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FTCI FTC Solar

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  • 3.130
  • +0.310+10.99%
Close Apr 24 16:00 ET
  • 2.980
  • -0.150-4.79%
Post 16:21 ET
40.28MMarket Cap-0.82P/E (TTM)

FTC Solar Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
34.10%-34.7M
-166.08%-16.69M
84.76%-2.37M
83.20%-3.78M
-42.58%-11.86M
3.40%-52.66M
-15.63%-6.27M
-22.76%-15.57M
-234.62%-22.49M
84.34%-8.32M
Net income from continuing operations
3.35%-48.61M
-9.47%-12.24M
9.32%-15.36M
-17.54%-12.24M
25.43%-8.77M
49.51%-50.29M
45.48%-11.18M
33.93%-16.94M
59.45%-10.41M
57.68%-11.76M
Operating gains losses
-551.29%-4.31M
-917.53%-987K
-23.35%256K
--246K
-325.39%-3.82M
57.68%-661K
---97K
125.00%334K
--0
-166.47%-898K
Depreciation and amortization
21.53%1.67M
19.14%442K
23.37%417K
22.89%408K
20.96%404K
52.78%1.38M
16.67%371K
6.62%338K
130.56%332K
176.03%334K
Deferred tax
-39.86%83K
-65.06%-137K
-108.11%-3K
93.75%-2K
4.17%225K
202.22%138K
-142.35%-83K
111.18%37K
---32K
--216K
Other non cash items
32.69%1.09M
447.62%575K
-86.83%22K
-53.85%198K
143.44%297K
-83.88%823K
-97.75%105K
0.00%167K
50.00%429K
608.33%122K
Change In working capital
102.03%501K
-453.54%-8.73M
221.15%7.14M
132.46%5.61M
12.58%-3.52M
-366.12%-24.73M
234.92%2.47M
-211.24%-5.89M
-148.01%-17.28M
86.67%-4.02M
-Change in receivables
199.57%23.5M
-202.68%-3.11M
139.14%3.42M
485.82%24.95M
84.49%-1.77M
-141.16%-23.6M
-21.55%3.03M
-137.89%-8.75M
-111.75%-6.47M
53.71%-11.41M
-Change in inventory
-162.06%-6.42M
281.61%4.98M
39.35%1.94M
-615.28%-13.22M
-102.28%-116K
230.83%10.34M
94.20%1.31M
137.12%1.39M
153.76%2.57M
8,855.17%5.08M
-Change in prepaid assets
74.63%-934K
183.90%469K
83.11%-539K
-21.69%-909K
-94.49%45K
-151.20%-3.68M
-124.94%-559K
-334.36%-3.19M
-611.64%-747K
-76.25%817K
-Change in payables and accrued expense
-646.49%-14.33M
-447.89%-11.45M
127.36%1.1M
54.80%-1.77M
-130.43%-2.21M
104.71%2.62M
118.05%3.29M
64.43%-4.02M
75.96%-3.91M
174.25%7.27M
-Change in other current assets
-198.17%-376K
-56.33%138K
-96.78%48K
37.78%-336K
74.38%-226K
137.59%383K
188.27%316K
637.55%1.49M
-56.98%-540K
-2,105.00%-882K
-Change in other current liabilities
12.55%-2.7M
-125.71%-683K
53.79%-682K
60.62%-808K
76.36%-523K
-414.69%-3.08M
-25.97%2.66M
20.39%-1.48M
-29.71%-2.05M
-194.15%-2.21M
-Change in other working capital
122.77%1.75M
112.19%922K
-78.66%1.85M
62.43%-2.3M
148.00%1.29M
-177.86%-7.7M
-218.11%-7.57M
539.68%8.67M
-262.05%-6.13M
-259.44%-2.68M
Cash from discontinued investing activities
Operating cash flow
34.10%-34.7M
-166.08%-16.69M
84.76%-2.37M
83.20%-3.78M
-42.58%-11.86M
3.40%-52.66M
-15.63%-6.27M
-22.76%-15.57M
-234.62%-22.49M
84.34%-8.32M
Investing cash flow
Cash flow from continuing investing activities
1,677.33%6.26M
8,103.08%5.33M
15.47%-224K
-776.65%-1.46M
8,826.67%2.62M
90.65%-397K
138.01%65K
93.03%-265K
-87.64%-167K
83.87%-30K
Net PPE purchase and sale
8.70%-745K
271.35%610K
15.47%-224K
-318.56%-699K
-1,442.86%-432K
9.23%-816K
-108.19%-356K
-170.41%-265K
-56.07%-167K
94.65%-28K
Net business purchase and sale
1,572.32%7.01M
1,021.62%4.72M
--0
---765K
152,600.00%3.05M
112.51%419K
--421K
--0
--0
-100.59%-2K
Cash from discontinued investing activities
Investing cash flow
1,677.33%6.26M
8,103.08%5.33M
15.47%-224K
-776.65%-1.46M
8,826.67%2.62M
90.65%-397K
138.01%65K
93.03%-265K
-87.64%-167K
83.87%-30K
Financing cash flow
Cash flow from continuing financing activities
-57.30%14.5M
8,020.77%14.5M
0
-99.98%3K
0
3,659.69%33.95M
-259.13%-183K
4,847.45%13.56M
17,467.44%15.11M
1,177.80%5.47M
Net issuance payments of debt
--14.55M
----
----
----
----
--0
----
----
----
----
Net common stock issuance
--0
--0
--0
--0
--0
--34.01M
--0
--13.37M
--15.19M
--5.45M
Proceeds from stock option exercised by employees
-96.46%8K
0.00%5K
--0
--3K
--0
-74.97%226K
-95.65%5K
-37.96%170K
--0
-88.08%51K
Net other financing activities
78.80%-60K
----
----
----
----
---283K
---188K
--19K
---82K
---32K
Cash from discontinued financing activities
Financing cash flow
-57.30%14.5M
8,020.77%14.5M
--0
-99.98%3K
--0
3,659.69%33.95M
-259.13%-183K
4,847.45%13.56M
17,467.44%15.11M
1,177.80%5.47M
Net cash flow
Beginning cash position
-43.15%25.24M
-73.81%8.26M
-68.13%10.78M
-61.59%15.94M
-43.15%25.24M
-56.56%44.39M
-36.73%31.52M
-48.78%33.82M
-15.98%41.49M
-56.56%44.39M
Current changes in cash
27.03%-13.94M
149.07%3.14M
-13.75%-2.6M
30.63%-5.24M
-221.13%-9.24M
66.98%-19.1M
-16.60%-6.39M
85.92%-2.28M
-145.21%-7.55M
94.56%-2.88M
Effect of exchange rate changes
-4.26%-49K
-235.85%-144K
621.43%73K
165.32%81K
-293.33%-59K
-187.04%-47K
130.43%106K
-255.56%-14K
-96.83%-124K
-124.19%-15K
End cash Position
-55.43%11.25M
-55.43%11.25M
-73.81%8.26M
-68.13%10.78M
-61.59%15.94M
-43.15%25.24M
-43.15%25.24M
-36.73%31.52M
-48.78%33.82M
-15.98%41.49M
Free cash flow
32.03%-36.34M
-156.16%-16.98M
83.60%-2.6M
80.24%-4.48M
-47.28%-12.29M
3.65%-53.47M
-18.46%-6.63M
-23.57%-15.84M
-236.93%-22.66M
84.44%-8.34M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 34.10%-34.7M-166.08%-16.69M84.76%-2.37M83.20%-3.78M-42.58%-11.86M3.40%-52.66M-15.63%-6.27M-22.76%-15.57M-234.62%-22.49M84.34%-8.32M
Net income from continuing operations 3.35%-48.61M-9.47%-12.24M9.32%-15.36M-17.54%-12.24M25.43%-8.77M49.51%-50.29M45.48%-11.18M33.93%-16.94M59.45%-10.41M57.68%-11.76M
Operating gains losses -551.29%-4.31M-917.53%-987K-23.35%256K--246K-325.39%-3.82M57.68%-661K---97K125.00%334K--0-166.47%-898K
Depreciation and amortization 21.53%1.67M19.14%442K23.37%417K22.89%408K20.96%404K52.78%1.38M16.67%371K6.62%338K130.56%332K176.03%334K
Deferred tax -39.86%83K-65.06%-137K-108.11%-3K93.75%-2K4.17%225K202.22%138K-142.35%-83K111.18%37K---32K--216K
Other non cash items 32.69%1.09M447.62%575K-86.83%22K-53.85%198K143.44%297K-83.88%823K-97.75%105K0.00%167K50.00%429K608.33%122K
Change In working capital 102.03%501K-453.54%-8.73M221.15%7.14M132.46%5.61M12.58%-3.52M-366.12%-24.73M234.92%2.47M-211.24%-5.89M-148.01%-17.28M86.67%-4.02M
-Change in receivables 199.57%23.5M-202.68%-3.11M139.14%3.42M485.82%24.95M84.49%-1.77M-141.16%-23.6M-21.55%3.03M-137.89%-8.75M-111.75%-6.47M53.71%-11.41M
-Change in inventory -162.06%-6.42M281.61%4.98M39.35%1.94M-615.28%-13.22M-102.28%-116K230.83%10.34M94.20%1.31M137.12%1.39M153.76%2.57M8,855.17%5.08M
-Change in prepaid assets 74.63%-934K183.90%469K83.11%-539K-21.69%-909K-94.49%45K-151.20%-3.68M-124.94%-559K-334.36%-3.19M-611.64%-747K-76.25%817K
-Change in payables and accrued expense -646.49%-14.33M-447.89%-11.45M127.36%1.1M54.80%-1.77M-130.43%-2.21M104.71%2.62M118.05%3.29M64.43%-4.02M75.96%-3.91M174.25%7.27M
-Change in other current assets -198.17%-376K-56.33%138K-96.78%48K37.78%-336K74.38%-226K137.59%383K188.27%316K637.55%1.49M-56.98%-540K-2,105.00%-882K
-Change in other current liabilities 12.55%-2.7M-125.71%-683K53.79%-682K60.62%-808K76.36%-523K-414.69%-3.08M-25.97%2.66M20.39%-1.48M-29.71%-2.05M-194.15%-2.21M
-Change in other working capital 122.77%1.75M112.19%922K-78.66%1.85M62.43%-2.3M148.00%1.29M-177.86%-7.7M-218.11%-7.57M539.68%8.67M-262.05%-6.13M-259.44%-2.68M
Cash from discontinued investing activities
Operating cash flow 34.10%-34.7M-166.08%-16.69M84.76%-2.37M83.20%-3.78M-42.58%-11.86M3.40%-52.66M-15.63%-6.27M-22.76%-15.57M-234.62%-22.49M84.34%-8.32M
Investing cash flow
Cash flow from continuing investing activities 1,677.33%6.26M8,103.08%5.33M15.47%-224K-776.65%-1.46M8,826.67%2.62M90.65%-397K138.01%65K93.03%-265K-87.64%-167K83.87%-30K
Net PPE purchase and sale 8.70%-745K271.35%610K15.47%-224K-318.56%-699K-1,442.86%-432K9.23%-816K-108.19%-356K-170.41%-265K-56.07%-167K94.65%-28K
Net business purchase and sale 1,572.32%7.01M1,021.62%4.72M--0---765K152,600.00%3.05M112.51%419K--421K--0--0-100.59%-2K
Cash from discontinued investing activities
Investing cash flow 1,677.33%6.26M8,103.08%5.33M15.47%-224K-776.65%-1.46M8,826.67%2.62M90.65%-397K138.01%65K93.03%-265K-87.64%-167K83.87%-30K
Financing cash flow
Cash flow from continuing financing activities -57.30%14.5M8,020.77%14.5M0-99.98%3K03,659.69%33.95M-259.13%-183K4,847.45%13.56M17,467.44%15.11M1,177.80%5.47M
Net issuance payments of debt --14.55M------------------0----------------
Net common stock issuance --0--0--0--0--0--34.01M--0--13.37M--15.19M--5.45M
Proceeds from stock option exercised by employees -96.46%8K0.00%5K--0--3K--0-74.97%226K-95.65%5K-37.96%170K--0-88.08%51K
Net other financing activities 78.80%-60K-------------------283K---188K--19K---82K---32K
Cash from discontinued financing activities
Financing cash flow -57.30%14.5M8,020.77%14.5M--0-99.98%3K--03,659.69%33.95M-259.13%-183K4,847.45%13.56M17,467.44%15.11M1,177.80%5.47M
Net cash flow
Beginning cash position -43.15%25.24M-73.81%8.26M-68.13%10.78M-61.59%15.94M-43.15%25.24M-56.56%44.39M-36.73%31.52M-48.78%33.82M-15.98%41.49M-56.56%44.39M
Current changes in cash 27.03%-13.94M149.07%3.14M-13.75%-2.6M30.63%-5.24M-221.13%-9.24M66.98%-19.1M-16.60%-6.39M85.92%-2.28M-145.21%-7.55M94.56%-2.88M
Effect of exchange rate changes -4.26%-49K-235.85%-144K621.43%73K165.32%81K-293.33%-59K-187.04%-47K130.43%106K-255.56%-14K-96.83%-124K-124.19%-15K
End cash Position -55.43%11.25M-55.43%11.25M-73.81%8.26M-68.13%10.78M-61.59%15.94M-43.15%25.24M-43.15%25.24M-36.73%31.52M-48.78%33.82M-15.98%41.49M
Free cash flow 32.03%-36.34M-156.16%-16.98M83.60%-2.6M80.24%-4.48M-47.28%-12.29M3.65%-53.47M-18.46%-6.63M-23.57%-15.84M-236.93%-22.66M84.44%-8.34M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--------

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