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Market Closed -
Other stock markets
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5-day change | 1st Jan Change | ||
| 5.030 DKK | +30.65% |
|
-.--% | +123.56% |
| 04-17 | Court puts Shape Robotics into compulsory dissolution | RE |
| 04-15 | Shape Robotics issues objection to dissolution referral | RE |
| Fiscal Period: December | 2019 | 2020 | 2021 | 2022 | 2023 | 2024 |
|---|---|---|---|---|---|---|
Net Income | -12.73M | -16.32M | -4.36M | 2.61M | -14.26M | |
Depreciation & Amortization - CF | 213K | 345K | 1.52M | 7.79M | - | |
Amortization of Goodwill and Intangible Assets - (CF) | - | 17K | 1.02M | 320K | - | |
Depreciation & Amortization, Total | 213K | 362K | 2.54M | 8.11M | - | |
Amortization of Deferred Charges, Total - (CF) | 716K | 716K | - | 614K | - | |
Asset Writedown & Restructuring Costs | 25K | 1K | - | - | - | |
Other Operating Activities, Total | 210K | 356K | -1.45M | -4.62M | 17.73M | |
Change In Accounts Receivable | 1.16M | -5.62M | -23.16M | -94.58M | - | |
Change In Inventories | -5.85M | -959K | -24.45M | 6.95M | - | |
Change In Accounts Payable | 134K | 7.6M | 13.29M | 33.94M | - | |
Change in Other Net Operating Assets | -1.4M | -1.06M | -3.74M | 473K | -43.88M | |
Cash from Operations | -17.52M | -14.93M | -41.33M | -46.5M | -40.42M | |
Capital Expenditure | -127K | -720K | -2.43M | -7.17M | -2.2M | |
Sale (Purchase) of Intangible assets | - | -2.38M | -7.72M | -12.39M | -47.91M | |
Cash from Investing | -127K | -3.1M | -10.16M | -19.56M | -50.11M | |
Long-Term Debt Issued, Total | - | - | 21.73M | 24.11M | 65.72M | |
Total Debt Issued | - | - | 21.73M | 24.11M | 65.72M | |
Long-Term Debt Repaid, Total | - | - | -31K | -5.67M | -8.22M | |
Total Debt Repaid | - | - | -31K | -5.67M | -8.22M | |
Issuance of Common Stock | 27M | 11.55M | 34.97M | 48.9M | 35.94M | |
Repurchase of Common Stock | -1.99M | - | - | -3.37M | - | |
Other Financing Activities, Total | - | -703K | -2.49M | -924K | -1.35M | |
Cash from Financing | 25.01M | 10.85M | 54.18M | 63.05M | 92.08M | |
Foreign Exchange Rate Adjustments | - | - | - | 5K | 195K | |
Miscellaneous Cash Flow Adjustments | - | - | - | 774K | - | |
Net Change in Cash | 7.36M | -7.18M | 2.7M | -2.23M | 1.75M | |
Supplemental Items | ||||||
Cash Interest Paid | - | 125K | 1.73M | 5M | 11.6M | |
Cash Income Tax Paid (Refund) | -482K | -292K | 1.35M | 1.3M | 403K | |
Levered Free Cash Flow | -12.17M | -11.19M | -53.54M | -64.91M | -97.4M | |
Unlevered Free Cash Flow | -12.07M | -11.11M | -52.46M | -61.85M | -89.73M | |
Change In Net Working Capital | 4.84M | -994K | 43.14M | 54M | 44.56M | |
Net Debt Issued / Repaid | - | - | 21.7M | 18.44M | 57.5M |
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