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Avid Bioservices to Participate at Upcoming Investor Conferences

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TUSTIN, Calif., May 07, 2024 (GLOBE NEWSWIRE) -- Avid Bioservices, Inc. (NASDAQ: CDMO), a dedicated biologics contract development and manufacturing organization (CDMO) working to improve patient lives by providing high quality development and manufacturing services to biotechnology and pharmaceutical companies, today announced that the company will participate at two upcoming investor conferences. Nick Green, president and chief executive officer, will be the featured speaker in a fireside chat at the RBC Capital Markets 2024 Global Healthcare Conference, and will deliver a corporate presentation at the 2024 Bank of America Securities Healthcare Conference.

GlobeNewswire Inc. • 07/05/2024 à 22:05:00
Avid Bioservices, Inc. Common Stock
Address: 14191 MYFORD ROAD
Postal Code: 92780
City: TUSTIN
State: CA
Phone Number: 714.508.6100
Website: https://www.avidbio.com
Status: Active
Company Info

Avid Bioservices Inc is a clinical-stage biopharmaceutical company focused on the development and Current Good Manufacturing Practices (CGMP) of biopharmaceutical products derived from mammalian cell culture. The company provides a comprehensive range of process development and high-quality CGMP clinical and commercial manufacturing services for the biotechnology and biopharmaceutical industries.

List Date1996-04-01
MarketStocks
LocalUS
Primary ExchangeXNAS
TypeCS
Currency NameUSD
CIK0000704562
Composite figiBBG000JDWKY3
Share Class figiBBG001SD4YL6
Market Cap578,935,721 USD
SIC Code2834
SIC DescriptionPHARMACEUTICAL PREPARATIONS
Total Employees365
Share Class Shares Outstanding63480000
Weighted Shares Outstanding63479794
Round Lot100
Updated date2024-05-19
Stats
Last 5 days
17-05
16-05
15-05
14-05
13-05
Last
9.79
8.75
9.265
9.19
8.8
Variance
11.59%
-5.21%
0.71%
4.69%
-0.9%
Open
8.773
9.231
9.2
8.778
8.88
Highest
9.872
9.464
9.74
9.323
8.995
Lowest
9.851
9.426
9.665
9.306
8.99
History
PeriodVarhighestlowest
1 week
10.25%
8.995
8.99
1 month
52.44%
6.66
6.63
3 month
30.45%
8.505
6.348
6 month
77.03%
5.69
4.0705
1 year
-34.21%
15.02
4.0705
3 year
-50.96%
20.1
4.0705
5 year
181.32%
3.55
3.02
10 year
192.24%
4.12
2.24
Stock Financials
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2023-09-07 2023-12-07 UNPUB UNPUB
Assets 442,337,000 454,642,000 UNPUB UNPUB
Current Assets 98,319,000 104,205,000 UNPUB UNPUB
Current Liabilities 64,057,000 76,937,000 UNPUB UNPUB
Equity 190,598,000 183,675,000 UNPUB UNPUB
Equity Attributable To Noncontrolling Interest 0 0 UNPUB UNPUB
Equity Attributable To Parent 190,598,000 183,675,000 UNPUB UNPUB
Liabilities 251,739,000 270,967,000 UNPUB UNPUB
Liabilities And Equity 442,337,000 454,642,000 UNPUB UNPUB
Noncurrent Assets 344,018,000 350,437,000 UNPUB UNPUB
Noncurrent Liabilities 187,682,000 194,030,000 UNPUB UNPUB
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2023-09-07 2023-12-07 UNPUB UNPUB
Exchange Gains/Losses UNPUB UNPUB UNPUB UNPUB
Net Cash Flow -13,644,000 6,176,000 UNPUB UNPUB
Net Cash Flow, Continuing -13,644,000 6,176,000 UNPUB UNPUB
Net Cash Flow From Financing Activities 748,000 7,400,000 UNPUB UNPUB
Net Cash Flow From Financing Activities, Continuing 748,000 7,400,000 UNPUB UNPUB
Net Cash Flow From Investing Activities -14,114,000 -7,323,000 UNPUB UNPUB
Net Cash Flow From Investing Activities, Continuing -14,114,000 -7,323,000 UNPUB UNPUB
Net Cash Flow From Operating Activities -278,000 6,099,000 UNPUB UNPUB
Net Cash Flow From Operating Activities, Continuing -278,000 6,099,000 UNPUB UNPUB
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2023-09-07 2023-12-07 UNPUB UNPUB
Comprehensive Income/Loss -2,093,000 -9,509,000 UNPUB UNPUB
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 UNPUB UNPUB
Comprehensive Income/Loss Attributable To Parent -2,093,000 -9,509,000 UNPUB UNPUB
Other Comprehensive Income/Loss -2,093,000 -9,509,000 UNPUB UNPUB
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2023-09-07 2023-12-07 UNPUB UNPUB
Basic Earnings Per Share 0 0 UNPUB UNPUB
Benefits Costs and Expenses 40,406,000 37,282,000 UNPUB UNPUB
Cost Of Revenue 33,626,000 30,060,000 UNPUB UNPUB
Costs And Expenses 40,406,000 37,282,000 UNPUB UNPUB
Diluted Earnings Per Share 0 0 UNPUB UNPUB
Gross Profit 4,100,000 -4,665,000 UNPUB UNPUB
Income/Loss From Continuing Operations After Tax -2,093,000 -9,509,000 UNPUB UNPUB
Income/Loss From Continuing Operations Before Tax -2,680,000 -11,887,000 UNPUB UNPUB
Income Tax Expense/Benefit -587,000 -2,378,000 UNPUB UNPUB
Interest Expense, Operating 775,000 805,000 UNPUB UNPUB
Net Income/Loss -2,093,000 -9,509,000 UNPUB UNPUB
Net Income/Loss Attributable To Noncontrolling Interest 0 0 UNPUB UNPUB
Net Income/Loss Attributable To Parent -2,093,000 -9,509,000 UNPUB UNPUB
Net Income/Loss Available To Common Stockholders, Basic -2,093,000 -9,509,000 UNPUB UNPUB
Operating Expenses 6,263,000 6,557,000 UNPUB UNPUB
Operating Income/Loss -2,163,000 -11,222,000 UNPUB UNPUB
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 UNPUB UNPUB
Preferred Stock Dividends And Other Adjustments 0 0 UNPUB UNPUB
Revenues 37,726,000 25,395,000 UNPUB UNPUB
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2022-09-06 2022-12-06 2023-03-13 2023-06-21
Assets 451,219,000 441,850,000 450,430,000 451,054,000
Current Assets 180,635,000 145,941,000 132,343,000 112,451,000
Current Liabilities 93,343,000 82,377,000 87,319,000 73,709,000
Equity 178,999,000 181,195,000 185,395,000 189,470,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 178,999,000 181,195,000 185,395,000 189,470,000
Liabilities 272,220,000 260,655,000 265,035,000 261,584,000
Liabilities And Equity 451,219,000 441,850,000 450,430,000 451,054,000
Noncurrent Assets 270,584,000 295,909,000 318,087,000 338,603,000
Noncurrent Liabilities 0 0 177,716,000 187,875,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2022-09-06 2022-12-06 2023-03-13 2023-06-21
Exchange Gains/Losses UNPUB UNPUB UNPUB UNPUB
Net Cash Flow -11,029,000 -37,845,000 -17,376,000 -87,624,000
Net Cash Flow, Continuing -11,029,000 -37,845,000 -17,376,000 -87,624,000
Net Cash Flow From Financing Activities 929,000 400,000 868,000 2,901,000
Net Cash Flow From Financing Activities, Continuing 929,000 400,000 868,000 2,901,000
Net Cash Flow From Investing Activities -6,924,000 -34,508,000 -11,329,000 -77,638,000
Net Cash Flow From Investing Activities, Continuing -6,924,000 -34,508,000 -11,329,000 -77,638,000
Net Cash Flow From Operating Activities -5,034,000 -3,737,000 -6,915,000 -12,887,000
Net Cash Flow From Operating Activities, Continuing -5,034,000 -3,737,000 -6,915,000 -12,887,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2022-09-06 2022-12-06 2023-03-13 2023-06-21
Comprehensive Income/Loss 1,564,000 -1,156,000 461,000 560,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent 1,564,000 -1,156,000 461,000 560,000
Other Comprehensive Income/Loss 1,564,000 -1,156,000 461,000 560,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2022-09-06 2022-12-06 2023-03-13 2023-06-21
Basic Earnings Per Share 0 0 0 0
Benefits Costs and Expenses 34,425,000 37,999,000 35,488,000 147,263,000
Cost Of Revenue 27,575,000 30,610,000 28,193,000 117,786,000
Costs And Expenses 34,425,000 37,999,000 35,488,000 27,879,000
Diluted Earnings Per Share 0 0 0 0
Gross Profit 9,117,000 4,147,000 9,825,000 31,480,000
Income/Loss From Continuing Operations After Tax 1,564,000 -1,156,000 461,000 560,000
Income/Loss From Continuing Operations Before Tax 2,267,000 -3,242,000 2,530,000 2,003,000
Income Tax Expense/Benefit 703,000 -2,086,000 2,069,000 1,443,000
Interest Expense, Operating 518,000 703,000 620,000 2,600,000
Net Income/Loss 1,564,000 -1,156,000 461,000 560,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent 1,564,000 -1,156,000 461,000 560,000
Net Income/Loss Available To Common Stockholders, Basic 1,564,000 -1,156,000 461,000 560,000
Operating Expenses 6,382,000 6,831,000 7,107,000 27,879,000
Operating Income/Loss 2,735,000 -2,684,000 2,718,000 3,601,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 36,692,000 34,757,000 38,018,000 149,266,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2021-09-08 2021-12-07 2022-03-08 2022-06-29
Assets 270,531,000 301,627,000 314,095,000 429,843,000
Current Assets 200,780,000 206,919,000 203,490,000 180,023,000
Current Liabilities 63,248,000 69,528,000 77,302,000 75,761,000
Equity 44,636,000 51,105,000 56,575,000 174,526,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 44,636,000 51,105,000 56,575,000 174,526,000
Liabilities -44,636,000 250,522,000 257,520,000 255,317,000
Liabilities And Equity 270,531,000 301,627,000 314,095,000 429,843,000
Noncurrent Assets 69,751,000 94,708,000 110,605,000 249,820,000
Noncurrent Liabilities 0 0 180,218,000 179,556,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2021-09-08 2021-12-07 2022-03-08 2022-06-29
Exchange Gains/Losses UNPUB UNPUB UNPUB UNPUB
Net Cash Flow -10,223,000 3,983,000 -13,718,000 -43,749,000
Net Cash Flow, Continuing -10,223,000 3,983,000 -13,718,000 -43,749,000
Net Cash Flow From Financing Activities 918,000 1,005,000 1,111,000 3,197,000
Net Cash Flow From Financing Activities, Continuing 918,000 1,005,000 1,111,000 3,197,000
Net Cash Flow From Investing Activities -4,199,000 -7,625,000 -20,021,000 -56,411,000
Net Cash Flow From Investing Activities, Continuing -4,199,000 -7,625,000 -20,021,000 -56,411,000
Net Cash Flow From Operating Activities -6,942,000 10,603,000 5,192,000 9,465,000
Net Cash Flow From Operating Activities, Continuing -6,942,000 10,603,000 5,192,000 9,465,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2021-09-08 2021-12-07 2022-03-08 2022-06-29
Comprehensive Income/Loss 6,304,000 3,522,000 2,248,000 127,672,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 6,304,000 0 0 0
Comprehensive Income/Loss Attributable To Parent 6,304,000 3,522,000 2,248,000 127,672,000
Other Comprehensive Income/Loss 6,304,000 3,522,000 2,248,000 127,672,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2021-09-08 2021-12-07 2022-03-08 2022-06-29
Basic Earnings Per Share 0 0 0 2
Benefits Costs and Expenses 0 0 0 106,936,000
Cost Of Revenue 19,363,000 16,923,000 22,421,000 82,949,000
Costs And Expenses 23,823,000 21,956,000 28,239,000 21,226,000
Diluted Earnings Per Share 0 0 0 2
Gross Profit 11,391,000 9,186,000 9,087,000 36,648,000
Income/Loss From Continuing Operations After Tax 6,304,000 3,522,000 2,248,000 127,672,000
Income/Loss From Continuing Operations Before Tax 30,754,000 26,109,000 31,508,000 12,661,000
Income Tax Expense/Benefit UNPUB UNPUB UNPUB -115,011,000
Interest Expense, Operating 703,000 704,000 718,000 2,680,000
Net Income/Loss 6,304,000 3,522,000 2,248,000 127,672,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent 6,304,000 3,522,000 2,248,000 127,672,000
Net Income/Loss Available To Common Stockholders, Basic 6,304,000 3,522,000 2,248,000 127,672,000
Operating Expenses 4,460,000 5,033,000 5,818,000 21,226,000
Operating Income/Loss 6,931,000 4,153,000 3,269,000 15,422,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 30,754,000 26,109,000 31,508,000 119,597,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2020-09-01 2020-12-02 2021-03-08 2021-06-29
Assets 105,561,000 113,595,000 168,178,000 265,510,000
Current Assets 57,018,000 63,126,000 116,311,000 207,804,000
Current Liabilities 38,111,000 43,659,000 62,575,000 70,936,000
Equity 46,539,000 49,386,000 85,370,000 77,736,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 46,539,000 49,386,000 85,370,000 77,736,000
Liabilities 59,022,000 64,209,000 82,808,000 187,774,000
Liabilities And Equity 105,561,000 113,595,000 168,178,000 265,510,000
Noncurrent Assets 48,543,000 50,469,000 51,867,000 57,706,000
Noncurrent Liabilities 0 0 20,233,000 116,838,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2020-09-01 2020-12-02 2021-03-08 2021-06-29
Exchange Gains/Losses UNPUB UNPUB UNPUB UNPUB
Net Cash Flow -8,051,000 7,453,000 35,230,000 133,653,000
Net Cash Flow, Continuing -8,051,000 7,453,000 35,230,000 133,653,000
Net Cash Flow From Financing Activities -5,289,000 -462,000 32,778,000 112,335,000
Net Cash Flow From Financing Activities, Continuing -5,289,000 -462,000 32,778,000 112,335,000
Net Cash Flow From Investing Activities -489,000 -2,491,000 -2,737,000 -9,864,000
Net Cash Flow From Investing Activities, Continuing -489,000 -2,491,000 -2,737,000 -9,864,000
Net Cash Flow From Operating Activities -2,273,000 10,406,000 5,189,000 31,182,000
Net Cash Flow From Operating Activities, Continuing -2,273,000 10,406,000 5,189,000 31,182,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2020-09-01 2020-12-02 2021-03-08 2021-06-29
Comprehensive Income/Loss 4,730,000 2,284,000 2,207,000 11,212,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 2,284,000 2,207,000 0
Comprehensive Income/Loss Attributable To Parent 4,730,000 2,284,000 2,207,000 11,212,000
Other Comprehensive Income/Loss 0 0 0 11,212,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2020-09-01 2020-12-02 2021-03-08 2021-06-29
Basic Earnings Per Share 0 0 0 0
Benefits Costs and Expenses 0 0 0 84,656,000
Cost Of Revenue 16,848,000 14,646,000 15,604,000 66,561,000
Costs And Expenses 3,825,000 4,166,000 4,018,000 17,064,000
Diluted Earnings Per Share 0 0 0 0
Gross Profit 8,544,000 6,418,000 6,202,000 29,307,000
Income/Loss From Continuing Operations After Tax 4,730,000 2,284,000 2,207,000 11,212,000
Income/Loss From Continuing Operations Before Tax 25,392,000 21,064,000 21,806,000 11,212,000
Income Tax Expense/Benefit UNPUB UNPUB UNPUB 0
Interest Expense, Operating UNPUB UNPUB UNPUB 1,164,000
Net Income/Loss 4,730,000 2,284,000 2,207,000 11,212,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent 4,730,000 2,284,000 2,207,000 11,212,000
Net Income/Loss Available To Common Stockholders, Basic 3,288,000 842,000 765,000 3,318,000
Operating Expenses 3,825,000 4,166,000 4,018,000 17,064,000
Operating Income/Loss 4,719,000 2,252,000 2,184,000 12,243,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 7,894,000
Preferred Stock Dividends And Other Adjustments 0 0 0 7,894,000
Revenues 25,392,000 21,064,000 21,806,000 95,868,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2019-09-05 2019-12-09 2020-03-10 2020-06-30
Assets 102,070,000 105,250,000 105,216,000 107,620,000
Current Assets 51,564,000 56,227,000 57,277,000 59,763,000
Current Liabilities 28,935,000 33,672,000 36,554,000 44,480,000
Equity 49,684,000 49,184,000 47,078,000 41,896,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 49,684,000 49,184,000 47,078,000 41,896,000
Liabilities -49,684,000 -49,184,000 58,138,000 65,724,000
Liabilities And Equity 102,070,000 105,250,000 105,216,000 107,620,000
Noncurrent Assets 50,506,000 49,023,000 47,939,000 47,857,000
Noncurrent Liabilities 0 0 21,584,000 21,244,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2019-09-05 2019-12-09 2020-03-10 2020-06-30
Exchange Gains/Losses UNPUB UNPUB UNPUB UNPUB
Net Cash Flow -3,407,000 4,216,000 -3,273,000 3,111,000
Net Cash Flow, Continuing -3,407,000 4,216,000 -3,273,000 3,111,000
Net Cash Flow From Financing Activities -901,000 -721,000 -597,000 1,096,000
Net Cash Flow From Financing Activities, Continuing -901,000 -721,000 -597,000 1,096,000
Net Cash Flow From Investing Activities -38,000 -947,000 -2,040,000 -3,812,000
Net Cash Flow From Investing Activities, Continuing -38,000 -947,000 -2,040,000 -3,812,000
Net Cash Flow From Operating Activities -2,468,000 5,884,000 -636,000 5,827,000
Net Cash Flow From Operating Activities, Continuing -2,468,000 5,884,000 -636,000 5,827,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2019-09-05 2019-12-09 2020-03-10 2020-06-30
Comprehensive Income/Loss -3,164,000 -430,000 -2,104,000 -10,466,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent -3,164,000 -430,000 -2,104,000 -10,466,000
Other Comprehensive Income/Loss 0 0 0 -10,466,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2019-09-05 2019-12-09 2020-03-10 2020-06-30
Basic Earnings Per Share UNPUB UNPUB UNPUB UNPUB
Benefits Costs and Expenses 18,418,000 18,743,000 15,689,000 70,168,000
Cost Of Revenue 14,168,000 14,953,000 12,800,000 55,770,000
Costs And Expenses 18,418,000 18,743,000 15,689,000 14,872,000
Diluted Earnings Per Share UNPUB UNPUB UNPUB UNPUB
Gross Profit 1,086,000 3,360,000 785,000 3,932,000
Income/Loss From Continuing Operations After Tax -3,164,000 -430,000 -2,104,000 -10,466,000
Income/Loss From Continuing Operations Before Tax -3,164,000 -430,000 -2,104,000 -10,466,000
Income Tax Expense/Benefit 0 0 0 0
Interest Expense, Operating UNPUB UNPUB UNPUB UNPUB
Net Income/Loss -3,164,000 -430,000 -2,104,000 -10,466,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent -3,164,000 -430,000 -2,104,000 -10,466,000
Net Income/Loss Available To Common Stockholders, Basic -4,606,000 -1,872,000 -3,546,000 -15,152,000
Operating Expenses 4,250,000 3,889,000 2,996,000 14,872,000
Operating Income/Loss -3,373,000 -529,000 -2,211,000 -10,940,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 1,442,000 1,442,000 1,442,000 4,686,000
Preferred Stock Dividends And Other Adjustments 1,442,000 1,442,000 1,442,000 4,686,000
Revenues 15,254,000 18,313,000 13,585,000 59,702,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2018-09-10 2018-12-10 2019-03-11 2019-06-27
Assets 84,708,000 80,224,000 76,110,000 78,395,000
Current Assets 56,920,000 52,493,000 48,782,000 51,318,000
Current Liabilities 25,724,000 23,208,000 20,848,000 23,162,000
Equity 56,746,000 54,797,000 53,064,000 53,068,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 56,746,000 54,797,000 53,064,000 53,068,000
Liabilities 27,962,000 25,427,000 23,046,000 25,327,000
Liabilities And Equity 84,708,000 80,224,000 76,110,000 78,395,000
Noncurrent Assets 27,788,000 27,731,000 27,328,000 27,077,000
Noncurrent Liabilities 2,238,000 2,219,000 2,198,000 2,165,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2018-09-10 2018-12-10 2019-03-11 2019-06-27
Exchange Gains/Losses UNPUB UNPUB UNPUB UNPUB
Net Cash Flow -4,781,000 -4,790,000 -4,936,000 -9,914,000
Net Cash Flow, Continuing -4,781,000 -4,790,000 -511,000 -5,364,000
Net Cash Flow From Financing Activities -141,000 -823,000 -1,052,000 -2,863,000
Net Cash Flow From Financing Activities, Continuing -141,000 -823,000 -1,052,000 -2,863,000
Net Cash Flow From Investing Activities 2,808,000 2,746,000 -802,000 4,544,000
Net Cash Flow From Investing Activities, Continuing 2,808,000 2,746,000 -802,000 4,544,000
Net Cash Flow From Operating Activities -7,448,000 -6,713,000 -3,082,000 -11,595,000
Net Cash Flow From Operating Activities, Continuing -7,448,000 -6,713,000 1,343,000 -7,045,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2018-09-10 2018-12-10 2019-03-11 2019-06-27
Comprehensive Income/Loss -1,961,000 -1,451,000 -1,139,000 -4,215,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent -1,961,000 -1,451,000 -1,139,000 -4,215,000
Other Comprehensive Income/Loss 0 0 0 -4,215,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2018-09-10 2018-12-10 2019-03-11 2019-06-27
Basic Earnings Per Share UNPUB UNPUB UNPUB UNPUB
Benefits Costs and Expenses 14,550,000 12,368,000 14,920,000 58,943,000
Cost Of Revenue 11,397,000 9,844,000 11,731,000 46,379,000
Costs And Expenses 14,550,000 12,368,000 14,920,000 12,846,000
Diluted Earnings Per Share UNPUB UNPUB UNPUB UNPUB
Gross Profit 1,192,000 334,000 2,050,000 7,224,000
Income/Loss From Continuing Operations After Tax -1,961,000 -2,190,000 -1,139,000 -5,056,000
Income/Loss From Continuing Operations Before Tax -1,961,000 -2,363,000 -1,183,000 -5,340,000
Income Tax Expense/Benefit 0 -173,000 -44,000 -284,000
Interest Expense, Operating UNPUB UNPUB UNPUB UNPUB
Net Income/Loss -1,961,000 -1,451,000 -1,139,000 -4,215,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent -1,961,000 -1,451,000 -1,139,000 -4,215,000
Net Income/Loss Available To Common Stockholders, Basic -3,403,000 -2,893,000 -2,581,000 -8,901,000
Operating Expenses 3,153,000 2,816,000 3,242,000 12,846,000
Operating Income/Loss -2,023,000 -2,482,000 -1,192,000 -5,622,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 1,442,000 1,442,000 1,442,000 4,686,000
Preferred Stock Dividends And Other Adjustments 1,442,000 1,442,000 1,442,000 4,686,000
Revenues 12,589,000 10,178,000 13,781,000 53,603,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date UNPUB UNPUB 2018-03-12 2018-07-16
Assets UNPUB UNPUB 69,857,000 95,760,000
Current Assets UNPUB UNPUB 41,029,000 67,827,000
Current Liabilities UNPUB UNPUB 36,274,000 37,863,000
Equity UNPUB UNPUB 31,519,000 55,738,000
Equity Attributable To Noncontrolling Interest UNPUB UNPUB 0 0
Equity Attributable To Parent UNPUB UNPUB 31,519,000 55,738,000
Liabilities UNPUB UNPUB 38,338,000 40,022,000
Liabilities And Equity UNPUB UNPUB 69,857,000 95,760,000
Noncurrent Assets UNPUB UNPUB 28,828,000 27,933,000
Noncurrent Liabilities UNPUB UNPUB 2,064,000 2,159,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date UNPUB UNPUB 2018-03-12 2018-07-16
Exchange Gains/Losses UNPUB UNPUB UNPUB UNPUB
Net Cash Flow UNPUB UNPUB -9,789,000 -4,534,000
Net Cash Flow, Continuing UNPUB UNPUB -9,789,000 -4,534,000
Net Cash Flow From Financing Activities UNPUB UNPUB -821,000 22,251,000
Net Cash Flow From Financing Activities, Continuing UNPUB UNPUB -821,000 22,251,000
Net Cash Flow From Investing Activities UNPUB UNPUB -335,000 -19,000
Net Cash Flow From Investing Activities, Continuing UNPUB UNPUB -335,000 -19,000
Net Cash Flow From Operating Activities UNPUB UNPUB -8,633,000 -26,766,000
Net Cash Flow From Operating Activities, Continuing UNPUB UNPUB -8,633,000 -26,766,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date UNPUB UNPUB 2018-03-12 2018-07-16
Comprehensive Income/Loss UNPUB UNPUB -11,004,000 -21,813,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest UNPUB UNPUB 0 0
Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB -11,004,000 -21,813,000
Other Comprehensive Income/Loss UNPUB UNPUB 0 -21,813,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date UNPUB UNPUB 2018-03-12 2018-07-16
Basic Earnings Per Share UNPUB UNPUB UNPUB UNPUB
Benefits Costs and Expenses UNPUB UNPUB 15,747,000 74,184,000
Cost Of Revenue UNPUB UNPUB 10,951,000 56,545,000
Costs And Expenses UNPUB UNPUB 4,824,000 17,714,000
Diluted Earnings Per Share UNPUB UNPUB UNPUB UNPUB
Gross Profit UNPUB UNPUB -4,132,000 -2,924,000
Income/Loss From Continuing Operations After Tax UNPUB UNPUB -8,928,000 -20,563,000
Income/Loss From Continuing Operations Before Tax UNPUB UNPUB -8,928,000 -20,563,000
Income Tax Expense/Benefit UNPUB UNPUB UNPUB 0
Interest Expense, Operating UNPUB UNPUB UNPUB UNPUB
Net Income/Loss UNPUB UNPUB -11,004,000 -21,813,000
Net Income/Loss Attributable To Noncontrolling Interest UNPUB UNPUB 0 0
Net Income/Loss Attributable To Parent UNPUB UNPUB -11,004,000 -21,813,000
Net Income/Loss Available To Common Stockholders, Basic UNPUB UNPUB -12,446,000 -26,499,000
Operating Expenses UNPUB UNPUB 4,796,000 17,714,000
Operating Income/Loss UNPUB UNPUB -8,956,000 -20,638,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic UNPUB UNPUB 1,442,000 4,686,000
Preferred Stock Dividends And Other Adjustments UNPUB UNPUB 1,442,000 4,686,000
Revenues UNPUB UNPUB 6,819,000 53,621,000
Calendar
17 May 2024 (Time UTC) Actual Previous Consensus
15:30
United States
-17800.000
15:30
United States
-60000.000
15:30
United States
53700.000
15:30
United States
-135800.000
★★
15:30
United States
4400.000
15:30
United States
215400.000
15:30
United States
-31400.000
15:30
United States
62600.000
15:30
United States
1300.000
15:30
United States
-9700.000
15:30
United States
199600.000
★★
15:30
United States
15:30
United States
15:30
United States
15:30
United States
Options
Ticker
CFI
Contract Type
Exercise Style
Share Per Contract
Strike Price
Primary Exchange
Expiration Date
O:CDMO240517P00012500 OPASPS Put American 100 12.5 BATO 2024-05-17
O:CDMO240517P00010000 OPASPS Put American 100 10 BATO 2024-05-17
O:CDMO240517P00007500 OPASPS Put American 100 7.5 BATO 2024-05-17
O:CDMO240517P00005000 OPASPS Put American 100 5 BATO 2024-05-17
O:CDMO240517P00002500 OPASPS Put American 100 2.5 BATO 2024-05-17
O:CDMO240517C00012500 OCASPS Call American 100 12.5 BATO 2024-05-17
O:CDMO240517C00010000 OCASPS Call American 100 10 BATO 2024-05-17
O:CDMO240517C00007500 OCASPS Call American 100 7.5 BATO 2024-05-17
O:CDMO240517C00005000 OCASPS Call American 100 5 BATO 2024-05-17
O:CDMO240517C00002500 OCASPS Call American 100 2.5 BATO 2024-05-17
O:CDMO240419P00025000 OPASPS Put American 100 25 BATO 2024-04-19
O:CDMO240419P00022500 OPASPS Put American 100 22.5 BATO 2024-04-19
O:CDMO240419P00020000 OPASPS Put American 100 20 BATO 2024-04-19
O:CDMO240419P00017500 OPASPS Put American 100 17.5 BATO 2024-04-19
O:CDMO240419P00015000 OPASPS Put American 100 15 BATO 2024-04-19
O:CDMO240419P00012500 OPASPS Put American 100 12.5 BATO 2024-04-19
O:CDMO240419P00010000 OPASPS Put American 100 10 BATO 2024-04-19
O:CDMO240419P00007500 OPASPS Put American 100 7.5 BATO 2024-04-19
O:CDMO240419P00005000 OPASPS Put American 100 5 BATO 2024-04-19
O:CDMO240419P00002500 OPASPS Put American 100 2.5 BATO 2024-04-19
O:CDMO240419C00025000 OCASPS Call American 100 25 BATO 2024-04-19
O:CDMO240419C00022500 OCASPS Call American 100 22.5 BATO 2024-04-19
O:CDMO240419C00020000 OCASPS Call American 100 20 BATO 2024-04-19
O:CDMO240419C00017500 OCASPS Call American 100 17.5 BATO 2024-04-19
O:CDMO240419C00015000 OCASPS Call American 100 15 BATO 2024-04-19
O:CDMO240419C00012500 OCASPS Call American 100 12.5 BATO 2024-04-19
O:CDMO240419C00010000 OCASPS Call American 100 10 BATO 2024-04-19
O:CDMO240419C00007500 OCASPS Call American 100 7.5 BATO 2024-04-19
O:CDMO240419C00005000 OCASPS Call American 100 5 BATO 2024-04-19
O:CDMO240419C00002500 OCASPS Call American 100 2.5 BATO 2024-04-19
O:CDMO240315P00012500 OPASPS Put American 100 12.5 BATO 2024-03-15
O:CDMO240315P00010000 OPASPS Put American 100 10 BATO 2024-03-15
O:CDMO240315P00007500 OPASPS Put American 100 7.5 BATO 2024-03-15
O:CDMO240315P00005000 OPASPS Put American 100 5 BATO 2024-03-15
O:CDMO240315P00002500 OPASPS Put American 100 2.5 BATO 2024-03-15
O:CDMO240315C00012500 OCASPS Call American 100 12.5 BATO 2024-03-15
O:CDMO240315C00010000 OCASPS Call American 100 10 BATO 2024-03-15
O:CDMO240315C00007500 OCASPS Call American 100 7.5 BATO 2024-03-15
O:CDMO240315C00005000 OCASPS Call American 100 5 BATO 2024-03-15
O:CDMO240315C00002500 OCASPS Call American 100 2.5 BATO 2024-03-15
O:CDMO240216P00012500 OPASPS Put American 100 12.5 BATO 2024-02-16
O:CDMO240216P00010000 OPASPS Put American 100 10 BATO 2024-02-16
O:CDMO240216P00007500 OPASPS Put American 100 7.5 BATO 2024-02-16
O:CDMO240216P00005000 OPASPS Put American 100 5 BATO 2024-02-16
O:CDMO240216P00002500 OPASPS Put American 100 2.5 BATO 2024-02-16
O:CDMO240216C00012500 OCASPS Call American 100 12.5 BATO 2024-02-16
O:CDMO240216C00010000 OCASPS Call American 100 10 BATO 2024-02-16
O:CDMO240216C00007500 OCASPS Call American 100 7.5 BATO 2024-02-16
O:CDMO240216C00005000 OCASPS Call American 100 5 BATO 2024-02-16
O:CDMO240216C00002500 OCASPS Call American 100 2.5 BATO 2024-02-16
O:CDMO240119P00035000 OPASPS Put American 100 35 BATO 2024-01-19
O:CDMO240119P00030000 OPASPS Put American 100 30 BATO 2024-01-19
O:CDMO240119P00025000 OPASPS Put American 100 25 BATO 2024-01-19
O:CDMO240119P00022500 OPASPS Put American 100 22.5 BATO 2024-01-19
O:CDMO240119P00020000 OPASPS Put American 100 20 BATO 2024-01-19
O:CDMO240119P00017500 OPASPS Put American 100 17.5 BATO 2024-01-19
O:CDMO240119P00015000 OPASPS Put American 100 15 BATO 2024-01-19
O:CDMO240119P00012500 OPASPS Put American 100 12.5 BATO 2024-01-19
O:CDMO240119P00010000 OPASPS Put American 100 10 BATO 2024-01-19
O:CDMO240119P00007500 OPASPS Put American 100 7.5 BATO 2024-01-19
O:CDMO240119P00005000 OPASPS Put American 100 5 BATO 2024-01-19
O:CDMO240119P00002500 OPASPS Put American 100 2.5 BATO 2024-01-19
O:CDMO240119C00035000 OCASPS Call American 100 35 BATO 2024-01-19
O:CDMO240119C00030000 OCASPS Call American 100 30 BATO 2024-01-19
O:CDMO240119C00025000 OCASPS Call American 100 25 BATO 2024-01-19
O:CDMO240119C00022500 OCASPS Call American 100 22.5 BATO 2024-01-19
O:CDMO240119C00020000 OCASPS Call American 100 20 BATO 2024-01-19
O:CDMO240119C00017500 OCASPS Call American 100 17.5 BATO 2024-01-19
O:CDMO240119C00015000 OCASPS Call American 100 15 BATO 2024-01-19
O:CDMO240119C00012500 OCASPS Call American 100 12.5 BATO 2024-01-19
O:CDMO240119C00010000 OCASPS Call American 100 10 BATO 2024-01-19
O:CDMO240119C00007500 OCASPS Call American 100 7.5 BATO 2024-01-19
O:CDMO240119C00005000 OCASPS Call American 100 5 BATO 2024-01-19
O:CDMO240119C00002500 OCASPS Call American 100 2.5 BATO 2024-01-19
O:CDMO231215P00015000 OPASPS Put American 100 15 BATO 2023-12-15
O:CDMO231215P00012500 OPASPS Put American 100 12.5 BATO 2023-12-15
O:CDMO231215P00010000 OPASPS Put American 100 10 BATO 2023-12-15
O:CDMO231215P00007500 OPASPS Put American 100 7.5 BATO 2023-12-15
O:CDMO231215P00005000 OPASPS Put American 100 5 BATO 2023-12-15
O:CDMO231215P00002500 OPASPS Put American 100 2.5 BATO 2023-12-15
O:CDMO231215C00015000 OCASPS Call American 100 15 BATO 2023-12-15
O:CDMO231215C00012500 OCASPS Call American 100 12.5 BATO 2023-12-15
O:CDMO231215C00010000 OCASPS Call American 100 10 BATO 2023-12-15
O:CDMO231215C00007500 OCASPS Call American 100 7.5 BATO 2023-12-15
O:CDMO231215C00005000 OCASPS Call American 100 5 BATO 2023-12-15
O:CDMO231215C00002500 OCASPS Call American 100 2.5 BATO 2023-12-15
O:CDMO231117C00017500 OCASPS Call American 100 17.5 BATO 2023-11-17
O:CDMO231117C00015000 OCASPS Call American 100 15 BATO 2023-11-17
O:CDMO231117C00012500 OCASPS Call American 100 12.5 BATO 2023-11-17
O:CDMO231117C00010000 OCASPS Call American 100 10 BATO 2023-11-17
O:CDMO231117C00007500 OCASPS Call American 100 7.5 BATO 2023-11-17
O:CDMO231117C00005000 OCASPS Call American 100 5 BATO 2023-11-17
O:CDMO231117C00002500 OCASPS Call American 100 2.5 BATO 2023-11-17
O:CDMO231117P00020000 OPASPS Put American 100 20 BATO 2023-11-17
O:CDMO231117P00017500 OPASPS Put American 100 17.5 BATO 2023-11-17
O:CDMO231117P00015000 OPASPS Put American 100 15 BATO 2023-11-17
O:CDMO231117P00012500 OPASPS Put American 100 12.5 BATO 2023-11-17
O:CDMO231117P00010000 OPASPS Put American 100 10 BATO 2023-11-17
O:CDMO231117P00007500 OPASPS Put American 100 7.5 BATO 2023-11-17
O:CDMO231117P00005000 OPASPS Put American 100 5 BATO 2023-11-17
O:CDMO231117P00002500 OPASPS Put American 100 2.5 BATO 2023-11-17
O:CDMO231117C00020000 OCASPS Call American 100 20 BATO 2023-11-17
O:CDMO231020P00035000 OPASPS Put American 100 35 BATO 2023-10-20
O:CDMO231020P00030000 OPASPS Put American 100 30 BATO 2023-10-20
O:CDMO231020P00025000 OPASPS Put American 100 25 BATO 2023-10-20
O:CDMO231020P00022500 OPASPS Put American 100 22.5 BATO 2023-10-20
O:CDMO231020P00020000 OPASPS Put American 100 20 BATO 2023-10-20
O:CDMO231020P00017500 OPASPS Put American 100 17.5 BATO 2023-10-20
O:CDMO231020P00015000 OPASPS Put American 100 15 BATO 2023-10-20
O:CDMO231020P00012500 OPASPS Put American 100 12.5 BATO 2023-10-20
O:CDMO231020P00010000 OPASPS Put American 100 10 BATO 2023-10-20
O:CDMO231020P00007500 OPASPS Put American 100 7.5 BATO 2023-10-20
O:CDMO231020P00005000 OPASPS Put American 100 5 BATO 2023-10-20
O:CDMO231020P00002500 OPASPS Put American 100 2.5 BATO 2023-10-20
O:CDMO231020C00035000 OCASPS Call American 100 35 BATO 2023-10-20
O:CDMO231020C00030000 OCASPS Call American 100 30 BATO 2023-10-20
O:CDMO231020C00025000 OCASPS Call American 100 25 BATO 2023-10-20
O:CDMO231020C00022500 OCASPS Call American 100 22.5 BATO 2023-10-20
O:CDMO231020C00020000 OCASPS Call American 100 20 BATO 2023-10-20
O:CDMO231020C00017500 OCASPS Call American 100 17.5 BATO 2023-10-20
O:CDMO231020C00015000 OCASPS Call American 100 15 BATO 2023-10-20
O:CDMO231020C00012500 OCASPS Call American 100 12.5 BATO 2023-10-20
O:CDMO231020C00010000 OCASPS Call American 100 10 BATO 2023-10-20
O:CDMO231020C00007500 OCASPS Call American 100 7.5 BATO 2023-10-20
O:CDMO231020C00005000 OCASPS Call American 100 5 BATO 2023-10-20
O:CDMO231020C00002500 OCASPS Call American 100 2.5 BATO 2023-10-20
O:CDMO230915P00025000 OPASPS Put American 100 25 BATO 2023-09-15
O:CDMO230915P00022500 OPASPS Put American 100 22.5 BATO 2023-09-15
O:CDMO230915P00020000 OPASPS Put American 100 20 BATO 2023-09-15
O:CDMO230915P00017500 OPASPS Put American 100 17.5 BATO 2023-09-15
O:CDMO230915P00015000 OPASPS Put American 100 15 BATO 2023-09-15
O:CDMO230915P00012500 OPASPS Put American 100 12.5 BATO 2023-09-15
O:CDMO230915P00010000 OPASPS Put American 100 10 BATO 2023-09-15
O:CDMO230915P00007500 OPASPS Put American 100 7.5 BATO 2023-09-15
O:CDMO230915P00005000 OPASPS Put American 100 5 BATO 2023-09-15
O:CDMO230915P00002500 OPASPS Put American 100 2.5 BATO 2023-09-15
O:CDMO230915C00025000 OCASPS Call American 100 25 BATO 2023-09-15
O:CDMO230915C00022500 OCASPS Call American 100 22.5 BATO 2023-09-15
O:CDMO230915C00020000 OCASPS Call American 100 20 BATO 2023-09-15
O:CDMO230915C00017500 OCASPS Call American 100 17.5 BATO 2023-09-15
O:CDMO230915C00015000 OCASPS Call American 100 15 BATO 2023-09-15
O:CDMO230915C00012500 OCASPS Call American 100 12.5 BATO 2023-09-15
O:CDMO230915C00010000 OCASPS Call American 100 10 BATO 2023-09-15
O:CDMO230915C00007500 OCASPS Call American 100 7.5 BATO 2023-09-15
O:CDMO230915C00005000 OCASPS Call American 100 5 BATO 2023-09-15
O:CDMO230915C00002500 OCASPS Call American 100 2.5 BATO 2023-09-15
O:CDMO230818P00030000 OPASPS Put American 100 30 BATO 2023-08-18
O:CDMO230818P00025000 OPASPS Put American 100 25 BATO 2023-08-18
O:CDMO230818P00022500 OPASPS Put American 100 22.5 BATO 2023-08-18
O:CDMO230818P00020000 OPASPS Put American 100 20 BATO 2023-08-18
O:CDMO230818P00017500 OPASPS Put American 100 17.5 BATO 2023-08-18
O:CDMO230818P00015000 OPASPS Put American 100 15 BATO 2023-08-18
O:CDMO230818P00012500 OPASPS Put American 100 12.5 BATO 2023-08-18
O:CDMO230818P00010000 OPASPS Put American 100 10 BATO 2023-08-18
O:CDMO230818P00007500 OPASPS Put American 100 7.5 BATO 2023-08-18
O:CDMO230818P00005000 OPASPS Put American 100 5 BATO 2023-08-18
O:CDMO230818P00002500 OPASPS Put American 100 2.5 BATO 2023-08-18
O:CDMO230818C00030000 OCASPS Call American 100 30 BATO 2023-08-18
O:CDMO230818C00025000 OCASPS Call American 100 25 BATO 2023-08-18
O:CDMO230818C00022500 OCASPS Call American 100 22.5 BATO 2023-08-18
O:CDMO230818C00020000 OCASPS Call American 100 20 BATO 2023-08-18
O:CDMO230818C00017500 OCASPS Call American 100 17.5 BATO 2023-08-18
O:CDMO230818C00015000 OCASPS Call American 100 15 BATO 2023-08-18
O:CDMO230818C00012500 OCASPS Call American 100 12.5 BATO 2023-08-18
O:CDMO230818C00010000 OCASPS Call American 100 10 BATO 2023-08-18
O:CDMO230818C00007500 OCASPS Call American 100 7.5 BATO 2023-08-18
O:CDMO230818C00005000 OCASPS Call American 100 5 BATO 2023-08-18
O:CDMO230818C00002500 OCASPS Call American 100 2.5 BATO 2023-08-18
News Stream
Calendar Calendar of Events
TUSTIN, Calif., May 07, 2024 (GLOBE NEWSWIRE) -- Avid Bioservices, Inc. (NASDAQ: CDMO), a dedicated biologics contract development and manufacturing organization (CDMO) working to improve patient lives by providing high quality development and manufacturing services to biotechnology and pharmaceutical companies, today announced that the company will participate at two upcoming investor conferences. Nick Green, president and chief executive officer, will be the featured speaker in a fireside chat at the RBC Capital Markets 2024 Global Healthcare Conference, and will deliver a corporate presentation at the 2024 Bank of America Securities Healthcare Conference.
GlobeNewswire Inc. • 1w ago
Stocks Earnings Releases and Operating Results
-- Recorded Third Quarter Revenue of $33.8 Million -- -- Signed $41 Million in Net New Business Resulting in Record High Backlog of $206 Million --
GlobeNewswire Inc. • 3w ago
Management Management statements
TUSTIN, Calif., March 20, 2024 (GLOBE NEWSWIRE) -- Avid Bioservices, Inc. (Nasdaq:CDMO), a dedicated biologics contract development and manufacturing organization (CDMO), announced today it received a notice (the “Notice”) on March 19, 2024 from the Listing Qualifications Department of The Nasdaq Stock Market LLC (“Nasdaq”) advising the company that it was not in compliance with Nasdaq’s continued listing requirements under Nasdaq Listing Rule 5250(c)(1) (the “Rule”) as a result of its failure to file its Quarterly Report on Form 10-Q for the fiscal quarter ended January 31, 2024 (the “Form 10-Q”) in a timely manner.
GlobeNewswire Inc. • 2mo ago
Stocks Financing Agreements
TUSTIN, Calif., March 06, 2024 (GLOBE NEWSWIRE) -- Avid Bioservices, Inc. (NASDAQ:CDMO), a dedicated biologics contract development and manufacturing organization (CDMO), announced today the pricing of $160 million aggregate principal amount of 7.00% Convertible Senior Notes due 2029 (the “2029 Notes”). In connection with the offering, the company entered into private placement purchase agreements with the several purchasers, each of whom is a “qualified institutional buyer” within the meaning of Rule 144A promulgated under the Securities Act of 1933, as amended (the “Securities Act”). The closing of the offering is subject to customary closing conditions and is expected to take place on March 12, 2024.
GlobeNewswire Inc. • 2mo ago
Stocks Changes in company's own shares
TUSTIN, Calif., March 06, 2024 (GLOBE NEWSWIRE) -- Avid Bioservices, Inc. (NASDAQ:CDMO), a dedicated biologics contract development and manufacturing organization (CDMO), announced today that it intends to offer, subject to market conditions and other factors, $160 million aggregate principal amount of Convertible Senior Notes due 2029 (the “2029 Notes”) in a private placement (the “Offering”) to persons reasonably believed to be qualified institutional buyers pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended (the “Securities Act”). The company expects to price the Offering before open of market on March 7, 2024.
GlobeNewswire Inc. • 2mo ago
News Pre-Release Comments
TUSTIN, Calif., March 06, 2024 (GLOBE NEWSWIRE) -- Avid Bioservices, Inc. (NASDAQ:CDMO), a dedicated biologics contract development and manufacturing organization (CDMO) working to improve patient lives by providing high quality development and manufacturing services to biotechnology and pharmaceutical companies, today announced preliminary earnings estimates for the third quarter and nine months ended January 31, 2024.
GlobeNewswire Inc. • 2mo ago
News News
Avid Bioservices (CDMO) delivered earnings and revenue surprises of -33.33% and 24.31%, respectively, for the quarter ended October 2023. Do the numbers hold clues to what lies ahead for the stock?
Zacks Investment Research • 5mo ago
Stocks Earnings Releases and Operating Results
-- Recorded Second Quarter Revenue of $25.4 Million -- -- Signed $35 Million in Net New Business Orders Resulting in a Backlog of $199 Million --
GlobeNewswire Inc. • 5mo ago
News News
Avid Bioservices (CDMO) is technically in oversold territory now, so the heavy selling pressure might have exhausted. This along with strong agreement among Wall Street analysts in raising earnings estimates could lead to a trend reversal for the stock.
Zacks Investment Research • 5mo ago
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