US Stock MarketDetailed Quotes

PRWYF PRODWAYS

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  • 1.020
  • 0.0000.00%
15min DelayClose Feb 7 16:00 ET
52.57MMarket Cap-3481P/E (TTM)

PRODWAYS Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-985.29%-14.02M
186.96%1.58M
103.93%552K
-225.02%-14.04M
24.84%-4.32M
25.74%-5.75M
6.86%-7.74M
-38.05%-8.31M
-2,121.77%-6.02M
---271K
Deferred tax
-77.01%710K
192.98%3.09M
201.25%1.05M
-505.06%-1.04M
229.49%257K
-93.28%78K
316.82%1.16M
-156.32%-535K
2,275.00%950K
--40K
Other non cash items
276.18%20.01M
16.78%5.32M
-69.15%4.55M
66.21%14.76M
45.30%8.88M
22.34%6.11M
3,003.11%5M
151.27%161K
-388.07%-314K
--109K
Change In working capital
131.55%1.41M
-433.77%-4.46M
-115.20%-835K
543.85%5.49M
146.13%853K
11.91%-1.85M
-3,340.98%-2.1M
90.66%-61K
-361.20%-653K
--250K
-Change in receivables
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----
----
----
----
----
---2.24M
----
-Change in inventory
----
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----
----
----
----
----
----
---2.55M
----
-Change in prepaid assets
----
----
----
----
----
----
----
----
--595K
----
-Change in other current assets
----
----
----
----
----
----
----
----
--33K
----
Cash from discontinued investing activities
Operating cash flow
-14.14%3.7M
12.40%4.31M
-12.63%3.83M
1.27%4.39M
356.97%4.33M
60.99%-1.69M
31.79%-4.32M
-41.21%-6.33M
-3,349.28%-4.48M
--138K
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-215.78%-2.02M
55.52%-640K
60.61%-1.44M
5.66%-3.65M
-6.78%-3.87M
-29.59%-3.63M
-85.30%-2.8M
41.50%-1.51M
-2,972.62%-2.58M
---84K
Net intangibles purchase and sale
52.75%-1.22M
-70.92%-2.59M
-18.39%-1.51M
57.27%-1.28M
-105.99%-2.99M
27.29%-1.45M
-6.45%-2M
1.47%-1.88M
-23,700.00%-1.9M
---8K
Net business purchase and sale
168.48%2.67M
-15.06%-3.91M
---3.39M
--0
69.38%-2.81M
-8.08%-9.17M
-2,765.20%-8.48M
96.32%-296K
-27.39%-8.05M
---6.32M
Net investment purchase and sale
-96.32%6K
232.65%163K
117.38%49K
-161.11%-282K
52.42%-108K
-1,235.00%-227K
500.00%20K
94.51%-5K
33.09%-91K
---136K
Net other investing changes
----
----
----
---1K
----
-200.00%-1K
--1K
----
----
--1K
Cash from discontinued investing activities
Investing cash flow
91.92%-563K
-10.66%-6.97M
-20.77%-6.3M
46.68%-5.21M
32.44%-9.78M
-9.18%-14.47M
-259.51%-13.26M
70.79%-3.69M
-92.89%-12.62M
---6.54M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-604.95%-510K
103.44%101K
-134.02%-2.94M
619.70%8.63M
-442.27%-1.66M
104.77%485K
-211.14%-10.17M
442.76%9.15M
15,427.27%1.69M
---11K
Net common stock issuance
-96.43%-55K
34.88%-28K
-295.45%-43K
100.67%22K
---3.28M
--0
--62.48M
--0
175.46%21.95M
--7.97M
Net other financing activities
----
----
0.00%-1K
0.00%-1K
-200.00%-1K
0.00%1K
200.00%1K
---1K
----
----
Cash from discontinued financing activities
Financing cash flow
-395.81%-947K
93.99%-191K
-137.96%-3.18M
262.27%8.38M
-1,423.33%-5.16M
-99.25%390K
476.90%52.15M
-61.56%9.04M
199.67%23.52M
--7.85M
Net cash flow
Beginning cash position
-16.58%14.1M
-24.83%16.9M
49.83%22.48M
-41.29%15M
-38.02%25.55M
500.03%41.23M
-12.15%6.87M
442.75%7.82M
--1.44M
--0
Current changes in cash
174.66%2.13M
49.46%-2.85M
-174.81%-5.65M
171.13%7.55M
32.71%-10.61M
-145.61%-15.77M
3,627.76%34.57M
-115.29%-980K
344.69%6.41M
--1.44M
Effect of exchange rate changes
-117.31%-9K
-18.75%52K
191.43%64K
-218.64%-70K
-6.35%59K
887.50%63K
-125.81%-8K
214.81%31K
---27K
--0
End cash Position
15.04%16.22M
-16.58%14.1M
-24.83%16.9M
49.83%22.48M
-41.29%15M
-38.02%25.55M
500.03%41.23M
-12.15%6.87M
442.75%7.82M
--1.44M
Free cash flow
-61.94%405K
49.86%1.06M
205.50%710K
78.53%-673K
53.67%-3.14M
25.82%-6.77M
6.14%-9.12M
-8.23%-9.72M
-19,619.57%-8.98M
--46K
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -985.29%-14.02M186.96%1.58M103.93%552K-225.02%-14.04M24.84%-4.32M25.74%-5.75M6.86%-7.74M-38.05%-8.31M-2,121.77%-6.02M---271K
Deferred tax -77.01%710K192.98%3.09M201.25%1.05M-505.06%-1.04M229.49%257K-93.28%78K316.82%1.16M-156.32%-535K2,275.00%950K--40K
Other non cash items 276.18%20.01M16.78%5.32M-69.15%4.55M66.21%14.76M45.30%8.88M22.34%6.11M3,003.11%5M151.27%161K-388.07%-314K--109K
Change In working capital 131.55%1.41M-433.77%-4.46M-115.20%-835K543.85%5.49M146.13%853K11.91%-1.85M-3,340.98%-2.1M90.66%-61K-361.20%-653K--250K
-Change in receivables -----------------------------------2.24M----
-Change in inventory -----------------------------------2.55M----
-Change in prepaid assets ----------------------------------595K----
-Change in other current assets ----------------------------------33K----
Cash from discontinued investing activities
Operating cash flow -14.14%3.7M12.40%4.31M-12.63%3.83M1.27%4.39M356.97%4.33M60.99%-1.69M31.79%-4.32M-41.21%-6.33M-3,349.28%-4.48M--138K
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -215.78%-2.02M55.52%-640K60.61%-1.44M5.66%-3.65M-6.78%-3.87M-29.59%-3.63M-85.30%-2.8M41.50%-1.51M-2,972.62%-2.58M---84K
Net intangibles purchase and sale 52.75%-1.22M-70.92%-2.59M-18.39%-1.51M57.27%-1.28M-105.99%-2.99M27.29%-1.45M-6.45%-2M1.47%-1.88M-23,700.00%-1.9M---8K
Net business purchase and sale 168.48%2.67M-15.06%-3.91M---3.39M--069.38%-2.81M-8.08%-9.17M-2,765.20%-8.48M96.32%-296K-27.39%-8.05M---6.32M
Net investment purchase and sale -96.32%6K232.65%163K117.38%49K-161.11%-282K52.42%-108K-1,235.00%-227K500.00%20K94.51%-5K33.09%-91K---136K
Net other investing changes ---------------1K-----200.00%-1K--1K----------1K
Cash from discontinued investing activities
Investing cash flow 91.92%-563K-10.66%-6.97M-20.77%-6.3M46.68%-5.21M32.44%-9.78M-9.18%-14.47M-259.51%-13.26M70.79%-3.69M-92.89%-12.62M---6.54M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -604.95%-510K103.44%101K-134.02%-2.94M619.70%8.63M-442.27%-1.66M104.77%485K-211.14%-10.17M442.76%9.15M15,427.27%1.69M---11K
Net common stock issuance -96.43%-55K34.88%-28K-295.45%-43K100.67%22K---3.28M--0--62.48M--0175.46%21.95M--7.97M
Net other financing activities --------0.00%-1K0.00%-1K-200.00%-1K0.00%1K200.00%1K---1K--------
Cash from discontinued financing activities
Financing cash flow -395.81%-947K93.99%-191K-137.96%-3.18M262.27%8.38M-1,423.33%-5.16M-99.25%390K476.90%52.15M-61.56%9.04M199.67%23.52M--7.85M
Net cash flow
Beginning cash position -16.58%14.1M-24.83%16.9M49.83%22.48M-41.29%15M-38.02%25.55M500.03%41.23M-12.15%6.87M442.75%7.82M--1.44M--0
Current changes in cash 174.66%2.13M49.46%-2.85M-174.81%-5.65M171.13%7.55M32.71%-10.61M-145.61%-15.77M3,627.76%34.57M-115.29%-980K344.69%6.41M--1.44M
Effect of exchange rate changes -117.31%-9K-18.75%52K191.43%64K-218.64%-70K-6.35%59K887.50%63K-125.81%-8K214.81%31K---27K--0
End cash Position 15.04%16.22M-16.58%14.1M-24.83%16.9M49.83%22.48M-41.29%15M-38.02%25.55M500.03%41.23M-12.15%6.87M442.75%7.82M--1.44M
Free cash flow -61.94%405K49.86%1.06M205.50%710K78.53%-673K53.67%-3.14M25.82%-6.77M6.14%-9.12M-8.23%-9.72M-19,619.57%-8.98M--46K
Currency Unit EUREUREUREUREUREUREUREUREUREUR

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