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Akoustis Technologies Inc. logo

Akoustis Technologies Inc.

Sector: 
Technology
   

Industry: 
Communication Equipment

3.57
 
USD
  
-0.11
  
(-2.99%)
Optionable: Yes  Market Cap: 209 M  90-day average vol: 439,350

Previous close: 3.68  Open: 3.65  Bid: 3.87  Ask: 3.87
52 week range    
2.28   
   7.62
Peers   
OZSC / 
PLUG / 
PTE-CA / 
Last updated: Wednesday 7th December 2022
52
MarketXLS Rank marketxls
60
Value marketxls
61
Technical marketxls
36
Quality marketxls

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Financials

AKTS Cash Flow

Annual

Jul-14Mar-15Mar-16Jun-16Jun-17Jun-18Jun-19Jun-20Jun-21Jun-22
Cashflowfinancing_Auditor's Report (aud. name & aud. op.)UEN/AUEUEUEUEUQUEUQUQ
Cashflowfinancing_Auditor's name (aud. name & aud. op.)KLJ & ASSOCIATES LLPN/AMarcum LLPMarcum LLPMarcum LLPMarcum LLPMarcum LLPMarcum LLPMarcum LLPMarcum LLP
Cashflowfinancing_Cash at beginning of period910006877394 M4 M10 M15 M30 M44 M88 M
Cashflowfinancing_Cash at end of period95216877393 M4 M10 M15 M30 M44 M88 M80 M
Cashflowfinancing_Cash from disc. financing activities0000000000
Cashflowfinancing_Domestic sales0000000000
Cashflowfinancing_Effect of exchange rate changes0000000000
Cashflowfinancing_Foreign sales0000000000
Cashflowfinancing_Issuance of capital stock274005650015 M3 M16 M13 M29 M44 M86 M29 M
Cashflowfinancing_Issuance of debt068500000013 M9 M2 M044 M
Cashflowfinancing_Net cash from financing activities274001 M5 M3 M16 M26 M38 M45 M86 M72 M
Cashflowfinancing_Net change in cash & cash equivalents4216877392 M-1740525 M5 M15 M14 M44 M-8 M
Cashflowfinancing_Other financing charges net000000000-1000
Cashflowfinancing_Payment of cash dividends0000000000
Cashflowfinancing_Repayment of debt0-3000000000000
Cashflowfinancing_Repurchase of capital stock0000000000
Cashflowinvesting_Acquisitions0000-3 M000-51000-8 M
Cashflowinvesting_Cash from disc. investing activities0000000000
Cashflowinvesting_Net cash from investing activities0-99197-179830-203667-5 M-7 M-5 M-10 M-12 M-35 M
Cashflowinvesting_Other investing changes net0-28010-36397-43495-60729-73000-174000-201000-510000
Cashflowinvesting_Purchase of Float term investments0000000000
Cashflowinvesting_Purchase of property plant & equipment0-99197-179830-203667-2 M-7 M-5 M-10 M-12 M-28 M
Cashflowinvesting_Purchase of short term investments0000000000
Cashflowinvesting_Sale of Float term investments0000000000
Cashflowinvesting_Sale of property plant equipment00000033000600000357000
Cashflowinvesting_Sale of short term investments0000000000
Cashflowoperating_(Increase) Decrease in inventories0-30521-13023-43544-48883131000-36000-42000-1 M-3 M
Cashflowoperating_(Increase) Decrease in other current assets00-80000-42808-442000-712000-120000-648000-1 M
Cashflowoperating_(Increase) Decrease in other current liabilities0000000-103000-232000-2 M
Cashflowoperating_(Increase) Decrease in other working capital0495672078062751166161441 M6870001 M2 M3 M
Cashflowoperating_(Increase) Decrease in payables030000000000
Cashflowoperating_(Increase) Decrease in prepaid expenses0-19000-404614994-103639-147000-42000000
Cashflowoperating_(Increase) Decrease in receivables0000-29000-215000-70000-66000-820000-2 M
Cashflowoperating_Amortization0000000000
Cashflowoperating_Amortization of intangibles0000000000
Cashflowoperating_Deferred income taxesN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Cashflowoperating_Depreciation0776331463415061172921 M2 M3 M5 M8 M
Cashflowoperating_Extraordinary (gains) losses0000000000
Cashflowoperating_Net cash from continuing operations-26979-433065-3 M-3 M-6 M-14 M-18 M-21 M-29 M-45 M
Cashflowoperating_Net cash from discontinued operations0000000000
Cashflowoperating_Net cash from operating activities-26979-433065-3 M-3 M-6 M-14 M-18 M-21 M-29 M-45 M
Cashflowoperating_Net income (loss)0000000000
Cashflowoperating_Operating (gains) losses00106994968840877490-9000-200000169000-2 M-162000
Cashflowoperating_Other non-cash items0000-688651-2960002 M4 M5 M376000
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