bf/NYSE:FNA_icon.jpeg

NYSE:FNA

Paragon 28, Inc.

  • Stock

USD

Last Close

7.97

17/05 20:00

Market Cap

1.01B

Beta: -

Volume Today

379.27K

Avg: 348.65K

PE Ratio

−16.33

PFCF: −12.03

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
3.81M
-
4.17M
9.38%
-527K
112.65%
-1.88M
257.50%
-5.11M
171.07%
-6.17M
20.91%
-9.24M
49.57%
-9.60M
3.97%
-9.72M
1.26%
-38.76M
298.63%
-9.05M
76.65%
-10.90M
20.39%
-8.33M
23.55%
-19.56M
134.75%
-15.23M
22.11%
depreciation and amortization
1.56M
-
1.89M
20.83%
1.74M
8.04%
1.94M
11.50%
2.42M
24.60%
2.87M
18.67%
3.03M
5.69%
3.54M
16.70%
3.06M
13.52%
4.10M
34.21%
3.12M
24.05%
3.30M
5.77%
4.19M
27.02%
4.94M
17.96%
4.26M
13.81%
deferred income tax
-336K
-
227K
167.56%
88K
61.23%
-88K
200%
105K
219.32%
170K
61.90%
-340K
300%
-367K
7.94%
-403K
9.81%
596K
247.89%
-351K
-
-108K
69.23%
-22.58M
20,807.41%
stock based compensation
365K
-
575K
57.53%
858K
49.22%
857K
0.12%
1.03M
20.42%
2.20M
113.28%
2.12M
3.59%
2.34M
10.41%
2.59M
10.41%
3.31M
28.06%
3.18M
3.95%
3.60M
13.14%
3.51M
2.44%
2.07M
41.06%
3.09M
49.18%
change in working capital
-12.25M
-
-6.49M
47.02%
1.35M
120.83%
-824K
160.95%
-4.79M
481.07%
-3.22M
32.79%
-5.76M
79.09%
-8.31M
44.16%
-8.61M
3.59%
14.11M
263.90%
-11.78M
183.52%
-15.53M
31.79%
-13.60M
12.41%
-5.39M
60.38%
accounts receivables
-3.39M
-
-1.54M
54.59%
527K
134.24%
-632K
219.92%
-702K
11.08%
-5.65M
705.41%
-2.24M
60.38%
-4.58M
104.69%
-3.40M
25.80%
-1.79M
47.50%
441K
124.69%
2.70M
511.56%
568K
78.94%
-3.87M
780.81%
-3.10M
19.86%
inventory
-5.52M
-
-4.81M
12.87%
-3.98M
17.33%
-582K
85.37%
-3.30M
466.84%
-3.24M
1.85%
-2.33M
28.07%
-9.19M
294.55%
-3.80M
58.67%
-6.20M
63.14%
-8.44M
36.14%
-15.46M
83.28%
-11.66M
24.56%
-1.04M
91.11%
-7.04M
579.27%
accounts payables
-5.56M
-
-1.02M
81.68%
1.52M
249.02%
1.97M
29.60%
-79K
104.02%
27K
134.18%
-1.18M
4,462.96%
2.71M
330.48%
-586K
121.58%
944K
261.09%
5.59M
492.37%
9.15M
63.68%
-2.28M
124.88%
-5.73M
151.47%
7.44M
229.95%
other working capital
2.22M
-
879K
60.37%
3.29M
273.95%
-1.58M
147.95%
-708K
55.08%
5.65M
897.60%
-16K
100.28%
2.75M
17,293.75%
-820K
129.81%
21.14M
2,678.41%
-9.38M
144.36%
-11.91M
27.05%
-226K
98.10%
5.24M
2,419.47%
other non cash items
1.56M
-
4.78M
205.69%
176K
96.32%
180K
2.27%
1.28M
611.11%
2.03M
58.91%
684K
66.37%
-1.94M
383.19%
977K
150.44%
3.41M
249.44%
473K
86.15%
534K
12.90%
224K
58.05%
24.14M
10,678.57%
net cash provided by operating activities
-5.29M
-
5.15M
197.39%
3.69M
28.40%
180K
95.12%
-5.06M
2,912.22%
-2.12M
58.10%
-9.50M
348.04%
-14.34M
50.86%
-12.11M
15.52%
-13.23M
9.25%
-14.06M
6.27%
-19.34M
37.57%
-14.11M
27.03%
-16.37M
16.01%
-10.99M
32.86%
investments in property plant and equipment
-2.64M
-
-2.83M
7.27%
-3.21M
13.13%
-4.17M
30.01%
-4.09M
1.82%
-9.82M
140.05%
-23.74M
141.68%
-6.25M
73.69%
-5.67M
9.24%
-7.43M
31.02%
-7.78M
4.66%
-8.12M
4.48%
-6.93M
14.71%
-5.20M
24.88%
-5.82M
11.78%
acquisitions net
-15M
-
15M
-
-18.20M
221.34%
-303K
98.34%
123K
140.59%
18.50M
14,943.90%
223K
98.79%
412K
84.75%
160K
61.17%
248K
55.00%
purchases of investments
sales maturities of investments
other investing activites
126K
-
149K
18.25%
191K
28.19%
209K
9.42%
181K
13.40%
-14.78M
8,266.85%
305K
102.06%
214K
29.84%
-18.25M
-
39K
-
net cash used for investing activites
-2.52M
-
-2.69M
6.72%
-3.02M
12.29%
-18.96M
528.82%
-3.91M
79.37%
-9.61M
145.59%
-41.64M
333.48%
-6.34M
84.78%
-5.55M
12.45%
-7.17M
29.33%
-7.55M
5.27%
-7.71M
2.11%
-6.77M
12.23%
-4.96M
26.77%
-5.78M
16.59%
debt repayment
-11.31M
-
-594K
94.75%
-560K
5.72%
-5.38M
861.61%
-46K
99.15%
-43K
6.52%
-37K
13.95%
-141K
281.08%
-189K
34.04%
-203K
7.41%
-197K
2.96%
-199K
1.02%
-172K
13.57%
-65.42M
37,933.72%
common stock issued
36.04M
-
-35.54M
198.61%
1.00M
102.82%
-1K
100.10%
1K
200%
129.38M
12,938,300%
1.92M
-
5.27M
173.96%
68.45M
1,198.60%
4K
99.99%
71K
1,675%
-129K
281.69%
common stock repurchased
-1.31M
-
-561K
57.08%
561K
-
dividends paid
-16.54M
-
other financing activites
552K
-
33.79M
6,020.65%
98K
99.71%
22.12M
22,472.45%
1.13M
94.90%
-59K
105.23%
35.61M
60,450.85%
288K
99.19%
-515K
278.82%
-2.52M
388.93%
1.11M
144.28%
-2.34M
309.96%
-1.25M
46.60%
128.72M
10,397.60%
-1.26M
100.98%
net cash used provided by financing activities
25.27M
-
-3.65M
114.45%
-22K
99.40%
16.73M
76,168.18%
1.08M
93.53%
113.30M
10,361.68%
35.57M
68.61%
147K
99.59%
1.22M
729.93%
2.55M
109.02%
69.37M
2,620.27%
-2.54M
103.66%
-1.35M
46.73%
63.17M
4,776.02%
-1.26M
102.00%
effect of forex changes on cash
-162K
-
343K
311.73%
-470K
237.03%
408K
186.81%
-278K
168.14%
-98K
64.75%
-136K
38.78%
-120K
11.76%
-239K
99.17%
-2K
99.16%
-340K
16,900%
454K
233.53%
435K
4.19%
-1.15M
365.29%
616K
153.38%
net change in cash
17.31M
-
-845K
104.88%
179K
121.18%
-1.64M
1,013.97%
-8.17M
399.27%
101.48M
1,342.36%
-15.71M
115.48%
-20.64M
31.45%
-16.68M
19.22%
-17.86M
7.08%
47.41M
365.53%
-29.14M
161.45%
-21.80M
25.19%
40.69M
286.67%
-17.42M
142.80%
cash at beginning of period
1.04M
-
18.35M
1,670.85%
17.50M
4.61%
17.68M
1.02%
16.04M
9.25%
7.88M
50.91%
109.35M
1,288.42%
93.65M
14.36%
73.00M
22.05%
56.33M
22.84%
38.47M
31.70%
85.88M
123.26%
56.75M
33.93%
34.95M
38.41%
75.64M
116.43%
cash at end of period
18.35M
-
17.50M
4.61%
17.68M
1.02%
16.04M
9.25%
7.88M
50.91%
109.35M
1,288.42%
93.65M
14.36%
73.00M
22.05%
56.33M
22.84%
38.47M
31.70%
85.88M
123.26%
56.75M
33.93%
34.95M
38.41%
75.64M
116.43%
58.22M
23.03%
operating cash flow
-5.29M
-
5.15M
197.39%
3.69M
28.40%
180K
95.12%
-5.06M
2,912.22%
-2.12M
58.10%
-9.50M
348.04%
-14.34M
50.86%
-12.11M
15.52%
-13.23M
9.25%
-14.06M
6.27%
-19.34M
37.57%
-14.11M
27.03%
-16.37M
16.01%
-10.99M
32.86%
capital expenditure
-2.64M
-
-2.83M
7.27%
-3.21M
13.13%
-4.17M
30.01%
-4.09M
1.82%
-9.82M
140.05%
-23.74M
141.68%
-6.25M
73.69%
-5.67M
9.24%
-7.43M
31.02%
-7.78M
4.66%
-8.12M
4.48%
-6.93M
14.71%
-5.20M
24.88%
-5.82M
11.78%
free cash flow
-7.93M
-
2.31M
129.19%
480K
79.26%
-3.99M
930.83%
-9.15M
129.54%
-11.94M
30.48%
-33.24M
178.32%
-20.58M
38.08%
-17.78M
13.61%
-20.66M
16.19%
-21.84M
5.69%
-27.47M
25.79%
-21.04M
23.39%
-21.58M
2.54%
-16.81M
22.09%

All numbers in USD (except ratios and percentages)