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ITI(Quitar la ciudad)

Iteris·NASDAQ
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Iteris (ITI) Financial Statements

Iteris (ITI) Cash Flow Statement

During Q1 2025, Iteris (ITI) generated -3.62M in cash flow from operating activities, -121.00K from investing activities, and -611.00K from financing activities. Click to view the cash flow statement and track how funds are moving through the company.

Cash Flow

Q1,2014
Q1,2015
Q1,2016
Q1,2017
Q1,2018
Q1,2019
Q1,2020
Q1,2021
Q1,2022
Q1,2023
Q1,2024
Q1,2025
TTM
Start Date
Apr 1, 2013
Apr 1, 2014
Apr 1, 2015
Apr 1, 2016
Apr 1, 2017
Apr 1, 2018
Apr 1, 2019
Apr 1, 2020
Apr 1, 2021
Apr 1, 2022
Apr 1, 2023
Apr 1, 2024
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End Date
Jun 30, 2013
Jun 30, 2014
Jun 30, 2015
Jun 30, 2016
Jun 30, 2017
Jun 30, 2018
Jun 30, 2019
Jun 30, 2020
Jun 30, 2021
Jun 30, 2022
Jun 30, 2023
Jun 30, 2024
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Fiscal Year-End
Mar 31
Mar 31
Mar 31
Mar 31
Mar 31
Mar 31
Mar 31
Mar 31
Mar 31
Mar 31
Mar 31
Mar 31
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Net Cash Flows from Operating Activities
20.00K
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1.49M
+7350.00%
-2.01M
-234.70%
-468.00K
+76.68%
-85.00K
+81.84%
-2.03M
-2283.53%
-186.00K
+90.82%
-302.00K
-62.37%
1.12M
+472.19%
-7.34M
-753.38%
4.05M
+155.09%
-3.62M
-189.42%
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Depreciation and Amortization
372.00K
--
287.00K
-22.85%
284.00K
-1.05%
342.00K
+20.42%
321.00K
-6.14%
265.00K
-17.45%
198.00K
-25.28%
185.00K
-6.57%
232.00K
+25.41%
159.00K
-31.47%
933.00K
+486.79%
1.12M
+19.72%
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Change in Working Capital
-2.96M
--
203.00K
+106.86%
-2.02M
-1095.57%
151.00K
+107.47%
-965.00K
-739.07%
-557.00K
+42.28%
756.00K
+235.73%
-1.15M
-252.38%
-2.05M
-78.04%
-4.80M
-134.28%
-70.00K
+98.54%
-6.28M
-8877.14%
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Net Cash Flows from Investing Activities
-249.00K
--
-17.00K
+93.17%
-323.00K
-1800.00%
-489.00K
-51.39%
-718.00K
-46.83%
-3.55M
-394.71%
-18.59M
-423.31%
-3.77M
+79.70%
3.41M
+190.28%
-521.00K
-115.29%
-756.00K
-45.11%
-121.00K
+83.99%
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Purchase of PPE and Intangible Assets
249.00K
--
115.00K
-53.82%
323.00K
+180.87%
548.00K
+69.66%
855.00K
+56.02%
311.00K
-63.63%
302.00K
-2.89%
458.00K
+51.66%
1.14M
+149.56%
521.00K
-54.42%
756.00K
+45.11%
121.00K
-83.99%
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Increase in Investments
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--
--
--
--
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3.71M
--
20.18M
+444.64%
19.46M
-3.58%
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Net Cash Flows from Financing Activities
-275.00K
--
-350.00K
-27.27%
-735.00K
-110.00%
14.00K
+101.90%
160.00K
+1042.86%
206.00K
+28.75%
26.94M
+12976.21%
74.00K
-99.73%
1.38M
+1758.11%
-859.00K
-162.47%
251.00K
+129.22%
-611.00K
-343.43%
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Change in Capital Stock
-302.00K
--
-350.00K
-15.89%
-735.00K
-110.00%
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--
--
--
--
--
26.75M
--
--
--
0
--
-884.00K
--
--
--
-621.00K
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Increase in Capital Stock
--
--
--
--
--
--
--
--
--
--
--
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26.75M
--
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--
--
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--
--
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Decrease in Capital Stock
302.00K
--
350.00K
+15.89%
735.00K
+110.00%
--
--
--
--
--
--
--
--
--
--
0
--
884.00K
--
--
--
621.00K
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Net Increase in Cash and Cash Equivalents
-504.00K
--
1.12M
+322.82%
-3.06M
-372.93%
-943.00K
+69.23%
-643.00K
+31.81%
-5.37M
-735.46%
8.16M
+251.95%
-4.00M
-149.03%
5.91M
+247.58%
-8.72M
-247.71%
3.54M
+140.59%
-4.35M
-222.85%
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Cash and Cash Equivalents at Beginning of Period
19.14M
--
20.41M
+6.67%
21.96M
+7.58%
16.03M
-27.01%
18.20M
+13.55%
10.15M
-44.22%
7.07M
-30.35%
14.36M
+103.13%
25.47M
+77.32%
23.81M
-6.51%
16.73M
-29.75%
25.98M
+55.29%
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Cash and Cash Equivalents at End of Period
18.63M
--
21.54M
+15.59%
18.90M
-12.26%
15.09M
-20.16%
17.56M
+16.39%
4.78M
-72.78%
15.23M
+218.70%
10.36M
-31.99%
31.37M
+202.81%
15.09M
-51.92%
20.27M
+34.36%
21.63M
+6.70%
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