Abiomed

ABMD

198.86

-0.72

-0.4%

After Hours:

199.07

+0.21

+0.1%

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Stock Price
Open: 199.70
Prev. Close: 199.58
Low/Hi: 197.01 - 199.75
52-Week: 103.53 - 200.00
Volumes
Equity: 280,671
90-Day Avg: 335,139
Option: 272
90-Day Avg: 282
Volatility
Todays Stock Vol: 15.7
20-Day (HV): 25.0
52-Week (HV): 23.7
30-Day IV: 24.8 -0.1
IV Pct Rank: 27% Subdued
Fundamental
Div. Yield:
Earnings: 30-Jan (Est.)
P/E Ratio: 94.59
Market Cap: 8.8 B
Stock Info
Type: Common
Sector: Healthcare
Industry: Medical Appliances & Equipment

ABMD 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 24,503 37,374 14,899 15,432
Change in Working Capital -2,811 -9,102 10,579 1,481
Depreciation Amortization Depletion and Accretion 2,857 2,463 1,714 1,530
Deferred Taxes 6,903 -3,830 6,986 9,040
Other Non-Cash Activities 11,705 9,389 3,077 6,642
Total Cash from Operating Activities 43,157 36,294 37,255 34,125
Capital Expenditures -7,871 -9,804 -26,376 -13,586
Other Investing Cash Flow -35,514 -7,404 -42,848 -15,520
Total Cash from Investing Activities -43,385 -17,208 -69,224 -29,106
Dividends and Distributions 0 0 0 0
Purchase or Sale of Stock 2,765 3,555 3,346 2,501
Purchase and Retirement of Debt -193 -184 -182 -181
Other Financing Cash Flow -1,432 -17,805 7,236 674
Total Cash from Financing Activities 1,140 -14,434 10,400 2,994
Exchange Rate Effects -346 278 -460 -1,653
Net Change in Cash 566 4,930 -22,029 6,360
Period Ending 31-Mar-2017 31-Mar-2016 31-Mar-2015 31-Mar-2014
Net Income 52,116 38,147 113,688 7,351
Change in Working Capital 5,333 -15,600 -4,724 -530
Depreciation Amortization Depletion and Accretion 6,202 3,277 2,770 2,508
Deferred Taxes 25,803 22,296 -87,094 860
Other Non-Cash Activities 25,662 28,675 18,650 13,277
Total Cash from Operating Activities 115,116 76,795 43,290 23,466
Capital Expenditures -50,415 -15,624 -5,188 -2,761
Other Investing Cash Flow -75,918 -42,086 -44,675 -19,511
Total Cash from Investing Activities -126,333 -57,710 -49,863 -22,272
Dividends and Distributions 0 0 0 0
Purchase or Sale of Stock 12,380 10,906 11,722 10,057
Purchase and Retirement of Debt -446 0 0 0
Other Financing Cash Flow -8,067 -3,746 -2,199 -425
Total Cash from Financing Activities 3,867 7,160 9,523 9,632
Exchange Rate Effects -1,841 -415 -1,465 639
Net Change in Cash -9,191 25,830 1,485 11,465