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Iridex Corp (IRIX)

Iridex Corp (IRIX)
0.7000 x 1 1.0000 x 10
Pre-market by (Cboe BZX)
0.8500 unch (unch) 04/08/25 [NASDAQ]
0.7000 x 1 1.0000 x 10
Pre-market 0.8500 unch (unch) 15:59 ET
Cash Flow for Tue, Apr 8th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income -8,910 -9,570 -7,547 -5,225 -6,329
Depreciation Amortization 766 1,098 485 803 504
Accounts receivable 776 -254 196 639 1,861
Accounts payable and accrued liabilities 2,486 641 1,086 1,625 -1,445
Other Working Capital -530 77 -4,265 13,468 1,271
Other Operating Activity -1,873 1,263 526 -3,093 901
Operating Cash Flow $-7,285 $-6,745 $-9,519 $8,217 $-3,237
Cash Flows From Investing Activities
PPE Investments -13 -109 -286 -213 -93
Other Investing Activity 0 0 0 -5,343 0
Investing Cash Flow $-13 $-109 $-286 $-5,556 $-93
Cash Flows From Financing Activities
Debt Issued 3,370 N/A N/A N/A 2,497
Debt Repayment -218 N/A N/A N/A N/A
Common Stock Issued 4 82 21 10,095 N/A
Other Financing Activity -551 -87 -94 -629 -30
Financing Cash Flow $2,605 $-5 $-73 $9,466 $2,467
Exchange Rate Effect 46 -29 -52 99 -164
Beginning Cash Position 7,034 13,922 23,852 11,626 12,653
End Cash Position 2,387 7,034 13,922 23,852 11,626
Net Cash Flow $-4,647 $-6,888 $-9,930 $12,226 $-1,027
Free Cash Flow
Operating Cash Flow -7,285 -6,745 -9,519 8,217 -3,237
Capital Expenditure -13 -109 -286 -213 -97
Free Cash Flow -7,298 -6,854 -9,805 8,004 -3,334
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