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SPNS Sapiens International

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  • 28.170
  • +0.850+3.11%
Close May 2 16:00 ET
  • 28.170
  • 0.0000.00%
Post 16:05 ET
1.57BMarket Cap21.84P/E (TTM)

Sapiens International 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
3.53%82.23M
8.96%42.11M
228.06%13.08M
-41.48%8.55M
-16.68%18.49M
81.42%79.43M
167.82%38.65M
-9.47%3.99M
120.76%14.6M
21.05%22.19M
Net income from continuing operations
15.04%72.32M
4.95%17.87M
14.57%18.34M
20.33%18.62M
21.82%17.5M
18.77%62.87M
28.00%17.03M
16.47%16M
29.68%15.47M
2.92%14.37M
Operating gains losses
-90.26%19K
-94.64%6K
833.33%22K
-108.33%-8K
90.00%-1K
650.00%195K
11,300.00%112K
66.67%-3K
231.03%96K
-242.86%-10K
Depreciation and amortization
-6.37%20.07M
-17.75%4.65M
0.61%5.08M
-11.96%4.7M
4.51%5.65M
-3.60%21.44M
0.98%5.65M
-10.69%5.05M
4.40%5.33M
-8.10%5.41M
Other non cash items
-31.25%44K
-29.41%12K
-33.33%10K
-27.78%13K
-35.71%9K
-24.71%64K
-29.17%17K
-21.05%15K
-25.00%18K
-22.22%14K
Change In working capital
-50.47%-13.18M
24.19%18.85M
39.23%-11.01M
-111.29%-15.58M
-452.56%-5.45M
75.21%-8.76M
396.33%15.18M
-12.24%-18.11M
36.46%-7.38M
162.53%1.55M
-Change in receivables
-415.66%-12.5M
-35.69%8.14M
28.35%-7.92M
-54.90%1.98M
-621.09%-14.7M
118.12%3.96M
2,770.46%12.66M
-3.96%-11.05M
229.08%4.39M
72.28%-2.04M
-Change in payables and accrued expense
207.56%2.87M
109.07%244K
-450.00%-1.99M
-83.91%1.01M
152.79%3.61M
-156.69%-2.67M
2.89%-2.69M
-4.38%568K
-8.69%6.28M
-85,487.50%-6.83M
-Change in other current assets
208.33%5.85M
622.01%6.76M
-17.11%-4.35M
82.27%-292K
197.30%3.74M
-170.11%-5.4M
-158.07%-1.3M
-380.74%-3.72M
-151.60%-1.65M
31.07%1.26M
-Change in other current liabilities
65.58%-3.07M
74.06%2.09M
29.98%3.2M
34.09%-9.08M
-39.77%721K
-11.08%-8.91M
-83.11%1.2M
155.20%2.46M
-44.54%-13.77M
205.37%1.2M
-Change in other working capital
-248.75%-6.34M
-69.44%1.62M
100.80%51K
-249.81%-9.21M
-85.03%1.19M
123.85%4.26M
147.38%5.31M
-114.90%-6.38M
69.93%-2.63M
57.49%7.96M
Cash from discontinued investing activities
Operating cash flow
3.53%82.23M
8.96%42.11M
228.06%13.08M
-41.48%8.55M
-16.68%18.49M
81.42%79.43M
167.82%38.65M
-9.47%3.99M
120.76%14.6M
21.05%22.19M
Investing cash flow
Cash flow from continuing investing activities
118.42%13.41M
-47.34%-14.95M
73.04%21.27M
145.76%12.56M
88.47%-5.47M
-485.05%-72.78M
-504.53%-10.14M
-1.59%12.29M
-356.16%-27.45M
-175.49%-47.47M
Capital expenditure reported
-9.44%-7.13M
-14.00%-1.76M
-11.97%-1.83M
-8.58%-1.82M
-3.56%-1.72M
-6.91%-6.52M
-24.64%-1.54M
-9.79%-1.64M
-3.58%-1.68M
5.04%-1.66M
Net PPE purchase and sale
-5.94%-2.68M
0.48%-419K
-61.64%-1.13M
14.06%-666K
26.50%-466K
6.55%-2.53M
-5.25%-421K
33.52%-696K
3.49%-775K
-39.96%-634K
Net intangibles purchase and sale
--0
--0
--0
--0
--0
11.50%-177K
--0
--0
--0
---177K
Net business purchase and sale
95.35%-375K
--0
--0
----
----
-132.54%-8.06M
-806,100.00%-8.06M
--0
----
----
Net investment purchase and sale
142.51%23.59M
-10,540.00%-12.77M
65.66%24.22M
161.71%15.43M
92.69%-3.29M
-213,557.69%-55.5M
-175.47%-120K
-2.69%14.62M
-19,583.46%-25M
-199.37%-45M
Cash from discontinued investing activities
Investing cash flow
118.42%13.41M
-47.34%-14.95M
73.04%21.27M
145.76%12.56M
88.47%-5.47M
-485.05%-72.78M
-504.53%-10.14M
-1.59%12.29M
-356.16%-27.45M
-175.49%-47.47M
Financing cash flow
Cash flow from continuing financing activities
-29.86%-56.28M
-2,389.72%-2.66M
-47.55%-14.15M
-20.11%-16.57M
-15.38%-22.89M
25.76%-43.34M
-107K
24.34%-9.59M
46.73%-13.8M
-0.24%-19.84M
Net issuance payments of debt
0.00%-19.8M
--0
--0
--0
0.00%-19.8M
0.00%-19.8M
--0
--0
--0
0.00%-19.8M
Cash dividends paid
-13.07%-31.82M
---2.03M
1.35%-14.15M
----
----
27.05%-28.14M
--0
-13.16%-14.35M
----
----
Proceeds from stock option exercised by employees
-97.96%98K
--0
--0
----
----
--4.81M
--54K
--4.76M
----
----
Net other financing activities
-2,188.94%-4.76M
-291.30%-630K
--0
---1.03M
-6,491.49%-3.1M
---208K
---161K
--0
--0
---47K
Cash from discontinued financing activities
Financing cash flow
-29.86%-56.28M
-2,389.72%-2.66M
-47.55%-14.15M
-20.11%-16.57M
-15.38%-22.89M
25.76%-43.34M
---107K
24.34%-9.59M
46.73%-13.8M
-0.24%-19.84M
Net cash flow
Beginning cash position
-20.94%126.72M
50.58%146.15M
37.16%122.65M
0.03%116.69M
-20.94%126.72M
-15.75%160.29M
-33.93%97.06M
-36.64%89.42M
-31.90%116.65M
-15.75%160.29M
Current changes in cash
207.24%39.35M
-13.72%24.5M
202.12%20.19M
117.03%4.54M
78.11%-9.88M
-35.73%-36.69M
122.67%28.4M
58.61%6.68M
-5.30%-26.65M
-141.35%-45.13M
Effect of exchange rate changes
-176.06%-2.38M
-652.46%-6.96M
245.00%3.31M
339.70%1.42M
-109.82%-147K
206.91%3.13M
104.21%1.26M
-38.97%960K
87.86%-592K
734.32%1.5M
End cash Position
29.18%163.69M
29.18%163.69M
50.58%146.15M
37.16%122.65M
0.03%116.69M
-20.94%126.72M
-20.94%126.72M
-33.93%97.06M
-36.64%89.42M
-31.90%116.65M
Free cash flow
2.93%72.21M
8.46%39.78M
513.69%10.09M
-50.19%6.05M
-17.25%16.3M
102.03%70.16M
191.78%36.67M
-10.85%1.64M
190.24%12.14M
22.13%19.7M
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
--
--
--
--
(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 3.53%82.23M8.96%42.11M228.06%13.08M-41.48%8.55M-16.68%18.49M81.42%79.43M167.82%38.65M-9.47%3.99M120.76%14.6M21.05%22.19M
Net income from continuing operations 15.04%72.32M4.95%17.87M14.57%18.34M20.33%18.62M21.82%17.5M18.77%62.87M28.00%17.03M16.47%16M29.68%15.47M2.92%14.37M
Operating gains losses -90.26%19K-94.64%6K833.33%22K-108.33%-8K90.00%-1K650.00%195K11,300.00%112K66.67%-3K231.03%96K-242.86%-10K
Depreciation and amortization -6.37%20.07M-17.75%4.65M0.61%5.08M-11.96%4.7M4.51%5.65M-3.60%21.44M0.98%5.65M-10.69%5.05M4.40%5.33M-8.10%5.41M
Other non cash items -31.25%44K-29.41%12K-33.33%10K-27.78%13K-35.71%9K-24.71%64K-29.17%17K-21.05%15K-25.00%18K-22.22%14K
Change In working capital -50.47%-13.18M24.19%18.85M39.23%-11.01M-111.29%-15.58M-452.56%-5.45M75.21%-8.76M396.33%15.18M-12.24%-18.11M36.46%-7.38M162.53%1.55M
-Change in receivables -415.66%-12.5M-35.69%8.14M28.35%-7.92M-54.90%1.98M-621.09%-14.7M118.12%3.96M2,770.46%12.66M-3.96%-11.05M229.08%4.39M72.28%-2.04M
-Change in payables and accrued expense 207.56%2.87M109.07%244K-450.00%-1.99M-83.91%1.01M152.79%3.61M-156.69%-2.67M2.89%-2.69M-4.38%568K-8.69%6.28M-85,487.50%-6.83M
-Change in other current assets 208.33%5.85M622.01%6.76M-17.11%-4.35M82.27%-292K197.30%3.74M-170.11%-5.4M-158.07%-1.3M-380.74%-3.72M-151.60%-1.65M31.07%1.26M
-Change in other current liabilities 65.58%-3.07M74.06%2.09M29.98%3.2M34.09%-9.08M-39.77%721K-11.08%-8.91M-83.11%1.2M155.20%2.46M-44.54%-13.77M205.37%1.2M
-Change in other working capital -248.75%-6.34M-69.44%1.62M100.80%51K-249.81%-9.21M-85.03%1.19M123.85%4.26M147.38%5.31M-114.90%-6.38M69.93%-2.63M57.49%7.96M
Cash from discontinued investing activities
Operating cash flow 3.53%82.23M8.96%42.11M228.06%13.08M-41.48%8.55M-16.68%18.49M81.42%79.43M167.82%38.65M-9.47%3.99M120.76%14.6M21.05%22.19M
Investing cash flow
Cash flow from continuing investing activities 118.42%13.41M-47.34%-14.95M73.04%21.27M145.76%12.56M88.47%-5.47M-485.05%-72.78M-504.53%-10.14M-1.59%12.29M-356.16%-27.45M-175.49%-47.47M
Capital expenditure reported -9.44%-7.13M-14.00%-1.76M-11.97%-1.83M-8.58%-1.82M-3.56%-1.72M-6.91%-6.52M-24.64%-1.54M-9.79%-1.64M-3.58%-1.68M5.04%-1.66M
Net PPE purchase and sale -5.94%-2.68M0.48%-419K-61.64%-1.13M14.06%-666K26.50%-466K6.55%-2.53M-5.25%-421K33.52%-696K3.49%-775K-39.96%-634K
Net intangibles purchase and sale --0--0--0--0--011.50%-177K--0--0--0---177K
Net business purchase and sale 95.35%-375K--0--0---------132.54%-8.06M-806,100.00%-8.06M--0--------
Net investment purchase and sale 142.51%23.59M-10,540.00%-12.77M65.66%24.22M161.71%15.43M92.69%-3.29M-213,557.69%-55.5M-175.47%-120K-2.69%14.62M-19,583.46%-25M-199.37%-45M
Cash from discontinued investing activities
Investing cash flow 118.42%13.41M-47.34%-14.95M73.04%21.27M145.76%12.56M88.47%-5.47M-485.05%-72.78M-504.53%-10.14M-1.59%12.29M-356.16%-27.45M-175.49%-47.47M
Financing cash flow
Cash flow from continuing financing activities -29.86%-56.28M-2,389.72%-2.66M-47.55%-14.15M-20.11%-16.57M-15.38%-22.89M25.76%-43.34M-107K24.34%-9.59M46.73%-13.8M-0.24%-19.84M
Net issuance payments of debt 0.00%-19.8M--0--0--00.00%-19.8M0.00%-19.8M--0--0--00.00%-19.8M
Cash dividends paid -13.07%-31.82M---2.03M1.35%-14.15M--------27.05%-28.14M--0-13.16%-14.35M--------
Proceeds from stock option exercised by employees -97.96%98K--0--0----------4.81M--54K--4.76M--------
Net other financing activities -2,188.94%-4.76M-291.30%-630K--0---1.03M-6,491.49%-3.1M---208K---161K--0--0---47K
Cash from discontinued financing activities
Financing cash flow -29.86%-56.28M-2,389.72%-2.66M-47.55%-14.15M-20.11%-16.57M-15.38%-22.89M25.76%-43.34M---107K24.34%-9.59M46.73%-13.8M-0.24%-19.84M
Net cash flow
Beginning cash position -20.94%126.72M50.58%146.15M37.16%122.65M0.03%116.69M-20.94%126.72M-15.75%160.29M-33.93%97.06M-36.64%89.42M-31.90%116.65M-15.75%160.29M
Current changes in cash 207.24%39.35M-13.72%24.5M202.12%20.19M117.03%4.54M78.11%-9.88M-35.73%-36.69M122.67%28.4M58.61%6.68M-5.30%-26.65M-141.35%-45.13M
Effect of exchange rate changes -176.06%-2.38M-652.46%-6.96M245.00%3.31M339.70%1.42M-109.82%-147K206.91%3.13M104.21%1.26M-38.97%960K87.86%-592K734.32%1.5M
End cash Position 29.18%163.69M29.18%163.69M50.58%146.15M37.16%122.65M0.03%116.69M-20.94%126.72M-20.94%126.72M-33.93%97.06M-36.64%89.42M-31.90%116.65M
Free cash flow 2.93%72.21M8.46%39.78M513.69%10.09M-50.19%6.05M-17.25%16.3M102.03%70.16M191.78%36.67M-10.85%1.64M190.24%12.14M22.13%19.7M
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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