CAMT Financial Analysis
Quarterly
FY2024Q4 | FY2024Q3 | FY2024Q2 | FY2024Q1 | FY2023Q4 | FY2023Q3 | FY2023Q2 | FY2023Q1 | FY2022Q4 | FY2022Q3 | FY2022Q2 | FY2022Q1 | FY2021Q4 | FY2021Q3 | FY2021Q2 | FY2021Q1 | FY2020Q4 | FY2020Q3 | FY2020Q2 | FY2020Q1 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Total Assets | 892.04M 13.25% | 841.41M 13.96% | 796.18M 12.19% | 816.31M 19.45% | 787.67M 16.33% | 738.33M 14.87% | 709.66M 13.52% | 683.37M 12.64% | 677.09M 15.99% | 642.74M 75.79% | 625.15M 81.65% | 606.65M 96.54% | 583.76M 102.76% | 365.63M 81.96% | 344.15M 74.41% | 308.67M 71.44% | 287.91M 68.99% | 200.94M 22.50% | 197.32M 18.31% | 180.05M |
Total Current Assets | 620.06M 13.40% | 600.22M 6.74% | 560.48M -4.44% | 578.93M 3.09% | 546.79M -1.83% | 562.34M 4.90% | 586.52M 8.27% | 561.57M 6.66% | 556.96M 7.07% | 536.09M 63.60% | 541.73M 75.68% | 526.50M 92.88% | 520.18M 98.60% | 327.68M 84.86% | 308.36M 77.16% | 272.97M 73.55% | 261.92M 77.33% | 177.26M 26.23% | 174.06M 20.93% | 157.29M |
Total Non-Current Assets | 271.98M 12.91% | 241.19M 37.05% | 235.70M 91.41% | 237.38M 94.90% | 240.88M 100.53% | 175.99M 65.03% | 123.14M 47.60% | 121.79M 51.95% | 120.12M 88.94% | 106.64M 180.97% | 83.43M 133.08% | 80.15M 124.49% | 63.58M 144.62% | 37.96M 60.26% | 35.79M 53.84% | 35.71M 56.87% | 25.99M 14.66% | 23.68M 0.30% | 23.27M 1.76% | 22.76M |
Total Liabilities | 342.81M 10.04% | 327.56M 14.24% | 320.75M 13.24% | 372.73M 33.68% | 311.52M 6.33% | 286.72M 1.43% | 283.25M -1.78% | 278.82M -4.51% | 292.99M 0.98% | 282.68M 227.17% | 288.37M 239.32% | 291.98M 337.93% | 290.13M 378.42% | 86.40M 84.06% | 84.98M 67.19% | 66.67M 66.31% | 60.64M 78.01% | 46.94M 40.90% | 50.83M 47.05% | 40.09M |
Total Current Liabilities | 123.91M 28.17% | 113.61M 42.13% | 107.53M 40.08% | 158.15M 112.41% | 96.67M 9.24% | 79.94M 0.44% | 76.77M -11.01% | 74.45M -18.02% | 88.50M -1.32% | 79.59M -3.73% | 86.27M 6.07% | 90.82M 43.35% | 89.69M 56.29% | 82.67M 84.74% | 81.33M 66.89% | 63.36M 67.16% | 57.38M 81.56% | 44.75M 44.63% | 48.73M 51.95% | 37.90M |
Total Non-Current Liabilities | 218.90M 1.89% | 213.95M 3.46% | 213.21M 3.26% | 214.58M 5.00% | 214.85M 5.07% | 206.79M 1.82% | 206.48M 2.17% | 204.37M 1.59% | 204.49M 2.02% | 203.09M 5346.29% | 202.11M 5428.04% | 201.16M 5970.01% | 200.44M 6048.56% | 3.73M 70.20% | 3.66M 74.10% | 3.31M 51.53% | 3.26M 32.47% | 2.19M -7.75% | 2.10M -15.83% | 2.19M |
Total Shareholders' Equity | 549.24M 15.35% | 513.85M 13.78% | 475.43M 11.50% | 443.58M 9.65% | 476.15M 23.96% | 451.61M 25.43% | 426.41M 26.61% | 404.55M 28.56% | 384.10M 30.81% | 360.06M 28.95% | 336.78M 29.95% | 314.67M 30.03% | 293.63M 29.20% | 279.23M 81.32% | 259.16M 76.91% | 242.00M 72.91% | 227.26M 66.74% | 154.00M 17.81% | 146.49M 10.79% | 139.96M |
Shareholders' Equity | 549.24M 15.35% | 513.85M 13.78% | 475.43M 11.50% | 443.58M 9.65% | 476.15M 23.96% | 451.61M 25.43% | 426.41M 26.61% | 404.55M 28.56% | 384.10M 30.81% | 360.06M 28.95% | 336.78M 29.95% | 314.67M 30.03% | 293.63M 29.20% | 279.23M 81.32% | 259.16M 76.91% | 242.00M 72.91% | 227.26M 66.74% | 154.00M 17.81% | 146.49M 10.79% | 139.96M |
Total Liabilities & Equity | 892.04M 13.25% | 841.41M 13.96% | 796.18M 12.19% | 816.31M 19.45% | 787.67M 16.33% | 738.33M 14.87% | 709.66M 13.52% | 683.37M 12.64% | 677.09M 15.99% | 642.74M 75.79% | 625.15M 81.65% | 606.65M 96.54% | 583.76M 102.76% | 365.63M 81.96% | 344.15M 74.41% | 308.67M 71.44% | 287.91M 68.99% | 200.94M 22.50% | 197.32M 18.31% | 180.05M |
Net Debt | -190.11M 20.93% | -201.83M 4.49% | -168.69M -28.22% | -180.12M -18.01% | -157.20M -22.91% | -193.16M -1.85% | -235.00M 19.99% | -219.69M 16.66% | -203.92M 0.30% | -196.80M -3.93% | -195.85M 3.44% | -188.32M 10.81% | -203.30M 14.33% | -204.85M 93.18% | -189.34M 86.60% | -169.95M 87.61% | -177.82M 98.57% | -106.04M 27.70% | -101.47M 19.00% | -90.59M |
Working Capital | 496.15M 10.23% | 486.61M 0.87% | 452.95M -11.14% | 420.78M -13.62% | 450.11M -3.92% | 482.40M 5.67% | 509.75M 11.92% | 487.12M 11.81% | 468.46M 8.82% | 456.51M 86.32% | 455.46M 100.62% | 435.68M 107.86% | 430.49M 110.48% | 245.01M 84.90% | 227.03M 81.15% | 209.61M 75.57% | 204.53M 76.18% | 132.51M 21.03% | 125.33M 12.04% | 119.38M |
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What is CAMT's PE Ratio in 2025/4/4?
CAMT's PE ratio in April 4, 2025 is 21.26. This indicates the price investors are willing to pay for $1 of earnings.
What is CAMT's PS Ratio in 2025/4/4?
CAMT's PS ratio in April 4, 2025 is 5.37. This indicates how much investors are willing to pay for each dollar of the company's sales.
What is CAMT's Dividend Yield in 2024/Q4?
CAMT's Dividend Yield in 2024/Q4 is 1.65%. This represents the return on investment from dividends relative to the stock price.
What is CAMT's Gross Margin in 2024/Q4?
CAMT's Gross Margin in 2024/Q4 is 49.56. Gross Margin is typically calculated as (Revenue - Cost of Goods Sold) / Revenue and is a key indicator of a company's financial health and efficiency in managing production costs.
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