US Stock MarketDetailed Quotes

Cohu Inc (COHU)

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  • 42.770
  • -1.430-3.24%
Close May 19 16:00 ET
  • 43.620
  • +0.850+1.99%
Post 18:24 ET
2.02BMarket Cap-35.94P/E (TTM)

Cohu Inc (COHU) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 28, 2026
(FY)Dec 27, 2025
(Q4)Dec 27, 2025
(Q3)Sep 27, 2025
(Q2)Jun 28, 2025
(Q1)Mar 29, 2025
(FY)Dec 28, 2024
(Q4)Dec 28, 2024
(Q3)Sep 28, 2024
(Q2)Jun 29, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
201.29%10.31M
1,040.82%31.69M
2,420.09%39.84M
-180.68%-14.01M
1,364.14%16.05M
27.08%-10.18M
-97.26%2.78M
-163.57%-1.72M
-40.41%17.36M
-97.94%1.1M
Net income from continuing operations
60.82%-12.07M
-6.38%-74.27M
-5.29%-22.49M
77.29%-4.1M
-7.05%-16.88M
-110.48%-30.8M
-347.97%-69.82M
-953.16%-21.36M
-561.20%-18.06M
-248.99%-15.77M
Operating gains losses
-578.00%-339K
-227.22%-3.84M
-11.54%-1.47M
-526.52%-1.13M
-1,174.55%-1.18M
-123.15%-50K
-569.71%-1.17M
-793.16%-1.32M
58.49%-181K
168.75%110K
Depreciation and amortization
-20.34%10.42M
-3.43%50.69M
-18.53%10.55M
3.35%13.59M
2.26%13.46M
-1.06%13.08M
5.51%52.49M
-1.23%12.95M
8.02%13.15M
6.42%13.16M
Deferred tax
289.31%1.68M
51.59%-1.8M
198.48%2.86M
-594.55%-2.09M
18.34%-1.68M
-208.68%-889K
22.04%-3.72M
31.90%-2.9M
-56.72%422K
12.71%-2.06M
Other non cash items
159.85%4.23M
102.14%17.17M
38.10%7.68M
119.47%3.74M
230.86%4.12M
-62.75%1.63M
280.34%8.49M
156.97%5.56M
-58.93%1.71M
-184.89%-3.15M
Change In working capital
25.90%1.08M
671.38%22.16M
7,437.15%38.14M
-292.30%-29.54M
264.16%12.7M
103.71%861K
-137.25%-3.88M
-59.84%506K
248.06%15.36M
-85.99%3.49M
-Change in receivables
732.39%4.9M
-141.51%-14.47M
486.85%14.06M
-356.40%-33.11M
-57.87%5.36M
-111.37%-775K
-43.70%34.85M
-79.44%2.4M
6.63%12.91M
-61.17%12.73M
-Change in inventory
-799.42%-4.81M
-32.85%4.28M
140.68%692K
18.61%2.44M
-89.64%466K
-54.92%687K
-50.35%6.37M
-114.20%-1.7M
-63.08%2.05M
877.83%4.5M
-Change in payables and accrued expense
168.50%7.37M
302.73%11.75M
-169.58%-6.18M
-141.49%-173K
288.24%15.35M
139.58%2.75M
87.44%-5.79M
135.95%8.88M
-91.96%417K
55.95%-8.16M
-Change in other current assets
-9.51%-5.07M
195.08%15.35M
1,800.36%28.36M
-73.33%-4.21M
-564.33%-4.17M
59.51%-4.63M
-247.88%-16.15M
-114.65%-1.67M
-29.05%-2.43M
-195.15%-628K
-Change in other current liabilities
66.33%-435K
-16.25%-6.86M
-15.04%-1.54M
-37.35%-1.86M
-57.34%-2.18M
29.48%-1.29M
20.81%-5.9M
9.85%-1.34M
48.30%-1.35M
30.92%-1.38M
-Change in other working capital
-121.48%-885K
170.19%12.11M
145.27%2.75M
96.20%7.38M
40.32%-2.13M
136.19%4.12M
20.30%-17.26M
19.88%-6.07M
126.96%3.76M
-130.99%-3.57M
Cash from discontinued investing activities
Operating cash flow
201.29%10.31M
1,040.82%31.69M
2,420.09%39.84M
-180.68%-14.01M
1,364.14%16.05M
27.08%-10.18M
-97.26%2.78M
-163.57%-1.72M
-40.41%17.36M
-97.94%1.1M
Investing cash flow
Cash flow from continuing investing activities
34.18%-22.38M
-1,272.74%-257.02M
-1,248.94%-209.58M
43.19%-12.69M
-103.87%-743K
-598.78%-34M
172.55%21.92M
142.96%18.24M
-4,333.33%-22.34M
1,358.32%19.2M
Net PPE purchase and sale
81.54%-2.02M
-94.30%-20.45M
2.45%-2.95M
-76.68%-3.92M
-34.00%-2.63M
-229.49%-10.96M
33.53%-10.53M
22.10%-3.02M
44.69%-2.22M
34.53%-1.96M
Net business purchase and sale
--0
---34.76M
--172K
--0
--0
---34.94M
--0
--0
--0
--0
Net investment purchase and sale
-271.12%-20.36M
-722.01%-201.8M
-1,072.49%-206.8M
56.39%-8.78M
-91.11%1.88M
17.26%11.9M
-41.40%32.44M
341.37%21.27M
-674.40%-20.13M
2,349.19%21.16M
Cash from discontinued investing activities
Investing cash flow
34.18%-22.38M
-1,272.74%-257.02M
-1,248.94%-209.58M
43.19%-12.69M
-103.87%-743K
-598.78%-34M
172.55%21.92M
142.96%18.24M
-4,333.33%-22.34M
1,358.32%19.2M
Financing cash flow
Cash flow from continuing financing activities
-130.22%-4.95M
517.25%246.33M
28,753.78%247.85M
94.17%-478K
115.16%1.1M
95.16%-2.15M
13.36%-59.04M
107.08%859K
-36.86%-8.21M
-175.18%-7.26M
Net issuance payments of debt
-104.44%-375K
1,039.63%294.56M
29,497.75%286.92M
-203.65%-416K
34.59%-399K
128.52%8.45M
19.29%-31.35M
26.34%-976K
86.54%-137K
48.44%-610K
Net common stock issuance
56.82%-4.58M
68.18%-8.59M
-77.33%575K
99.23%-62K
122.55%1.5M
28.39%-10.6M
-14.15%-26.99M
149.25%2.54M
-62.11%-8.07M
-356.87%-6.65M
Proceeds from stock option exercised by employees
----
269.33%1.19M
----
----
----
----
87.61%-701K
----
----
----
Net other financing activities
----
---40.83M
----
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-130.22%-4.95M
517.25%246.33M
28,753.78%247.85M
94.17%-478K
115.16%1.1M
95.16%-2.15M
13.36%-59.04M
107.08%859K
-36.86%-8.21M
-175.18%-7.26M
Net cash flow
Beginning cash position
10.00%227.05M
-15.93%206.41M
-20.77%149.94M
-19.02%164.44M
-20.51%151.88M
-15.93%206.41M
1.31%245.52M
-35.49%189.26M
-26.23%203.07M
-15.70%191.07M
Current changes in cash
63.27%-17.02M
161.15%21M
349.36%78.11M
-106.14%-27.18M
25.84%16.41M
10.16%-46.34M
-1,199.62%-34.34M
133.50%17.38M
-158.24%-13.19M
-73.39%13.04M
Effect of exchange rate changes
111.05%906K
92.57%-355K
-321.43%-1M
2,146.61%12.69M
-272.22%-3.85M
-184.09%-8.2M
-8,060.00%-4.78M
-105.90%-238K
86.36%-620K
-204.72%-1.03M
End cash Position
38.89%210.94M
10.00%227.05M
10.00%227.05M
-20.77%149.94M
-19.02%164.44M
-20.51%151.88M
-15.93%206.41M
-15.93%206.41M
-35.49%189.26M
-26.23%203.07M
Free cash flow
139.19%8.29M
236.63%10.73M
866.47%36.46M
-218.91%-17.97M
1,556.80%13.39M
-22.29%-21.15M
-109.20%-7.86M
-295.10%-4.76M
-39.87%15.11M
-101.84%-919K
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
(Q1)Mar 28, 2026(FY)Dec 27, 2025(Q4)Dec 27, 2025(Q3)Sep 27, 2025(Q2)Jun 28, 2025(Q1)Mar 29, 2025(FY)Dec 28, 2024(Q4)Dec 28, 2024(Q3)Sep 28, 2024(Q2)Jun 29, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 201.29%10.31M1,040.82%31.69M2,420.09%39.84M-180.68%-14.01M1,364.14%16.05M27.08%-10.18M-97.26%2.78M-163.57%-1.72M-40.41%17.36M-97.94%1.1M
Net income from continuing operations 60.82%-12.07M-6.38%-74.27M-5.29%-22.49M77.29%-4.1M-7.05%-16.88M-110.48%-30.8M-347.97%-69.82M-953.16%-21.36M-561.20%-18.06M-248.99%-15.77M
Operating gains losses -578.00%-339K-227.22%-3.84M-11.54%-1.47M-526.52%-1.13M-1,174.55%-1.18M-123.15%-50K-569.71%-1.17M-793.16%-1.32M58.49%-181K168.75%110K
Depreciation and amortization -20.34%10.42M-3.43%50.69M-18.53%10.55M3.35%13.59M2.26%13.46M-1.06%13.08M5.51%52.49M-1.23%12.95M8.02%13.15M6.42%13.16M
Deferred tax 289.31%1.68M51.59%-1.8M198.48%2.86M-594.55%-2.09M18.34%-1.68M-208.68%-889K22.04%-3.72M31.90%-2.9M-56.72%422K12.71%-2.06M
Other non cash items 159.85%4.23M102.14%17.17M38.10%7.68M119.47%3.74M230.86%4.12M-62.75%1.63M280.34%8.49M156.97%5.56M-58.93%1.71M-184.89%-3.15M
Change In working capital 25.90%1.08M671.38%22.16M7,437.15%38.14M-292.30%-29.54M264.16%12.7M103.71%861K-137.25%-3.88M-59.84%506K248.06%15.36M-85.99%3.49M
-Change in receivables 732.39%4.9M-141.51%-14.47M486.85%14.06M-356.40%-33.11M-57.87%5.36M-111.37%-775K-43.70%34.85M-79.44%2.4M6.63%12.91M-61.17%12.73M
-Change in inventory -799.42%-4.81M-32.85%4.28M140.68%692K18.61%2.44M-89.64%466K-54.92%687K-50.35%6.37M-114.20%-1.7M-63.08%2.05M877.83%4.5M
-Change in payables and accrued expense 168.50%7.37M302.73%11.75M-169.58%-6.18M-141.49%-173K288.24%15.35M139.58%2.75M87.44%-5.79M135.95%8.88M-91.96%417K55.95%-8.16M
-Change in other current assets -9.51%-5.07M195.08%15.35M1,800.36%28.36M-73.33%-4.21M-564.33%-4.17M59.51%-4.63M-247.88%-16.15M-114.65%-1.67M-29.05%-2.43M-195.15%-628K
-Change in other current liabilities 66.33%-435K-16.25%-6.86M-15.04%-1.54M-37.35%-1.86M-57.34%-2.18M29.48%-1.29M20.81%-5.9M9.85%-1.34M48.30%-1.35M30.92%-1.38M
-Change in other working capital -121.48%-885K170.19%12.11M145.27%2.75M96.20%7.38M40.32%-2.13M136.19%4.12M20.30%-17.26M19.88%-6.07M126.96%3.76M-130.99%-3.57M
Cash from discontinued investing activities
Operating cash flow 201.29%10.31M1,040.82%31.69M2,420.09%39.84M-180.68%-14.01M1,364.14%16.05M27.08%-10.18M-97.26%2.78M-163.57%-1.72M-40.41%17.36M-97.94%1.1M
Investing cash flow
Cash flow from continuing investing activities 34.18%-22.38M-1,272.74%-257.02M-1,248.94%-209.58M43.19%-12.69M-103.87%-743K-598.78%-34M172.55%21.92M142.96%18.24M-4,333.33%-22.34M1,358.32%19.2M
Net PPE purchase and sale 81.54%-2.02M-94.30%-20.45M2.45%-2.95M-76.68%-3.92M-34.00%-2.63M-229.49%-10.96M33.53%-10.53M22.10%-3.02M44.69%-2.22M34.53%-1.96M
Net business purchase and sale --0---34.76M--172K--0--0---34.94M--0--0--0--0
Net investment purchase and sale -271.12%-20.36M-722.01%-201.8M-1,072.49%-206.8M56.39%-8.78M-91.11%1.88M17.26%11.9M-41.40%32.44M341.37%21.27M-674.40%-20.13M2,349.19%21.16M
Cash from discontinued investing activities
Investing cash flow 34.18%-22.38M-1,272.74%-257.02M-1,248.94%-209.58M43.19%-12.69M-103.87%-743K-598.78%-34M172.55%21.92M142.96%18.24M-4,333.33%-22.34M1,358.32%19.2M
Financing cash flow
Cash flow from continuing financing activities -130.22%-4.95M517.25%246.33M28,753.78%247.85M94.17%-478K115.16%1.1M95.16%-2.15M13.36%-59.04M107.08%859K-36.86%-8.21M-175.18%-7.26M
Net issuance payments of debt -104.44%-375K1,039.63%294.56M29,497.75%286.92M-203.65%-416K34.59%-399K128.52%8.45M19.29%-31.35M26.34%-976K86.54%-137K48.44%-610K
Net common stock issuance 56.82%-4.58M68.18%-8.59M-77.33%575K99.23%-62K122.55%1.5M28.39%-10.6M-14.15%-26.99M149.25%2.54M-62.11%-8.07M-356.87%-6.65M
Proceeds from stock option exercised by employees ----269.33%1.19M----------------87.61%-701K------------
Net other financing activities -------40.83M--------------------------------
Cash from discontinued financing activities
Financing cash flow -130.22%-4.95M517.25%246.33M28,753.78%247.85M94.17%-478K115.16%1.1M95.16%-2.15M13.36%-59.04M107.08%859K-36.86%-8.21M-175.18%-7.26M
Net cash flow
Beginning cash position 10.00%227.05M-15.93%206.41M-20.77%149.94M-19.02%164.44M-20.51%151.88M-15.93%206.41M1.31%245.52M-35.49%189.26M-26.23%203.07M-15.70%191.07M
Current changes in cash 63.27%-17.02M161.15%21M349.36%78.11M-106.14%-27.18M25.84%16.41M10.16%-46.34M-1,199.62%-34.34M133.50%17.38M-158.24%-13.19M-73.39%13.04M
Effect of exchange rate changes 111.05%906K92.57%-355K-321.43%-1M2,146.61%12.69M-272.22%-3.85M-184.09%-8.2M-8,060.00%-4.78M-105.90%-238K86.36%-620K-204.72%-1.03M
End cash Position 38.89%210.94M10.00%227.05M10.00%227.05M-20.77%149.94M-19.02%164.44M-20.51%151.88M-15.93%206.41M-15.93%206.41M-35.49%189.26M-26.23%203.07M
Free cash flow 139.19%8.29M236.63%10.73M866.47%36.46M-218.91%-17.97M1,556.80%13.39M-22.29%-21.15M-109.20%-7.86M-295.10%-4.76M-39.87%15.11M-101.84%-919K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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