Abaxis

ABAX

50.18

-0.11

-0.2%

After Hours:

50.18

0.00

0.0%

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Stock Price
Open: 50.19
Prev. Close: 50.29
Low/Hi: 49.74 - 50.82
52-Week: 43.66 - 55.95
Volumes
Equity: 68,996
90-Day Avg: 114,309
Option:
90-Day Avg: 56
Volatility
Todays Stock Vol: 22.1
20-Day (HV): 36.3
52-Week (HV): 29.7
30-Day IV: 25.2 +0.2
IV Pct Rank: 9% Subdued
Fundamental
Dividend: 30-Nov $0.16
Div. Yield: 1.3%
Earnings: 26-Jan (Est.)
P/E Ratio: 41.56
Market Cap: 1.1 B
Stock Info
Type: Common
Sector: Healthcare
Industry: Medical Laboratories & Research

ABAX Cash Flow

Numbers are in thousands. Data provided by Sage Data Service.
Period Ending 30-Sep-2017 30-Jun-2017 31-Mar-2017 31-Dec-2016
Net Income 6,601 6,330 7,550 6,844
Change in Working Capital 539 940 -1,024 -6,284
Depreciation Amortization Depletion and Accretion 2,227 2,195 2,238 2,011
Deferred Taxes 275 -714 -715 6
Other Non-Cash Activities 3,426 2,547 2,834 2,969
Total Cash from Operating Activities 13,068 11,298 10,883 5,546
Capital Expenditures -1,603 -1,653 -2,157 -2,365
Other Investing Cash Flow -40,054 -5,588 70 -4,289
Total Cash from Investing Activities -41,657 -7,241 -2,087 -6,654
Dividends and Distributions -3,177 -3,172 -3,156 -3,156
Purchase or Sale of Stock 0 0 0 0
Purchase and Retirement of Debt 0 0 0 0
Other Financing Cash Flow -1,029 -1,354 -62 -75
Total Cash from Financing Activities -4,206 -4,526 -3,218 -3,231
Exchange Rate Effects 196 610 101 -401
Net Change in Cash -32,599 141 5,679 -4,740
Period Ending 31-Mar-2017 31-Mar-2016 31-Mar-2015 31-Mar-2014
Net Income 32,716 31,630 27,331 14,185
Change in Working Capital -11,873 -21,633 989 9,226
Depreciation Amortization Depletion and Accretion 8,006 7,877 9,121 7,957
Deferred Taxes -1,319 1,317 -3,954 -785
Other Non-Cash Activities 5,622 8,865 2,909 4,989
Total Cash from Operating Activities 33,152 28,056 36,396 35,572
Capital Expenditures -10,171 -5,185 -6,077 -5,554
Other Investing Cash Flow -5,732 -15,052 16,170 -7,804
Total Cash from Investing Activities -15,903 -20,237 10,093 -13,358
Dividends and Distributions -11,715 -9,970 -9,006 0
Purchase or Sale of Stock 0 -13,028 109 -1,526
Purchase and Retirement of Debt 0 0 0 0
Other Financing Cash Flow -1,904 -3,629 -2,065 -2,519
Total Cash from Financing Activities -13,619 -26,627 -10,962 -4,045
Exchange Rate Effects -621 116 -2,101 510
Net Change in Cash 3,009 -18,692 33,426 18,679