US Stock MarketDetailed Quotes

CEVA Inc (CEVA)

Watchlist
  • 28.870
  • +4.230+17.17%
Close Apr 24 15:59 ET
  • 29.000
  • +0.130+0.45%
Post 20:01 ET
804.30MMarket Cap-65.61P/E (TTM)

CEVA Inc (CEVA) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-196.69%-3.36M
8.48%8.72M
-1,568.42%-5.86M
-50.29%1.18M
-0.73%-7.4M
154.83%3.47M
67.09%8.04M
131.15%399K
149.72%2.38M
-44.80%-7.35M
Net income from continuing operations
-21.08%-10.64M
36.75%-1.1M
-91.38%-2.51M
-1,172.85%-3.7M
38.93%-3.33M
26.03%-8.79M
-146.06%-1.74M
73.55%-1.31M
95.00%-291K
-11.82%-5.45M
Operating gains losses
-199.18%-1.09M
-96.57%54K
185.58%546K
-27,675.00%-1.11M
-456.52%-574K
108.96%1.09M
113.13%1.58M
-400.94%-638K
92.16%-4K
142.71%161K
Depreciation and amortization
3.22%4.27M
0.26%1.15M
16.67%1.16M
8.22%1.11M
-12.17%859K
-15.30%4.14M
18.14%1.15M
-7.65%990K
-28.13%1.02M
-31.08%978K
Change In working capital
-96.89%-15.2M
-11.28%3.05M
-280.63%-9.75M
99.67%-7K
-31.00%-8.49M
-140.87%-7.72M
-59.20%3.43M
-51.45%-2.56M
54.92%-2.11M
-23.57%-6.48M
-Change in receivables
-74.80%-11.85M
-63.48%378K
-366.60%-13.17M
322.61%4.42M
-15.65%-3.47M
-27,008.00%-6.78M
37.45%1.04M
-2,233.06%-2.82M
-163.15%-1.99M
21.02%-3M
-Change in prepaid assets
105.91%281K
172.88%758K
258.63%2.38M
-13.21%854K
-16.22%-3.71M
2.04%-4.75M
63.90%-1.04M
-37,425.00%-1.5M
310.00%984K
-44.85%-3.19M
-Change in payables and accrued expense
-206.81%-3.14M
-44.39%1.49M
-49.58%897K
-261.31%-4.97M
-290.85%-555K
158.54%2.94M
-19.32%2.68M
313.05%1.78M
83.50%-1.38M
-117.11%-142K
-Change in other current assets
-1,100.43%-11.68M
-7,170.97%-13.52M
33.40%683K
12.17%636K
93.43%530K
-64.69%1.17M
-107.20%-186K
87.55%512K
186.36%567K
10.04%274K
-Change in other current liabilities
1,362.47%10.23M
2,349.80%12.35M
-5.25%-561K
-30.04%-710K
-261.70%-850K
75.25%-810K
119.73%504K
-109.84%-533K
-188.89%-546K
14.55%-235K
-Change in other working capital
85.58%952K
260.72%1.6M
380.00%24K
-197.56%-240K
-137.57%-430K
-92.29%513K
-93.84%443K
100.67%5K
-3.91%246K
-330.95%-181K
Cash from discontinued investing activities
Operating cash flow
-196.69%-3.36M
8.48%8.72M
-1,568.42%-5.86M
-50.29%1.18M
-0.73%-7.4M
154.83%3.47M
67.09%8.04M
131.15%399K
149.72%2.38M
-44.80%-7.35M
Investing cash flow
Cash flow from continuing investing activities
-1,289.94%-34M
-3,409.24%-48.6M
33.14%-6.18M
371.77%14.55M
22.22%6.23M
-122.57%-2.45M
-138.22%-1.39M
-29.10%-9.25M
-60.62%3.09M
-22.03%5.1M
Net PPE purchase and sale
1.15%-2.92M
-45.09%-1.49M
-2.90%-426K
-13.65%-691K
65.60%-311K
-2.46%-2.96M
-35.22%-1.03M
53.59%-414K
46.00%-608K
-760.95%-904K
Net business purchase and sale
542.59%3.47M
--0
--0
--3.47M
--0
-98.00%540K
--0
--0
--0
--540K
Net investment purchase and sale
-4,884.90%-34.55M
-13,133.15%-47.11M
34.83%-5.76M
218.85%11.78M
5.26%6.54M
105.44%722K
98.64%-356K
-40.87%-8.83M
-70.59%3.69M
-6.46%6.22M
Net other investing changes
----
----
----
----
----
---753K
--0
--0
--0
---753K
Cash from discontinued investing activities
Investing cash flow
-1,289.94%-34M
-3,409.24%-48.6M
33.14%-6.18M
371.77%14.55M
22.22%6.23M
-122.57%-2.45M
-138.22%-1.39M
-29.10%-9.25M
-60.62%3.09M
-22.03%5.1M
Financing cash flow
Cash flow from continuing financing activities
1,164.69%59.34M
6,426.10%63.26M
121.26%606K
-194.79%-5.89M
392.03%1.36M
-101.19%-5.57M
68.35%-1M
-122.21%-2.85M
-2M
-83.50%276K
Net common stock issuance
763.56%56.11M
6,426.10%63.26M
76.36%-988K
-208.41%-6.16M
--0
-37.21%-8.46M
68.35%-1M
-39.19%-4.18M
---2M
---1.28M
Proceeds from stock option exercised by employees
11.83%3.22M
--0
19.94%1.59M
--272K
-12.61%1.36M
-15.03%2.88M
--0
-22.73%1.33M
--0
-7.11%1.55M
Cash from discontinued financing activities
Financing cash flow
1,164.69%59.34M
6,426.10%63.26M
121.26%606K
-194.79%-5.89M
392.03%1.36M
-101.19%-5.57M
68.35%-1M
-122.21%-2.85M
---2M
-83.50%276K
Net cash flow
Beginning cash position
-20.57%18.5M
30.56%17.27M
17.73%29.08M
-11.35%18.81M
-20.57%18.5M
9.41%23.29M
-25.22%13.23M
-10.21%24.7M
-13.32%21.22M
9.41%23.29M
Current changes in cash
583.31%21.98M
313.33%23.38M
2.25%-11.43M
184.02%9.85M
109.42%186K
-362.13%-4.55M
7.20%5.66M
-20.28%-11.7M
13.82%3.47M
-162.96%-1.98M
Effect of exchange rate changes
144.40%107K
82.95%-66K
-269.51%-378K
3,138.46%421K
244.44%130K
-190.26%-241K
-220.94%-387K
332.29%223K
172.22%13K
-247.54%-90K
End cash Position
119.41%40.59M
119.41%40.59M
30.56%17.27M
17.73%29.08M
-11.35%18.81M
-20.57%18.5M
-20.57%18.5M
-25.22%13.23M
-10.21%24.7M
-13.32%21.22M
Free cash flow
-1,316.47%-6.28M
3.11%7.23M
-41,800.00%-6.29M
-72.23%492K
6.53%-7.72M
105.60%516K
73.08%7.01M
99.31%-15K
129.97%1.77M
-59.31%-8.25M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -196.69%-3.36M8.48%8.72M-1,568.42%-5.86M-50.29%1.18M-0.73%-7.4M154.83%3.47M67.09%8.04M131.15%399K149.72%2.38M-44.80%-7.35M
Net income from continuing operations -21.08%-10.64M36.75%-1.1M-91.38%-2.51M-1,172.85%-3.7M38.93%-3.33M26.03%-8.79M-146.06%-1.74M73.55%-1.31M95.00%-291K-11.82%-5.45M
Operating gains losses -199.18%-1.09M-96.57%54K185.58%546K-27,675.00%-1.11M-456.52%-574K108.96%1.09M113.13%1.58M-400.94%-638K92.16%-4K142.71%161K
Depreciation and amortization 3.22%4.27M0.26%1.15M16.67%1.16M8.22%1.11M-12.17%859K-15.30%4.14M18.14%1.15M-7.65%990K-28.13%1.02M-31.08%978K
Change In working capital -96.89%-15.2M-11.28%3.05M-280.63%-9.75M99.67%-7K-31.00%-8.49M-140.87%-7.72M-59.20%3.43M-51.45%-2.56M54.92%-2.11M-23.57%-6.48M
-Change in receivables -74.80%-11.85M-63.48%378K-366.60%-13.17M322.61%4.42M-15.65%-3.47M-27,008.00%-6.78M37.45%1.04M-2,233.06%-2.82M-163.15%-1.99M21.02%-3M
-Change in prepaid assets 105.91%281K172.88%758K258.63%2.38M-13.21%854K-16.22%-3.71M2.04%-4.75M63.90%-1.04M-37,425.00%-1.5M310.00%984K-44.85%-3.19M
-Change in payables and accrued expense -206.81%-3.14M-44.39%1.49M-49.58%897K-261.31%-4.97M-290.85%-555K158.54%2.94M-19.32%2.68M313.05%1.78M83.50%-1.38M-117.11%-142K
-Change in other current assets -1,100.43%-11.68M-7,170.97%-13.52M33.40%683K12.17%636K93.43%530K-64.69%1.17M-107.20%-186K87.55%512K186.36%567K10.04%274K
-Change in other current liabilities 1,362.47%10.23M2,349.80%12.35M-5.25%-561K-30.04%-710K-261.70%-850K75.25%-810K119.73%504K-109.84%-533K-188.89%-546K14.55%-235K
-Change in other working capital 85.58%952K260.72%1.6M380.00%24K-197.56%-240K-137.57%-430K-92.29%513K-93.84%443K100.67%5K-3.91%246K-330.95%-181K
Cash from discontinued investing activities
Operating cash flow -196.69%-3.36M8.48%8.72M-1,568.42%-5.86M-50.29%1.18M-0.73%-7.4M154.83%3.47M67.09%8.04M131.15%399K149.72%2.38M-44.80%-7.35M
Investing cash flow
Cash flow from continuing investing activities -1,289.94%-34M-3,409.24%-48.6M33.14%-6.18M371.77%14.55M22.22%6.23M-122.57%-2.45M-138.22%-1.39M-29.10%-9.25M-60.62%3.09M-22.03%5.1M
Net PPE purchase and sale 1.15%-2.92M-45.09%-1.49M-2.90%-426K-13.65%-691K65.60%-311K-2.46%-2.96M-35.22%-1.03M53.59%-414K46.00%-608K-760.95%-904K
Net business purchase and sale 542.59%3.47M--0--0--3.47M--0-98.00%540K--0--0--0--540K
Net investment purchase and sale -4,884.90%-34.55M-13,133.15%-47.11M34.83%-5.76M218.85%11.78M5.26%6.54M105.44%722K98.64%-356K-40.87%-8.83M-70.59%3.69M-6.46%6.22M
Net other investing changes -----------------------753K--0--0--0---753K
Cash from discontinued investing activities
Investing cash flow -1,289.94%-34M-3,409.24%-48.6M33.14%-6.18M371.77%14.55M22.22%6.23M-122.57%-2.45M-138.22%-1.39M-29.10%-9.25M-60.62%3.09M-22.03%5.1M
Financing cash flow
Cash flow from continuing financing activities 1,164.69%59.34M6,426.10%63.26M121.26%606K-194.79%-5.89M392.03%1.36M-101.19%-5.57M68.35%-1M-122.21%-2.85M-2M-83.50%276K
Net common stock issuance 763.56%56.11M6,426.10%63.26M76.36%-988K-208.41%-6.16M--0-37.21%-8.46M68.35%-1M-39.19%-4.18M---2M---1.28M
Proceeds from stock option exercised by employees 11.83%3.22M--019.94%1.59M--272K-12.61%1.36M-15.03%2.88M--0-22.73%1.33M--0-7.11%1.55M
Cash from discontinued financing activities
Financing cash flow 1,164.69%59.34M6,426.10%63.26M121.26%606K-194.79%-5.89M392.03%1.36M-101.19%-5.57M68.35%-1M-122.21%-2.85M---2M-83.50%276K
Net cash flow
Beginning cash position -20.57%18.5M30.56%17.27M17.73%29.08M-11.35%18.81M-20.57%18.5M9.41%23.29M-25.22%13.23M-10.21%24.7M-13.32%21.22M9.41%23.29M
Current changes in cash 583.31%21.98M313.33%23.38M2.25%-11.43M184.02%9.85M109.42%186K-362.13%-4.55M7.20%5.66M-20.28%-11.7M13.82%3.47M-162.96%-1.98M
Effect of exchange rate changes 144.40%107K82.95%-66K-269.51%-378K3,138.46%421K244.44%130K-190.26%-241K-220.94%-387K332.29%223K172.22%13K-247.54%-90K
End cash Position 119.41%40.59M119.41%40.59M30.56%17.27M17.73%29.08M-11.35%18.81M-20.57%18.5M-20.57%18.5M-25.22%13.23M-10.21%24.7M-13.32%21.22M
Free cash flow -1,316.47%-6.28M3.11%7.23M-41,800.00%-6.29M-72.23%492K6.53%-7.72M105.60%516K73.08%7.01M99.31%-15K129.97%1.77M-59.31%-8.25M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
Market Insights
China Concept Stocks
View More
Middle East conflict spreads to the stock market! How should investors respond?
Signs of restarting the second round of US-Iran talks have emerged. According to reports, Iran's foreign minister arrived in Pakistan on Fri Show More