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TCMD Tactile Systems Technology

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  • 9.640
  • -0.260-2.63%
Close May 7 16:00 ET
  • 9.680
  • +0.040+0.41%
Pre 05:26 ET
224.11MMarket Cap14.61P/E (TTM)

Tactile Systems Technology 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
-54.87%417K
13.53%40.66M
-10.77%16.34M
150.39%10.26M
-5.51%13.14M
284.06%924K
587.58%35.82M
375.05%18.31M
81.72%4.1M
503.17%13.91M
Net income from continuing operations
-34.63%-2.97M
-40.52%16.96M
18.46%9.72M
-76.88%5.16M
4,398.00%4.3M
-17.13%-2.21M
259.60%28.52M
77.49%8.2M
1,078.46%22.3M
97.84%-100K
Operating gains losses
--5K
10,166.67%308K
--0
--254K
----
----
-85.00%3K
--0
--0
--0
Depreciation and amortization
5.63%1.73M
4.62%6.8M
8.65%1.72M
5.28%1.73M
4.33%1.71M
0.31%1.63M
3.70%6.5M
-0.88%1.58M
-0.48%1.65M
8.75%1.64M
Deferred tax
200.00%252K
105.51%1.07M
5.15%1.41M
98.50%-311K
---114K
--84K
-60,456.25%-19.38M
2,832.65%1.34M
-26,805.19%-20.72M
--0
Other non cash items
----
99.67%-8K
----
----
----
----
-120.56%-2.44M
-95.90%39K
-210.66%-3.71M
-48.18%570K
Change In working capital
-5.45%-658K
-48.96%7.71M
-68.58%1.65M
-51.75%1.35M
-46.62%5.33M
78.71%-624K
426.15%15.1M
201.00%5.24M
194.38%2.81M
581.51%9.99M
-Change in receivables
38.69%9.24M
-61.43%9.17M
-130.39%-1.34M
-17.88%2.85M
-88.94%998K
-3.18%6.67M
252.80%23.78M
152.64%4.41M
169.12%3.47M
280.54%9.02M
-Change in inventory
-111.94%-201K
546.73%3.86M
158.50%2.51M
26.80%-2.33M
763.79%2M
-45.88%1.68M
115.28%597K
1,033.65%971K
-4.36%-3.18M
38.70%-301K
-Change in prepaid assets
-211.56%-2.45M
-5,556.94%-3.93M
-572.79%-2.09M
-551.22%-1.48M
17.83%423K
25.47%-787K
107.58%72K
173.38%441K
114.42%328K
-85.53%359K
-Change in payables and accrued expense
27.70%-5.33M
101.57%167K
313.92%3.54M
270.84%2.62M
-3.24%1.37M
35.22%-7.37M
-162.53%-10.63M
-67.30%855K
-116.96%-1.53M
-74.06%1.42M
-Change in other current assets
-13,450.00%-267K
163.38%187K
98.65%-37K
-194.37%-418K
-77.85%640K
-97.18%2K
-57.74%71K
-205.81%-2.75M
94.40%-142K
5,566.67%2.89M
-Change in other working capital
-101.58%-1.66M
-244.07%-1.75M
-171.74%-942K
-97.03%115K
97.06%-100K
-44.21%-822K
188.10%1.21M
199.24%1.31M
347.69%3.87M
-222.30%-3.4M
Cash from discontinued investing activities
Operating cash flow
-54.87%417K
13.39%40.66M
-11.00%16.33M
150.39%10.26M
-5.51%13.14M
284.06%924K
588.33%35.86M
376.06%18.35M
81.72%4.1M
503.17%13.91M
Investing cash flow
Cash flow from continuing investing activities
18.92%-407K
-0.64%-2.5M
47.66%-492K
-145.11%-978K
38.31%-525K
-72.51%-502K
-29.96%-2.48M
-1,346.15%-940K
72.06%-399K
-253.11%-851K
Capital expenditure reported
----
25.48%-117K
20.00%-32K
-55.56%-28K
----
----
-12.14%-157K
---40K
---18K
----
Net PPE purchase and sale
21.37%-379K
-2.41%-2.38M
48.89%-460K
-149.34%-950K
39.15%-488K
-100.00%-482K
-31.37%-2.32M
-2,268.42%-900K
72.79%-381K
-301.00%-802K
Net intangibles purchase and sale
-40.00%-28K
----
----
----
----
60.00%-20K
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
18.92%-407K
-0.64%-2.5M
47.66%-492K
-145.11%-978K
38.31%-525K
-72.51%-502K
-29.96%-2.48M
-1,346.15%-940K
72.06%-399K
-253.11%-851K
Financing cash flow
Cash flow from continuing financing activities
-1,336.32%-10.76M
-184.19%-4.82M
83.85%-3.62M
14.09%-750K
106.07%295K
-102.21%-749K
159.69%5.73M
-323.96%-22.42M
-16.40%-873K
-3,697.78%-4.86M
Net issuance payments of debt
0.00%-750K
84.81%-3M
95.71%-750K
0.00%-750K
0.00%-750K
0.00%-750K
-229.17%-19.75M
-2,233.33%-17.5M
0.00%-750K
0.00%-750K
Net common stock issuance
---10.02M
-110.13%-3.51M
---3.51M
--0
--0
--0
--34.63M
--0
--0
--0
Proceeds from stock option exercised by employees
900.00%10K
8.30%1.68M
-3.33%638K
--0
17.02%1.05M
--1K
8.06%1.56M
42.55%660K
--2K
0.90%893K
Net other financing activities
----
----
----
----
----
----
-112.34%-10.7M
-11.50%-5.58M
---125K
----
Cash from discontinued financing activities
Financing cash flow
-1,336.32%-10.76M
-184.19%-4.82M
83.85%-3.62M
14.09%-750K
106.07%295K
-102.21%-749K
159.69%5.73M
-323.96%-22.42M
-16.40%-873K
-3,697.78%-4.86M
Net cash flow
Beginning cash position
54.62%94.37M
178.32%61.03M
24.40%82.15M
16.46%73.62M
10.35%60.71M
178.32%61.03M
-22.32%21.93M
181.89%66.04M
170.72%63.21M
160.10%55.01M
Current changes in cash
-3,186.85%-10.75M
-14.76%33.33M
344.27%12.22M
201.98%8.53M
57.44%12.91M
-100.99%-327K
720.70%39.1M
-234.20%-5M
3,615.79%2.82M
272.77%8.2M
End cash Position
37.74%83.62M
54.62%94.37M
54.62%94.37M
24.40%82.15M
16.46%73.62M
10.35%60.71M
178.32%61.03M
178.32%61.03M
181.89%66.04M
170.72%63.21M
Free cash flow
-97.63%10K
14.30%38.15M
-9.02%15.84M
150.96%9.28M
-3.47%12.61M
153.22%422K
914.72%33.37M
360.76%17.41M
347.58%3.7M
532.35%13.06M
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 -54.87%417K13.53%40.66M-10.77%16.34M150.39%10.26M-5.51%13.14M284.06%924K587.58%35.82M375.05%18.31M81.72%4.1M503.17%13.91M
Net income from continuing operations -34.63%-2.97M-40.52%16.96M18.46%9.72M-76.88%5.16M4,398.00%4.3M-17.13%-2.21M259.60%28.52M77.49%8.2M1,078.46%22.3M97.84%-100K
Operating gains losses --5K10,166.67%308K--0--254K---------85.00%3K--0--0--0
Depreciation and amortization 5.63%1.73M4.62%6.8M8.65%1.72M5.28%1.73M4.33%1.71M0.31%1.63M3.70%6.5M-0.88%1.58M-0.48%1.65M8.75%1.64M
Deferred tax 200.00%252K105.51%1.07M5.15%1.41M98.50%-311K---114K--84K-60,456.25%-19.38M2,832.65%1.34M-26,805.19%-20.72M--0
Other non cash items ----99.67%-8K-----------------120.56%-2.44M-95.90%39K-210.66%-3.71M-48.18%570K
Change In working capital -5.45%-658K-48.96%7.71M-68.58%1.65M-51.75%1.35M-46.62%5.33M78.71%-624K426.15%15.1M201.00%5.24M194.38%2.81M581.51%9.99M
-Change in receivables 38.69%9.24M-61.43%9.17M-130.39%-1.34M-17.88%2.85M-88.94%998K-3.18%6.67M252.80%23.78M152.64%4.41M169.12%3.47M280.54%9.02M
-Change in inventory -111.94%-201K546.73%3.86M158.50%2.51M26.80%-2.33M763.79%2M-45.88%1.68M115.28%597K1,033.65%971K-4.36%-3.18M38.70%-301K
-Change in prepaid assets -211.56%-2.45M-5,556.94%-3.93M-572.79%-2.09M-551.22%-1.48M17.83%423K25.47%-787K107.58%72K173.38%441K114.42%328K-85.53%359K
-Change in payables and accrued expense 27.70%-5.33M101.57%167K313.92%3.54M270.84%2.62M-3.24%1.37M35.22%-7.37M-162.53%-10.63M-67.30%855K-116.96%-1.53M-74.06%1.42M
-Change in other current assets -13,450.00%-267K163.38%187K98.65%-37K-194.37%-418K-77.85%640K-97.18%2K-57.74%71K-205.81%-2.75M94.40%-142K5,566.67%2.89M
-Change in other working capital -101.58%-1.66M-244.07%-1.75M-171.74%-942K-97.03%115K97.06%-100K-44.21%-822K188.10%1.21M199.24%1.31M347.69%3.87M-222.30%-3.4M
Cash from discontinued investing activities
Operating cash flow -54.87%417K13.39%40.66M-11.00%16.33M150.39%10.26M-5.51%13.14M284.06%924K588.33%35.86M376.06%18.35M81.72%4.1M503.17%13.91M
Investing cash flow
Cash flow from continuing investing activities 18.92%-407K-0.64%-2.5M47.66%-492K-145.11%-978K38.31%-525K-72.51%-502K-29.96%-2.48M-1,346.15%-940K72.06%-399K-253.11%-851K
Capital expenditure reported ----25.48%-117K20.00%-32K-55.56%-28K---------12.14%-157K---40K---18K----
Net PPE purchase and sale 21.37%-379K-2.41%-2.38M48.89%-460K-149.34%-950K39.15%-488K-100.00%-482K-31.37%-2.32M-2,268.42%-900K72.79%-381K-301.00%-802K
Net intangibles purchase and sale -40.00%-28K----------------60.00%-20K----------------
Cash from discontinued investing activities
Investing cash flow 18.92%-407K-0.64%-2.5M47.66%-492K-145.11%-978K38.31%-525K-72.51%-502K-29.96%-2.48M-1,346.15%-940K72.06%-399K-253.11%-851K
Financing cash flow
Cash flow from continuing financing activities -1,336.32%-10.76M-184.19%-4.82M83.85%-3.62M14.09%-750K106.07%295K-102.21%-749K159.69%5.73M-323.96%-22.42M-16.40%-873K-3,697.78%-4.86M
Net issuance payments of debt 0.00%-750K84.81%-3M95.71%-750K0.00%-750K0.00%-750K0.00%-750K-229.17%-19.75M-2,233.33%-17.5M0.00%-750K0.00%-750K
Net common stock issuance ---10.02M-110.13%-3.51M---3.51M--0--0--0--34.63M--0--0--0
Proceeds from stock option exercised by employees 900.00%10K8.30%1.68M-3.33%638K--017.02%1.05M--1K8.06%1.56M42.55%660K--2K0.90%893K
Net other financing activities -------------------------112.34%-10.7M-11.50%-5.58M---125K----
Cash from discontinued financing activities
Financing cash flow -1,336.32%-10.76M-184.19%-4.82M83.85%-3.62M14.09%-750K106.07%295K-102.21%-749K159.69%5.73M-323.96%-22.42M-16.40%-873K-3,697.78%-4.86M
Net cash flow
Beginning cash position 54.62%94.37M178.32%61.03M24.40%82.15M16.46%73.62M10.35%60.71M178.32%61.03M-22.32%21.93M181.89%66.04M170.72%63.21M160.10%55.01M
Current changes in cash -3,186.85%-10.75M-14.76%33.33M344.27%12.22M201.98%8.53M57.44%12.91M-100.99%-327K720.70%39.1M-234.20%-5M3,615.79%2.82M272.77%8.2M
End cash Position 37.74%83.62M54.62%94.37M54.62%94.37M24.40%82.15M16.46%73.62M10.35%60.71M178.32%61.03M178.32%61.03M181.89%66.04M170.72%63.21M
Free cash flow -97.63%10K14.30%38.15M-9.02%15.84M150.96%9.28M-3.47%12.61M153.22%422K914.72%33.37M360.76%17.41M347.58%3.7M532.35%13.06M
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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