Autobytel

ABTL

7.70

+0.07

+0.9%

After Hours:

7.70

0.00

0.0%

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Stock Price
Open: 7.60
Prev. Close: 7.63
Low/Hi: 7.60 - 7.73
52-Week: 6.63 - 18.32
Volumes
Equity: 46,195
90-Day Avg: 148,988
Option:
90-Day Avg: 58
Volatility
Todays Stock Vol: 19.8
20-Day (HV): 42.0
52-Week (HV): 47.9
30-Day IV: 31.2 -8.7
IV Pct Rank: 0% Subdued
Fundamental
Div. Yield: 0.0%
Earnings: 3-Nov (Est.)
P/E Ratio: 16.96
Market Cap: 97.1 M
Stock Type: Common
Sector: Technology
Industry: Internet Information Providers
Stock Type: Common | Sector: Technology | Industry: Internet Information Providers

ABTL Cash Flow

Numbers are in thousands. Data provided by Sage Data Service.
Period Ending 30-Jun-2017 31-Mar-2017 31-Dec-2016 30-Sep-2016
Net Income 322 484 1,379 2,738
Change in Working Capital 3,680 -345 1,281 -867
Depreciation Amortization Depletion and Accretion 1,822 1,841 1,811 1,872
Deferred Taxes -210 334 1,441 1,074
Other Non-Cash Activities 883 1,148 250 1,096
Total Cash from Operating Activities 6,511 3,462 6,161 5,913
Capital Expenditures -833 -163 -277 -405
Other Investing Cash Flow 0 0 -251 0
Total Cash from Investing Activities -833 -163 -528 -405
Dividends and Distributions 0 0 0 0
Purchase or Sale of Stock 547 457 174 1,410
Purchase and Retirement of Debt -1,313 -2,625 1 -1,313
Other Financing Cash Flow 0 0 -25 -13
Total Cash from Financing Activities -766 -2,168 150 84
Exchange Rate Effects 0 0 0 0
Net Change in Cash 4,912 1,131 5,783 5,592
Period Ending 31-Dec-2016 31-Dec-2015 31-Dec-2014 31-Dec-2013
Net Income 3,871 4,646 3,411 38,144
Change in Working Capital 1,017 -2,566 -2,318 -1,391
Depreciation Amortization Depletion and Accretion 7,303 4,021 2,227 1,875
Deferred Taxes 1,994 2,996 1,758 -35,495
Other Non-Cash Activities 4,057 3,103 2,812 1,199
Total Cash from Operating Activities 18,242 12,200 7,890 4,332
Capital Expenditures -2,148 -2,719 -1,124 -686
Other Investing Cash Flow -626 -25,386 -11,424 -4,366
Total Cash from Investing Activities -2,774 -28,105 -12,548 -5,052
Dividends and Distributions 0 0 0 0
Purchase or Sale of Stock 3,051 5,189 -1,212 215
Purchase and Retirement of Debt -3,937 14,000 7,750 4,250
Other Financing Cash Flow -63 -38 -63 -111
Total Cash from Financing Activities -949 19,151 6,475 4,354
Exchange Rate Effects 0 0 0 0
Net Change in Cash 14,519 3,246 1,817 3,634