Qad Inc (QADA)

87.63  -0.16 (-0.18%)

After market: 87.76 +0.13 (+0.15%)

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MRQ
(2021-7-31)
2021
(2021-1-31)
2020
(2020-1-31)
2019
(2019-1-31)
2018
(2018-1-31)
ASSETS
Current Assets
Cash Equivalents
136.49M142.50M136.70M139.40M147.00M
Marketable Securities
N/AN/AN/A1.20MN/A
Receivables
53.70M86.40M84.70M83.90M83.70M
Other Current Assets
20.32M19.10M21.20M19.80M15.60M
Total Current Assets
210.51M248.00M242.60M244.30M246.40M
 
Non-Current Assets
PPE Net
42.41M46.60M47.00M29.60M30.40M
Intangibles
10.23M10.30M2.90M2.80M1.00M
Other Non-Current Assets
27.29M20.40M17.60M28.00M11.00M
Total Non-Current Assets
112.12M102.80M80.20M72.90M53.40M
 
TOTAL ASSETS
322.63M350.80M322.80M317.20M299.80M
 
LIABILITIES
Current Liabilities
Short Term Debt
0.000.000.000.000.00
Current Portion Of LT Debt.
12.31M600.00K600.00K500.00K500.00K
Accrued Expenses
4.76M41.60M43.00M39.60M45.10M
Accounts Payable
7.54M5.70M6.20M6.50M9.30M
Other Current Liabilities
152.34M131.50M123.30M119.40M120.50M
Total Current Liabilities
176.96M179.50M173.00M166.00M175.40M
 
Non-Current Liabilities
Long Term Debt
0.0012.00M12.40M12.80M13.30M
Deferred Taxes/Income
N/AN/AN/AN/AN/A
Other Non-Current Liabilities
29.17M29.80M21.30M5.10M5.40M
Total Non-Current Liabilities
29.17M41.80M33.70M17.90M18.80M
 
TOTAL LIABILITIES
206.13M221.30M206.70M183.90M194.20M
 
SHAREHOLDERS' EQUITY
Retained Earnings
-72.34M-64.90M-70.20M-48.50M-75.60M
Additional Paid In Capital
200.46M205.60M197.80M196.70M200.50M
Common Shares
21.00K0.000.000.000.00
Treasury Stock
-2.83M-3.10M-3.20M-7.40M-12.50M
Other Shareholders' Equity
-8.81M-8.20M-8.30M-7.70M-6.80M
Shares Outstanding
21.01M20.70M20.40M19.60M19.20M
Tangible Book Value per Share
3.534.534.946.024.88
Total Shareholders' Equity
116.50M129.50M116.10M133.20M105.60M
 
TOTAL LIABILITIES AND EQUITY
322.63M350.80M322.80M317.20M299.80M
 
Statistics
Debt/Equity
N/A0.090.110.100.13
Current Ratio
1.191.381.401.471.40
Return On Assets (ROA)
2.14%3.16%-4.93%3.28%-3.04%
Return On Equity (ROE)
5.94%8.57%-13.70%7.81%-8.62%
Return On Invested Capital (ROIC)
3.43%5.86%N/A5.02%N/A
Return On Invested Capital Ex Cash (ROICexc)
54.42%34.84%N/A71.55%N/A
Return On Invested Capital Ex Cash + Goodwill (ROICexcg)
N/A54.23%N/A97.23%N/A

All data in USD

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