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LSPD Lightspeed Commerce Inc

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  • 13.490
  • -0.360-2.60%
15min DelayMarket Closed Apr 30 16:00 ET
1.97BMarket Cap-11.72P/E (TTM)

Lightspeed Commerce Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
114.95%2.72M
54.48%-11.31M
45.45%-14.23M
22.04%-97.67M
31.38%-28.54M
31.14%-18.2M
-4.14%-24.85M
21.92%-26.09M
-43.64%-125.28M
-266.66%-41.59M
Net income from continuing operations
33.91%-26.59M
30.21%-29.66M
28.11%-35.01M
84.68%-163.96M
56.30%-32.54M
95.06%-40.23M
46.85%-42.49M
51.68%-48.7M
-270.97%-1.07B
34.97%-74.47M
Operating gains losses
27.78%92K
102.10%5K
-99.07%3K
-216.00%-116K
-644.00%-272K
130.00%72K
-761.11%-238K
26.77%322K
1,900.00%100K
118.73%50K
Depreciation and amortization
-7.36%25.21M
-4.78%25.83M
-6.85%26.26M
-4.89%109.63M
-4.55%27.09M
-5.51%27.22M
-6.24%27.13M
-3.27%28.19M
10.25%115.26M
-5.31%28.38M
Asset impairment expenditure
----
----
----
--0
----
----
----
----
--748.71M
--0
Remuneration paid in stock
-37.73%13.33M
-22.87%18.33M
-44.18%11.33M
-54.03%77.87M
-58.66%12.41M
-45.18%21.4M
-48.56%23.77M
-62.51%20.29M
10.02%169.39M
-50.66%30.02M
Deferred tax
120.57%109K
-174.85%-372K
176.53%300K
95.17%-323K
127.72%102K
62.91%-530K
119.58%497K
83.34%-392K
76.13%-6.69M
-126.34%-368K
Other non cashItems
23.04%-8.39M
11.19%-9.54M
1.89%-10.17M
-71.41%-42.53M
---10.52M
---10.9M
-121.52%-10.75M
-416.29%-10.36M
-730.39%-24.81M
----
Change In working capital
93.12%-1.05M
30.11%-15.91M
55.00%-6.95M
-36.68%-78.23M
-59.52%-24.8M
16.37%-15.22M
-94.53%-22.76M
-31.04%-15.44M
-117.75%-57.23M
-226.98%-15.55M
-Change in receivables
163.31%5.28M
78.06%-1.94M
13.84%15.58M
36.78%-7.57M
-152.58%-4.06M
9.89%-8.34M
-60.49%-8.85M
378.03%13.68M
-122.27%-11.97M
35.21%7.72M
-Change in inventory
732.34%3.38M
70.73%-998K
2.54%-1.76M
31.06%-3.65M
177.97%2.1M
-311.54%-535K
-137.13%-3.41M
-74.88%-1.81M
11.19%-5.3M
12.55%-2.7M
-Change in payables and accrued expense
-107.96%-428K
-27.11%6.85M
68.06%-3.83M
38.69%-5.4M
-599.39%-8.19M
326.03%5.38M
7,676.61%9.4M
-50.79%-11.99M
-211.30%-8.81M
-85.88%1.64M
-Change in other current assets
-38.87%-10.19M
136.22%1.94M
17.28%-3.26M
-57.81%-15.76M
116.47%863K
-43.51%-7.34M
-241.84%-5.34M
-304.04%-3.94M
60.07%-9.99M
-116.71%-5.24M
-Change in other current liabilities
-102.35%-20K
872.34%363K
-173.62%-173K
68.42%32K
-675.43%-1.01M
1,265.75%851K
17.54%-47K
1,003.85%235K
100.79%19K
--175K
-Change in other working capital
117.76%930K
-52.43%-22.12M
-16.20%-13.5M
-116.53%-45.88M
15.35%-14.52M
-317.88%-5.24M
-382.67%-14.51M
-5,380.45%-11.62M
-565.44%-21.19M
-707.01%-17.15M
Cash from discontinued investing activities
Operating cash flow
114.95%2.72M
54.48%-11.31M
45.45%-14.23M
22.04%-97.67M
31.38%-28.54M
31.14%-18.2M
-4.14%-24.85M
21.92%-26.09M
-43.64%-125.28M
-266.66%-41.59M
Investing cash flow
Cash flow from continuing investing activities
-56.07%3.01M
-129.04%-2.28M
-3.81%6.87M
194.32%25.95M
-31.06%4.1M
113.86%6.85M
323.91%7.86M
425.78%7.14M
101.56%8.82M
3,091.46%5.95M
Net PPE purchase and sale
58.90%-938K
-25.74%-1.06M
20.84%-847K
18.65%-7.51M
-64.43%-3.32M
-13.82%-2.28M
60.54%-839K
65.26%-1.07M
13.39%-9.23M
-5.83%-2.02M
Net intangibles purchas and sale
-100.89%-5.18M
-69.26%-4.83M
-43.06%-3.27M
-174.22%-10.68M
-94.73%-2.96M
-194.07%-2.58M
-219.11%-2.86M
-278.94%-2.29M
---3.89M
---1.52M
Net business purchase and sale
---107K
----
----
----
----
--0
----
----
----
----
Net investment purchase and sale
----
----
----
--0
----
----
----
----
---1.52M
---263K
Interest received (cash flow from investment activities)
-21.14%9.24M
-10.70%10.31M
4.66%10.99M
88.15%44.13M
6.42%10.38M
79.59%11.71M
136.97%11.55M
354.18%10.5M
303.94%23.46M
478.69%9.75M
Cash from discontinued investing activities
Investing cash flow
-56.07%3.01M
-129.04%-2.28M
-3.81%6.87M
194.32%25.95M
-31.06%4.1M
113.86%6.85M
323.91%7.86M
425.78%7.14M
101.56%8.82M
3,091.46%5.95M
Financing cash flow
Cash flow from continuing financing activities
-20.35%-1.77M
-31.25%-1.95M
-4,308.43%-40.78M
82.42%-6.23M
1.22%-2.35M
38.69%-1.47M
94.85%-1.49M
48.90%-925K
-104.44%-35.41M
-38.54%-2.38M
Net issuance payments of debt
-2.40%-2.01M
-18.92%-2.19M
-3.63%-2.14M
78.83%-8.23M
4.10%-2.36M
14.83%-1.96M
94.26%-1.84M
1.24%-2.07M
-459.12%-38.87M
-32.24%-2.47M
Net common stock issuance
--0
--0
---39.95M
----
----
--0
--0
--0
----
----
Proceeds from stock option exercised by employees
-54.75%238K
-36.98%242K
10.85%1.35M
-54.48%2.14M
-95.88%17K
99.24%526K
-88.97%384K
120.47%1.22M
-73.08%4.71M
-27.42%413K
Net other financing activities
97.30%-1K
86.67%-4K
47.37%-40K
88.57%-143K
--0
89.75%-37K
89.86%-30K
71.85%-76K
96.53%-1.25M
22.86%-324K
Cash from discontinued financing activities
Financing cash flow
-20.35%-1.77M
-31.25%-1.95M
-4,308.43%-40.78M
82.42%-6.23M
1.22%-2.35M
38.69%-1.47M
94.85%-1.49M
48.90%-925K
-104.44%-35.41M
-38.54%-2.38M
Net cash flow
Beginning cash position
-13.46%659.02M
-13.63%673.95M
-9.75%722.1M
-16.10%800.15M
-10.58%749.41M
-11.72%761.49M
-14.70%780.28M
-16.10%800.15M
18.15%953.65M
-13.30%838.12M
Current changes in cash
130.91%3.96M
15.89%-15.54M
-142.24%-48.14M
48.68%-77.94M
29.55%-26.78M
49.98%-12.81M
63.65%-18.48M
46.88%-19.87M
-203.38%-151.88M
-186.74%-38.01M
Effect of exchange rate changes
-293.29%-1.41M
297.10%611K
-300.00%-12K
93.28%-109K
-1,243.48%-526K
-37.01%730K
77.50%-310K
99.79%-3K
-301.49%-1.62M
-81.67%46K
End cash Position
-11.72%661.57M
-13.46%659.02M
-13.63%673.95M
-9.75%722.1M
-9.75%722.1M
-10.58%749.41M
-11.72%761.49M
-14.70%780.28M
-16.10%800.15M
-16.10%800.15M
Free cash from
85.26%-3.4M
39.74%-17.2M
37.68%-18.35M
16.30%-115.85M
22.86%-34.81M
21.33%-23.06M
-6.18%-28.54M
20.63%-29.45M
-41.42%-138.41M
-240.62%-45.12M
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
--
(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 114.95%2.72M54.48%-11.31M45.45%-14.23M22.04%-97.67M31.38%-28.54M31.14%-18.2M-4.14%-24.85M21.92%-26.09M-43.64%-125.28M-266.66%-41.59M
Net income from continuing operations 33.91%-26.59M30.21%-29.66M28.11%-35.01M84.68%-163.96M56.30%-32.54M95.06%-40.23M46.85%-42.49M51.68%-48.7M-270.97%-1.07B34.97%-74.47M
Operating gains losses 27.78%92K102.10%5K-99.07%3K-216.00%-116K-644.00%-272K130.00%72K-761.11%-238K26.77%322K1,900.00%100K118.73%50K
Depreciation and amortization -7.36%25.21M-4.78%25.83M-6.85%26.26M-4.89%109.63M-4.55%27.09M-5.51%27.22M-6.24%27.13M-3.27%28.19M10.25%115.26M-5.31%28.38M
Asset impairment expenditure --------------0------------------748.71M--0
Remuneration paid in stock -37.73%13.33M-22.87%18.33M-44.18%11.33M-54.03%77.87M-58.66%12.41M-45.18%21.4M-48.56%23.77M-62.51%20.29M10.02%169.39M-50.66%30.02M
Deferred tax 120.57%109K-174.85%-372K176.53%300K95.17%-323K127.72%102K62.91%-530K119.58%497K83.34%-392K76.13%-6.69M-126.34%-368K
Other non cashItems 23.04%-8.39M11.19%-9.54M1.89%-10.17M-71.41%-42.53M---10.52M---10.9M-121.52%-10.75M-416.29%-10.36M-730.39%-24.81M----
Change In working capital 93.12%-1.05M30.11%-15.91M55.00%-6.95M-36.68%-78.23M-59.52%-24.8M16.37%-15.22M-94.53%-22.76M-31.04%-15.44M-117.75%-57.23M-226.98%-15.55M
-Change in receivables 163.31%5.28M78.06%-1.94M13.84%15.58M36.78%-7.57M-152.58%-4.06M9.89%-8.34M-60.49%-8.85M378.03%13.68M-122.27%-11.97M35.21%7.72M
-Change in inventory 732.34%3.38M70.73%-998K2.54%-1.76M31.06%-3.65M177.97%2.1M-311.54%-535K-137.13%-3.41M-74.88%-1.81M11.19%-5.3M12.55%-2.7M
-Change in payables and accrued expense -107.96%-428K-27.11%6.85M68.06%-3.83M38.69%-5.4M-599.39%-8.19M326.03%5.38M7,676.61%9.4M-50.79%-11.99M-211.30%-8.81M-85.88%1.64M
-Change in other current assets -38.87%-10.19M136.22%1.94M17.28%-3.26M-57.81%-15.76M116.47%863K-43.51%-7.34M-241.84%-5.34M-304.04%-3.94M60.07%-9.99M-116.71%-5.24M
-Change in other current liabilities -102.35%-20K872.34%363K-173.62%-173K68.42%32K-675.43%-1.01M1,265.75%851K17.54%-47K1,003.85%235K100.79%19K--175K
-Change in other working capital 117.76%930K-52.43%-22.12M-16.20%-13.5M-116.53%-45.88M15.35%-14.52M-317.88%-5.24M-382.67%-14.51M-5,380.45%-11.62M-565.44%-21.19M-707.01%-17.15M
Cash from discontinued investing activities
Operating cash flow 114.95%2.72M54.48%-11.31M45.45%-14.23M22.04%-97.67M31.38%-28.54M31.14%-18.2M-4.14%-24.85M21.92%-26.09M-43.64%-125.28M-266.66%-41.59M
Investing cash flow
Cash flow from continuing investing activities -56.07%3.01M-129.04%-2.28M-3.81%6.87M194.32%25.95M-31.06%4.1M113.86%6.85M323.91%7.86M425.78%7.14M101.56%8.82M3,091.46%5.95M
Net PPE purchase and sale 58.90%-938K-25.74%-1.06M20.84%-847K18.65%-7.51M-64.43%-3.32M-13.82%-2.28M60.54%-839K65.26%-1.07M13.39%-9.23M-5.83%-2.02M
Net intangibles purchas and sale -100.89%-5.18M-69.26%-4.83M-43.06%-3.27M-174.22%-10.68M-94.73%-2.96M-194.07%-2.58M-219.11%-2.86M-278.94%-2.29M---3.89M---1.52M
Net business purchase and sale ---107K------------------0----------------
Net investment purchase and sale --------------0-------------------1.52M---263K
Interest received (cash flow from investment activities) -21.14%9.24M-10.70%10.31M4.66%10.99M88.15%44.13M6.42%10.38M79.59%11.71M136.97%11.55M354.18%10.5M303.94%23.46M478.69%9.75M
Cash from discontinued investing activities
Investing cash flow -56.07%3.01M-129.04%-2.28M-3.81%6.87M194.32%25.95M-31.06%4.1M113.86%6.85M323.91%7.86M425.78%7.14M101.56%8.82M3,091.46%5.95M
Financing cash flow
Cash flow from continuing financing activities -20.35%-1.77M-31.25%-1.95M-4,308.43%-40.78M82.42%-6.23M1.22%-2.35M38.69%-1.47M94.85%-1.49M48.90%-925K-104.44%-35.41M-38.54%-2.38M
Net issuance payments of debt -2.40%-2.01M-18.92%-2.19M-3.63%-2.14M78.83%-8.23M4.10%-2.36M14.83%-1.96M94.26%-1.84M1.24%-2.07M-459.12%-38.87M-32.24%-2.47M
Net common stock issuance --0--0---39.95M----------0--0--0--------
Proceeds from stock option exercised by employees -54.75%238K-36.98%242K10.85%1.35M-54.48%2.14M-95.88%17K99.24%526K-88.97%384K120.47%1.22M-73.08%4.71M-27.42%413K
Net other financing activities 97.30%-1K86.67%-4K47.37%-40K88.57%-143K--089.75%-37K89.86%-30K71.85%-76K96.53%-1.25M22.86%-324K
Cash from discontinued financing activities
Financing cash flow -20.35%-1.77M-31.25%-1.95M-4,308.43%-40.78M82.42%-6.23M1.22%-2.35M38.69%-1.47M94.85%-1.49M48.90%-925K-104.44%-35.41M-38.54%-2.38M
Net cash flow
Beginning cash position -13.46%659.02M-13.63%673.95M-9.75%722.1M-16.10%800.15M-10.58%749.41M-11.72%761.49M-14.70%780.28M-16.10%800.15M18.15%953.65M-13.30%838.12M
Current changes in cash 130.91%3.96M15.89%-15.54M-142.24%-48.14M48.68%-77.94M29.55%-26.78M49.98%-12.81M63.65%-18.48M46.88%-19.87M-203.38%-151.88M-186.74%-38.01M
Effect of exchange rate changes -293.29%-1.41M297.10%611K-300.00%-12K93.28%-109K-1,243.48%-526K-37.01%730K77.50%-310K99.79%-3K-301.49%-1.62M-81.67%46K
End cash Position -11.72%661.57M-13.46%659.02M-13.63%673.95M-9.75%722.1M-9.75%722.1M-10.58%749.41M-11.72%761.49M-14.70%780.28M-16.10%800.15M-16.10%800.15M
Free cash from 85.26%-3.4M39.74%-17.2M37.68%-18.35M16.30%-115.85M22.86%-34.81M21.33%-23.06M-6.18%-28.54M20.63%-29.45M-41.42%-138.41M-240.62%-45.12M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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