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AEHR Aehr Test Systems

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  • 8.690
  • +0.570+7.02%
Close Apr 24 16:00 ET
  • 8.730
  • +0.040+0.46%
Post 19:37 ET
258.71MMarket Cap11.14P/E (TTM)

Aehr Test Systems Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Feb 28, 2025
(Q2)Nov 29, 2024
(Q1)Aug 30, 2024
(FY)May 31, 2024
(Q4)May 31, 2024
(Q3)Feb 29, 2024
(Q2)Nov 30, 2023
(Q1)Aug 31, 2023
(FY)May 31, 2023
(Q4)May 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
43.17%-1.61M
-977.61%-5.87M
-38.99%2.38M
-82.46%1.76M
-79.14%1.22M
-151.47%-2.82M
-179.49%-545K
-28.57%3.9M
563.86%10.01M
865.06%5.87M
Net income from continuing operations
56.29%-643K
-116.88%-1.03M
-85.88%660K
127.77%33.16M
290.51%23.86M
-135.60%-1.47M
63.46%6.09M
693.55%4.67M
54.04%14.56M
5.47%6.11M
Depreciation and amortization
145.01%909K
188.06%893K
82.58%566K
24.02%1.36M
31.45%372K
57.87%371K
-35.01%310K
198.08%310K
5.17%1.1M
-63.86%283K
Deferred tax
---203K
---234K
--144K
---20.77M
---20.77M
--0
--0
--0
--0
----
Change In working capital
-50.09%-3.46M
13.23%-6.58M
109.49%140K
-83.37%-14.38M
-231.83%-3.01M
60.49%-2.31M
-52.46%-7.58M
-138.01%-1.48M
23.84%-7.84M
88.93%-908K
-Change in receivables
-415.99%-4.68M
-86.48%1.16M
-25.66%2.56M
279.25%6.79M
16.57%-4.34M
24.67%-907K
270.97%8.6M
-55.06%3.44M
51.65%-3.79M
-18.77%-5.2M
-Change in inventory
134.09%1.43M
66.93%-758K
62.62%-2.88M
-45.02%-13.73M
116.75%450K
-13.47%-4.19M
-197.28%-2.29M
-231.64%-7.7M
-41.88%-9.47M
-119.27%-2.69M
-Change in prepaid assets
-214.95%-1.89M
4.88%-2.22M
-898.89%-719K
-3,225.00%-875K
-241.03%-275K
5,572.41%1.65M
-16,778.57%-2.34M
142.86%90K
139.44%28K
553.49%195K
-Change in payables and accrued expense
50.77%1.47M
71.73%-1.55M
40.07%-338K
-183.67%-4.67M
-91.41%419K
-50.26%973K
-950.93%-5.5M
70.27%-564K
97.45%5.58M
145.10%4.88M
-Change in other current liabilities
104.76%8K
-347.54%-273K
-632.14%-205K
24.60%-423K
-80.43%-166K
-112.66%-168K
69.19%-61K
85.42%-28K
23.98%-561K
---92K
-Change in other working capital
-38.81%205K
51.04%-2.94M
-47.57%1.73M
-498.10%-1.47M
-55.09%899K
111.74%335K
-1,738.52%-6M
285.26%3.29M
-83.20%369K
152.64%2M
Cash from discontinued investing activities
Operating cash flow
43.17%-1.61M
-977.61%-5.87M
-38.99%2.38M
-82.46%1.76M
-79.14%1.22M
-151.47%-2.82M
-179.49%-545K
-28.57%3.9M
563.86%10.01M
865.06%5.87M
Investing cash flow
Cash flow from continuing investing activities
-704.56%-2.12M
-105.77%-321K
-161.03%-10.81M
192.47%17.25M
-100.67%-46K
96.59%-263K
99.12%-156K
21,190.48%17.72M
-4,384.62%-18.66M
3,542.42%6.82M
Net PPE purchase and sale
-529.66%-1.66M
-105.77%-321K
30.63%-197K
45.01%-749K
96.11%-46K
-232.91%-263K
-940.00%-156K
-238.10%-284K
-227.40%-1.36M
-497.98%-1.18M
Net business purchase and sale
---460K
--0
---10.62M
----
----
--0
--0
--0
----
----
Net investment purchase and sale
--0
--0
--0
204.08%18M
--0
--0
--0
--18M
---17.29M
--8M
Cash from discontinued investing activities
Investing cash flow
-704.56%-2.12M
-105.77%-321K
-161.03%-10.81M
192.47%17.25M
-100.67%-46K
96.59%-263K
99.12%-156K
21,190.48%17.72M
-4,384.62%-18.66M
3,542.42%6.82M
Financing cash flow
Cash flow from continuing financing activities
-172.15%-114K
133.86%594K
84.73%-106K
-98.10%139K
128.80%421K
-97.82%158K
-59.03%254K
4.14%-694K
-71.58%7.32M
-49.03%184K
Net issuance payments of debt
----
----
----
--0
----
----
----
----
--0
----
Net common stock issuance
-785.00%-177K
65.19%-181K
83.99%-162K
-101.06%-72K
-10.14%1.48M
---20K
---520K
14.16%-1.01M
-71.62%6.82M
346.34%1.65M
Proceeds from stock option exercised by employees
-64.61%63K
0.13%775K
-82.39%56K
-29.47%1.81M
-10.05%537K
-79.13%178K
17.81%774K
-30.11%318K
-28.03%2.56M
41.81%597K
Net other financing activities
----
----
----
22.52%-1.6M
----
----
----
----
-380.19%-2.06M
----
Cash from discontinued financing activities
Financing cash flow
-172.15%-114K
133.86%594K
84.73%-106K
-98.10%139K
128.80%421K
-97.82%158K
-59.03%254K
4.14%-694K
-71.58%7.32M
-49.03%184K
Net cash flow
Beginning cash position
-30.59%35.17M
-20.20%40.78M
63.25%49.31M
-4.31%30.2M
175.30%47.73M
167.30%50.66M
41.07%51.11M
-4.31%30.2M
577.05%31.56M
-45.99%17.34M
Current changes in cash
-30.93%-3.84M
-1,152.80%-5.6M
-140.81%-8.54M
1,547.17%19.15M
-87.57%1.6M
-82.83%-2.93M
97.41%-447K
349.67%20.92M
-104.93%-1.32M
2,230.46%12.87M
Effect of exchange rate changes
800.00%28K
-300.00%-12K
140.91%9K
-10.81%-41K
-950.00%-21K
71.43%-4K
119.35%6K
-320.00%-22K
-175.51%-37K
-102.94%-2K
End cash Position
-34.30%31.36M
-30.59%35.17M
-20.20%40.78M
63.25%49.31M
63.25%49.31M
175.30%47.73M
167.30%50.66M
41.07%51.11M
-4.31%30.2M
-4.31%30.2M
Free cash flow
-5.64%-3.26M
-783.59%-6.19M
-39.65%2.18M
-88.36%1.01M
-74.85%1.18M
-156.82%-3.09M
-233.81%-701K
-32.73%3.62M
692.03%8.65M
585.39%4.68M
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
--
(Q3)Feb 28, 2025(Q2)Nov 29, 2024(Q1)Aug 30, 2024(FY)May 31, 2024(Q4)May 31, 2024(Q3)Feb 29, 2024(Q2)Nov 30, 2023(Q1)Aug 31, 2023(FY)May 31, 2023(Q4)May 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 43.17%-1.61M-977.61%-5.87M-38.99%2.38M-82.46%1.76M-79.14%1.22M-151.47%-2.82M-179.49%-545K-28.57%3.9M563.86%10.01M865.06%5.87M
Net income from continuing operations 56.29%-643K-116.88%-1.03M-85.88%660K127.77%33.16M290.51%23.86M-135.60%-1.47M63.46%6.09M693.55%4.67M54.04%14.56M5.47%6.11M
Depreciation and amortization 145.01%909K188.06%893K82.58%566K24.02%1.36M31.45%372K57.87%371K-35.01%310K198.08%310K5.17%1.1M-63.86%283K
Deferred tax ---203K---234K--144K---20.77M---20.77M--0--0--0--0----
Change In working capital -50.09%-3.46M13.23%-6.58M109.49%140K-83.37%-14.38M-231.83%-3.01M60.49%-2.31M-52.46%-7.58M-138.01%-1.48M23.84%-7.84M88.93%-908K
-Change in receivables -415.99%-4.68M-86.48%1.16M-25.66%2.56M279.25%6.79M16.57%-4.34M24.67%-907K270.97%8.6M-55.06%3.44M51.65%-3.79M-18.77%-5.2M
-Change in inventory 134.09%1.43M66.93%-758K62.62%-2.88M-45.02%-13.73M116.75%450K-13.47%-4.19M-197.28%-2.29M-231.64%-7.7M-41.88%-9.47M-119.27%-2.69M
-Change in prepaid assets -214.95%-1.89M4.88%-2.22M-898.89%-719K-3,225.00%-875K-241.03%-275K5,572.41%1.65M-16,778.57%-2.34M142.86%90K139.44%28K553.49%195K
-Change in payables and accrued expense 50.77%1.47M71.73%-1.55M40.07%-338K-183.67%-4.67M-91.41%419K-50.26%973K-950.93%-5.5M70.27%-564K97.45%5.58M145.10%4.88M
-Change in other current liabilities 104.76%8K-347.54%-273K-632.14%-205K24.60%-423K-80.43%-166K-112.66%-168K69.19%-61K85.42%-28K23.98%-561K---92K
-Change in other working capital -38.81%205K51.04%-2.94M-47.57%1.73M-498.10%-1.47M-55.09%899K111.74%335K-1,738.52%-6M285.26%3.29M-83.20%369K152.64%2M
Cash from discontinued investing activities
Operating cash flow 43.17%-1.61M-977.61%-5.87M-38.99%2.38M-82.46%1.76M-79.14%1.22M-151.47%-2.82M-179.49%-545K-28.57%3.9M563.86%10.01M865.06%5.87M
Investing cash flow
Cash flow from continuing investing activities -704.56%-2.12M-105.77%-321K-161.03%-10.81M192.47%17.25M-100.67%-46K96.59%-263K99.12%-156K21,190.48%17.72M-4,384.62%-18.66M3,542.42%6.82M
Net PPE purchase and sale -529.66%-1.66M-105.77%-321K30.63%-197K45.01%-749K96.11%-46K-232.91%-263K-940.00%-156K-238.10%-284K-227.40%-1.36M-497.98%-1.18M
Net business purchase and sale ---460K--0---10.62M----------0--0--0--------
Net investment purchase and sale --0--0--0204.08%18M--0--0--0--18M---17.29M--8M
Cash from discontinued investing activities
Investing cash flow -704.56%-2.12M-105.77%-321K-161.03%-10.81M192.47%17.25M-100.67%-46K96.59%-263K99.12%-156K21,190.48%17.72M-4,384.62%-18.66M3,542.42%6.82M
Financing cash flow
Cash flow from continuing financing activities -172.15%-114K133.86%594K84.73%-106K-98.10%139K128.80%421K-97.82%158K-59.03%254K4.14%-694K-71.58%7.32M-49.03%184K
Net issuance payments of debt --------------0------------------0----
Net common stock issuance -785.00%-177K65.19%-181K83.99%-162K-101.06%-72K-10.14%1.48M---20K---520K14.16%-1.01M-71.62%6.82M346.34%1.65M
Proceeds from stock option exercised by employees -64.61%63K0.13%775K-82.39%56K-29.47%1.81M-10.05%537K-79.13%178K17.81%774K-30.11%318K-28.03%2.56M41.81%597K
Net other financing activities ------------22.52%-1.6M-----------------380.19%-2.06M----
Cash from discontinued financing activities
Financing cash flow -172.15%-114K133.86%594K84.73%-106K-98.10%139K128.80%421K-97.82%158K-59.03%254K4.14%-694K-71.58%7.32M-49.03%184K
Net cash flow
Beginning cash position -30.59%35.17M-20.20%40.78M63.25%49.31M-4.31%30.2M175.30%47.73M167.30%50.66M41.07%51.11M-4.31%30.2M577.05%31.56M-45.99%17.34M
Current changes in cash -30.93%-3.84M-1,152.80%-5.6M-140.81%-8.54M1,547.17%19.15M-87.57%1.6M-82.83%-2.93M97.41%-447K349.67%20.92M-104.93%-1.32M2,230.46%12.87M
Effect of exchange rate changes 800.00%28K-300.00%-12K140.91%9K-10.81%-41K-950.00%-21K71.43%-4K119.35%6K-320.00%-22K-175.51%-37K-102.94%-2K
End cash Position -34.30%31.36M-30.59%35.17M-20.20%40.78M63.25%49.31M63.25%49.31M175.30%47.73M167.30%50.66M41.07%51.11M-4.31%30.2M-4.31%30.2M
Free cash flow -5.64%-3.26M-783.59%-6.19M-39.65%2.18M-88.36%1.01M-74.85%1.18M-156.82%-3.09M-233.81%-701K-32.73%3.62M692.03%8.65M585.39%4.68M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

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