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LUNG Pulmonx

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  • 3.440
  • -0.140-3.91%
Close May 6 16:00 ET
  • 3.550
  • +0.110+3.20%
Pre 08:01 ET
138.49MMarket Cap-2.39P/E (TTM)

Pulmonx Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-12.10%-13.22M
16.15%-31.54M
20.35%-6.73M
16.04%-7.24M
26.88%-5.77M
6.71%-11.8M
16.58%-37.61M
13.84%-8.45M
19.29%-8.63M
17.49%-7.89M
Net income from continuing operations
-5.08%-14.45M
7.31%-56.39M
5.13%-13.18M
5.07%-14.14M
5.37%-15.33M
13.31%-13.75M
-3.26%-60.84M
2.77%-13.89M
-5.14%-14.9M
-10.62%-16.2M
Operating gains losses
----
----
----
----
----
----
-314.29%-15K
--4K
-433.33%-20K
--0
Depreciation and amortization
-34.28%278K
-3.55%1.49M
2.44%294K
-9.40%376K
-2.20%400K
-3.20%423K
2.31%1.55M
-25.65%287K
8.36%415K
8.78%409K
Other non cash items
-48.26%371K
-30.65%1.9M
-51.00%344K
-54.66%311K
-23.17%524K
7.98%717K
7.05%2.73M
8.17%702K
6.03%686K
8.95%682K
Change In working capital
-3.33%-4.78M
33.42%-1.7M
286.97%789K
180.80%825K
-11.29%1.31M
-78.45%-4.63M
63.53%-2.56M
48.28%-422K
50.10%-1.02M
495.45%1.48M
-Change in receivables
-152.90%-721K
57.86%-1.31M
1.19%-1.74M
69.00%-359K
20.14%-571K
156.69%1.36M
-41.74%-3.1M
-37.23%-1.76M
-793.41%-1.16M
10.18%-715K
-Change in inventory
137.45%406K
-124.95%-229K
-111.34%-153K
463.41%596K
22.26%412K
-79.47%-1.08M
125.23%918K
151.68%1.35M
85.66%-164K
133.40%337K
-Change in prepaid assets
15.79%308K
-664.91%-436K
-202.27%-135K
-331.31%-923K
84.46%356K
258.33%266K
-107.31%-57K
112.97%132K
-129.20%-214K
-86.88%193K
-Change in payables and accrued expense
0.14%-4.36M
-6.80%2.7M
358.87%3.26M
57.85%2.08M
-29.10%1.73M
-178.22%-4.37M
965.81%2.9M
-57.96%710K
227.69%1.32M
264.18%2.44M
-Change in other current assets
-1,519.23%-369K
-1,416.67%-546K
-653.03%-497K
-984.62%-115K
81.82%40K
620.00%26K
26.53%-36K
-34.69%-66K
316.67%13K
300.00%22K
-Change in other current liabilities
95.60%-37K
41.23%-1.87M
109.45%78K
43.49%-456K
16.94%-652K
-9.80%-840K
-44.83%-3.18M
-10.00%-825K
-9.05%-807K
-12.14%-785K
-Change in other working capital
-200.00%-8K
-500.00%-16K
-152.50%-21K
--0
76.92%-3K
161.54%8K
-50.00%4K
-33.33%40K
56.52%-10K
-1,400.00%-13K
Cash from discontinued investing activities
Operating cash flow
-12.10%-13.22M
16.15%-31.54M
20.35%-6.73M
16.04%-7.24M
26.88%-5.77M
6.71%-11.8M
16.58%-37.61M
13.84%-8.45M
19.29%-8.63M
17.49%-7.89M
Investing cash flow
Cash flow from continuing investing activities
750.70%16.31M
970.75%17.48M
610.60%14.07M
583.99%6.75M
-2.71%-835K
-536.76%-2.51M
52.50%-2.01M
-278.95%-2.76M
2,143.18%987K
-139.09%-813K
Net PPE purchase and sale
33.26%-301K
-79.31%-1.45M
44.50%-111K
15.45%-416K
-768.52%-469K
-639.34%-451K
38.77%-807K
-13.64%-200K
-76.34%-492K
81.94%-54K
Net investment purchase and sale
908.07%16.61M
1,676.92%18.92M
654.91%14.18M
384.58%7.17M
51.78%-366K
-423.78%-2.06M
58.72%-1.2M
-363.70%-2.56M
357.89%1.48M
-131.90%-759K
Cash from discontinued investing activities
Investing cash flow
750.70%16.31M
970.75%17.48M
610.60%14.07M
583.99%6.75M
-2.71%-835K
-536.76%-2.51M
52.50%-2.01M
-278.95%-2.76M
2,143.18%987K
-139.09%-813K
Financing cash flow
Cash flow from continuing financing activities
-23.15%664K
-93.63%1.36M
264.71%62K
-19.61%459K
-123.91%-22K
-95.83%864K
784.66%21.4M
-74.63%17K
-36.98%571K
-29.77%92K
Net issuance payments of debt
----
-100.48%-95K
-4.26%-49K
--0
2.13%-46K
--0
22,980.46%19.91M
-9.30%-47K
--0
-6.82%-47K
Proceeds from stock option exercised by employees
-23.15%664K
-2.41%1.46M
73.44%111K
-19.61%459K
-82.73%24K
20.00%864K
-41.62%1.49M
-60.74%64K
-36.98%571K
-20.57%139K
Cash from discontinued financing activities
Financing cash flow
-23.15%664K
-93.63%1.36M
264.71%62K
-19.61%459K
-123.91%-22K
-95.83%864K
784.66%21.4M
-74.63%17K
-36.98%571K
-29.77%92K
Net cash flow
Beginning cash position
-15.06%71.16M
-17.83%83.78M
-33.21%63.57M
-37.56%63.72M
-36.37%70.39M
-17.83%83.78M
-31.43%101.97M
-15.49%95.18M
-16.48%102.05M
-14.50%110.64M
Current changes in cash
127.94%3.76M
30.30%-12.7M
166.14%7.4M
99.55%-32K
23.05%-6.63M
-255.35%-13.44M
61.15%-18.22M
-6.89%-11.19M
27.41%-7.07M
-17.12%-8.61M
Effect of exchange rate changes
-318.75%-105K
123.53%76K
191.90%193K
-158.91%-119K
-319.05%-46K
128.57%48K
-76.55%34K
-5.00%-210K
5.21%202K
-84.09%21K
End cash Position
6.28%74.81M
-15.06%71.16M
-15.06%71.16M
-33.21%63.57M
-37.56%63.72M
-36.37%70.39M
-17.83%83.78M
-17.83%83.78M
-15.49%95.18M
-16.48%102.05M
Free cash flow
-10.43%-13.52M
14.14%-32.98M
20.90%-6.84M
16.01%-7.66M
21.47%-6.24M
3.61%-12.25M
17.21%-38.42M
13.35%-8.65M
16.85%-9.12M
19.45%-7.95M
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
--
--
--
(Q1)Mar 31, 2025(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -12.10%-13.22M16.15%-31.54M20.35%-6.73M16.04%-7.24M26.88%-5.77M6.71%-11.8M16.58%-37.61M13.84%-8.45M19.29%-8.63M17.49%-7.89M
Net income from continuing operations -5.08%-14.45M7.31%-56.39M5.13%-13.18M5.07%-14.14M5.37%-15.33M13.31%-13.75M-3.26%-60.84M2.77%-13.89M-5.14%-14.9M-10.62%-16.2M
Operating gains losses -------------------------314.29%-15K--4K-433.33%-20K--0
Depreciation and amortization -34.28%278K-3.55%1.49M2.44%294K-9.40%376K-2.20%400K-3.20%423K2.31%1.55M-25.65%287K8.36%415K8.78%409K
Other non cash items -48.26%371K-30.65%1.9M-51.00%344K-54.66%311K-23.17%524K7.98%717K7.05%2.73M8.17%702K6.03%686K8.95%682K
Change In working capital -3.33%-4.78M33.42%-1.7M286.97%789K180.80%825K-11.29%1.31M-78.45%-4.63M63.53%-2.56M48.28%-422K50.10%-1.02M495.45%1.48M
-Change in receivables -152.90%-721K57.86%-1.31M1.19%-1.74M69.00%-359K20.14%-571K156.69%1.36M-41.74%-3.1M-37.23%-1.76M-793.41%-1.16M10.18%-715K
-Change in inventory 137.45%406K-124.95%-229K-111.34%-153K463.41%596K22.26%412K-79.47%-1.08M125.23%918K151.68%1.35M85.66%-164K133.40%337K
-Change in prepaid assets 15.79%308K-664.91%-436K-202.27%-135K-331.31%-923K84.46%356K258.33%266K-107.31%-57K112.97%132K-129.20%-214K-86.88%193K
-Change in payables and accrued expense 0.14%-4.36M-6.80%2.7M358.87%3.26M57.85%2.08M-29.10%1.73M-178.22%-4.37M965.81%2.9M-57.96%710K227.69%1.32M264.18%2.44M
-Change in other current assets -1,519.23%-369K-1,416.67%-546K-653.03%-497K-984.62%-115K81.82%40K620.00%26K26.53%-36K-34.69%-66K316.67%13K300.00%22K
-Change in other current liabilities 95.60%-37K41.23%-1.87M109.45%78K43.49%-456K16.94%-652K-9.80%-840K-44.83%-3.18M-10.00%-825K-9.05%-807K-12.14%-785K
-Change in other working capital -200.00%-8K-500.00%-16K-152.50%-21K--076.92%-3K161.54%8K-50.00%4K-33.33%40K56.52%-10K-1,400.00%-13K
Cash from discontinued investing activities
Operating cash flow -12.10%-13.22M16.15%-31.54M20.35%-6.73M16.04%-7.24M26.88%-5.77M6.71%-11.8M16.58%-37.61M13.84%-8.45M19.29%-8.63M17.49%-7.89M
Investing cash flow
Cash flow from continuing investing activities 750.70%16.31M970.75%17.48M610.60%14.07M583.99%6.75M-2.71%-835K-536.76%-2.51M52.50%-2.01M-278.95%-2.76M2,143.18%987K-139.09%-813K
Net PPE purchase and sale 33.26%-301K-79.31%-1.45M44.50%-111K15.45%-416K-768.52%-469K-639.34%-451K38.77%-807K-13.64%-200K-76.34%-492K81.94%-54K
Net investment purchase and sale 908.07%16.61M1,676.92%18.92M654.91%14.18M384.58%7.17M51.78%-366K-423.78%-2.06M58.72%-1.2M-363.70%-2.56M357.89%1.48M-131.90%-759K
Cash from discontinued investing activities
Investing cash flow 750.70%16.31M970.75%17.48M610.60%14.07M583.99%6.75M-2.71%-835K-536.76%-2.51M52.50%-2.01M-278.95%-2.76M2,143.18%987K-139.09%-813K
Financing cash flow
Cash flow from continuing financing activities -23.15%664K-93.63%1.36M264.71%62K-19.61%459K-123.91%-22K-95.83%864K784.66%21.4M-74.63%17K-36.98%571K-29.77%92K
Net issuance payments of debt -----100.48%-95K-4.26%-49K--02.13%-46K--022,980.46%19.91M-9.30%-47K--0-6.82%-47K
Proceeds from stock option exercised by employees -23.15%664K-2.41%1.46M73.44%111K-19.61%459K-82.73%24K20.00%864K-41.62%1.49M-60.74%64K-36.98%571K-20.57%139K
Cash from discontinued financing activities
Financing cash flow -23.15%664K-93.63%1.36M264.71%62K-19.61%459K-123.91%-22K-95.83%864K784.66%21.4M-74.63%17K-36.98%571K-29.77%92K
Net cash flow
Beginning cash position -15.06%71.16M-17.83%83.78M-33.21%63.57M-37.56%63.72M-36.37%70.39M-17.83%83.78M-31.43%101.97M-15.49%95.18M-16.48%102.05M-14.50%110.64M
Current changes in cash 127.94%3.76M30.30%-12.7M166.14%7.4M99.55%-32K23.05%-6.63M-255.35%-13.44M61.15%-18.22M-6.89%-11.19M27.41%-7.07M-17.12%-8.61M
Effect of exchange rate changes -318.75%-105K123.53%76K191.90%193K-158.91%-119K-319.05%-46K128.57%48K-76.55%34K-5.00%-210K5.21%202K-84.09%21K
End cash Position 6.28%74.81M-15.06%71.16M-15.06%71.16M-33.21%63.57M-37.56%63.72M-36.37%70.39M-17.83%83.78M-17.83%83.78M-15.49%95.18M-16.48%102.05M
Free cash flow -10.43%-13.52M14.14%-32.98M20.90%-6.84M16.01%-7.66M21.47%-6.24M3.61%-12.25M17.21%-38.42M13.35%-8.65M16.85%-9.12M19.45%-7.95M
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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Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.

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