%
-2K
98.36%
-178K
8,800%
-11K
93.82%
-140K
1,172.73%
acquisitions net
2.42M
-
1.74M
28.42%
408K
76.48%
-9.31M
-
12.40M
233.26%
145K
98.83%
12.04M
8,202.76%
38.89M
223.01%
purchases of investments
-2.55M
-
-656K
74.30%
-3.85M
487.50%
-13.70M
255.40%
-4.37M
68.11%
-11.20M
156.32%
-21.70M
93.86%
-15.55M
28.33%
-17.91M
15.16%
-40.59M
126.59%
sales maturities of investments
57K
-
10.21M
17,805.26%
803K
92.13%
3.54M
340.35%
8.35M
136.03%
13.05M
56.36%
23.11M
77.12%
14.54M
37.12%
14.61M
0.54%
other investing activites
7.16M
-
5.41M
24.47%
6.08M
12.46%
18.64M
206.48%
8.84M
52.60%
8.97M
1.54%
-12.40M
238.26%
-145K
98.83%
-12.04M
8,202.76%
-38.89M
223.01%
net cash used for investing activites
1.92M
-
4.69M
144.22%
12.21M
160.33%
4.47M
63.38%
7.60M
69.93%
-3.31M
143.56%
-8.66M
161.62%
7.38M
185.26%
-3.39M
145.92%
-26.12M
670.61%
debt repayment
-2.33M
-
common stock issued
-2.33M
-
common stock repurchased
-550K
-
-122K
77.82%
-796K
552.46%
-741K
6.91%
-354K
52.23%
-608K
71.75%
-1.21M
99.67%
-1.53M
25.70%
-2.48M
62.78%
-4.70M
89.37%
dividends paid
-5.91M
-
-5.89M
0.36%
-6.17M
4.74%
-6.62M
7.28%
-8.93M
34.96%
-7.36M
17.55%
-7.72M
4.92%
-8.07M
4.45%
-8.40M
4.18%
-9.47M
12.68%
other financing activites
-608K
-
6.97M
1,246.88%
20K
99.71%
net cash used provided by financing activities
-6.46M
-
-6.01M
6.95%
-6.96M
15.86%
-7.36M
5.66%
-9.28M
26.18%
-7.97M
14.14%
-6.63M
16.85%
-9.57M
44.47%
-10.89M
13.74%
-14.18M
30.18%
effect of forex changes on cash
net change in cash
-1.05M
-
86K
108.17%
7.25M
8,327.91%
-6.57M
190.58%
-616K
90.62%
552K
189.61%
-1.54M
378.80%
14.22M
1,023.78%
10.37M
27.07%
-22.11M
313.28%
cash at beginning of period
6.84M
-
5.79M
15.38%
5.87M
1.49%
13.12M
123.39%
6.56M
50.03%
6.41M
2.24%
6.96M
8.61%
5.42M
22.11%
19.64M
262.16%
30.01M
52.79%
cash at end of period
5.79M
-
5.87M
1.49%
13.12M
123.39%
6.56M
50.03%
5.94M
9.39%
6.96M
17.19%
5.42M
22.11%
19.64M
262.16%
30.01M
52.79%
7.89M
73.69%
operating cash flow
3.49M
-
1.41M
59.65%
2.00M
42.43%
-3.68M
283.53%
1.07M
129.12%
11.83M
1,004.67%
13.74M
16.18%
16.41M
19.39%
24.65M
50.19%
18.18M
26.24%
capital expenditure
-2.69M
-
-2.54M
5.32%
-1.96M
22.88%
-1.68M
14.17%
-408K
75.77%
-122K
70.10%
-2K
98.36%
-178K
8,800%
-11K
93.82%
-140K
1,172.73%
free cash flow
800K
-
-1.14M
242.13%
42K
103.69%
-5.36M
12,866.67%
663K
112.36%
11.71M
1,666.06%
13.74M
17.37%
16.23M
18.11%
24.64M
51.77%
18.04M
26.78%

All numbers in USD (except ratios and percentages)