US Stock MarketDetailed Quotes

AIRS Airsculpt Technologies

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  • 2.990
  • +0.160+5.65%
Close May 9 16:00 ET
  • 2.960
  • -0.030-1.00%
Post 20:01 ET
175.75MMarket Cap-10.31P/E (TTM)

Airsculpt Technologies 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
-74.21%868K
-52.62%11.35M
-44.15%2.71M
180.03%1.84M
-71.87%3.44M
-45.89%3.37M
-2.01%23.96M
-27.03%4.85M
99.39%656K
17.68%12.24M
Net income from continuing operations
-147.22%-2.85M
-84.22%-8.25M
-10.06%-5.03M
-262.33%-6.04M
-280.52%-3.21M
43,164.29%6.03M
69.49%-4.48M
36.40%-4.57M
77.40%-1.67M
204.63%1.78M
Operating gains losses
----
107.55%16K
185.71%12K
--0
----
----
-119.65%-212K
-101.62%-14K
133.33%4K
----
Depreciation and amortization
15.58%3.24M
15.95%11.89M
15.80%3.19M
13.58%3.01M
14.76%2.89M
20.08%2.81M
27.19%10.25M
24.06%2.75M
32.90%2.65M
28.13%2.51M
Deferred tax
----
-118.78%-252K
----
----
----
----
18.34%1.34M
----
----
----
Other non cash items
30.86%106K
63.77%339K
118.61%102K
-68.78%74K
-68.34%82K
-68.73%81K
-77.52%207K
-354.88%-548K
5.80%237K
-5.47%259K
Change In working capital
-170.84%-872K
379.04%3.85M
110.72%2.46M
126.69%1.36M
-136.40%-1.2M
264.13%1.23M
9.63%-1.38M
-38.76%1.17M
-171.71%-5.08M
4,167.53%3.29M
-Change in receivables
-117.21%-308K
-225.28%-1.12M
-111.71%-284K
141.63%676K
---3.3M
1,934.09%1.79M
131.44%890K
185.69%2.43M
---1.62M
--0
-Change in prepaid assets
-400.00%-555K
-541.85%-2.06M
-227.15%-1.68M
5,820.27%4.23M
-856.04%-4.51M
-124.34%-111K
9,420.00%466K
75.43%-512K
-105.93%-74K
708.16%596K
-Change in payables and accrued expense
-174.95%-2.88M
321.57%8.33M
319.97%3.11M
41.72%-1.29M
1,123.99%7.55M
-136.91%-1.05M
-78.14%1.98M
-87.20%741K
-446.41%-2.22M
-59.88%617K
-Change in other current assets
8,630.43%2.01M
73.49%-1.01M
278.40%2.48M
-337.48%-3.66M
-91.15%150K
100.41%23K
47.57%-3.81M
-255.89%-1.39M
145.74%1.54M
208.31%1.69M
-Change in other working capital
49.39%859K
67.30%-293K
-1,074.00%-1.17M
151.74%1.4M
-388.92%-1.1M
-62.49%575K
-98.23%-896K
-172.99%-100K
-601.55%-2.71M
88.56%379K
Cash from discontinued investing activities
Operating cash flow
-74.21%868K
-52.62%11.35M
-44.25%2.71M
188.19%1.83M
-71.87%3.44M
-45.89%3.37M
-2.01%23.96M
-26.72%4.87M
93.01%635K
17.68%12.24M
Investing cash flow
Cash flow from continuing investing activities
-21.70%-1.9M
-41.21%-14.01M
-93.10%-3.53M
-131.52%-4.9M
-85.93%-4.02M
59.06%-1.56M
23.23%-9.92M
16.77%-1.83M
53.87%-2.12M
-15.87%-2.16M
Net PPE purchase and sale
-21.70%-1.9M
-41.21%-14.01M
-93.10%-3.53M
-131.52%-4.9M
-85.93%-4.02M
59.06%-1.56M
23.23%-9.92M
16.77%-1.83M
53.87%-2.12M
-15.87%-2.16M
Cash from discontinued investing activities
Investing cash flow
-21.70%-1.9M
-41.21%-14.01M
-93.10%-3.53M
-131.52%-4.9M
-85.93%-4.02M
59.06%-1.56M
23.23%-9.92M
16.77%-1.83M
53.87%-2.12M
-15.87%-2.16M
Financing cash flow
Cash flow from continuing financing activities
-50.46%-1.65M
104.70%630K
314.20%3.08M
92.24%-825K
8.98%-527K
-48.71%-1.1M
50.87%-13.39M
40.84%-1.44M
54.53%-10.64M
-13.75%-579K
Net issuance payments of debt
-100.19%-1.06M
123.71%2.88M
941.62%4.47M
94.96%-531K
0.00%-532K
0.00%-531K
-1,495.39%-12.13M
-331.71%-531K
-4,867.45%-10.53M
-150.94%-532K
Cash dividends paid
--0
45.69%-252K
-32.96%-238K
--0
98.73%-1K
93.69%-13K
98.09%-464K
48.56%-179K
--0
73.40%-79K
Net other financing activities
-6.16%-586K
-148.50%-1.99M
-58.60%-1.15M
-174.77%-294K
--6K
---552K
63.18%-802K
62.87%-727K
---107K
----
Cash from discontinued financing activities
Financing cash flow
-50.46%-1.65M
104.70%630K
314.20%3.08M
92.24%-825K
8.98%-527K
-48.71%-1.1M
50.87%-13.39M
40.84%-1.44M
54.53%-10.64M
-13.75%-579K
Net cash flow
Beginning cash position
-19.75%8.24M
6.72%10.26M
-31.04%5.97M
-52.52%9.87M
-2.78%10.97M
6.72%10.26M
-62.06%9.62M
13.95%8.66M
-41.06%20.78M
-58.56%11.28M
Current changes in cash
-479.35%-2.68M
-413.78%-2.03M
41.26%2.26M
67.87%-3.89M
-111.62%-1.1M
-57.59%707K
104.11%646K
-20.54%1.6M
56.17%-12.12M
18.34%9.5M
End cash Position
-49.38%5.55M
-19.75%8.24M
-19.75%8.24M
-31.04%5.97M
-52.52%9.87M
-2.78%10.97M
6.72%10.26M
6.72%10.26M
13.95%8.66M
-41.06%20.78M
Free cash flow
-157.29%-1.03M
-118.93%-2.66M
-126.82%-815K
-107.22%-3.07M
-105.72%-576K
-25.00%1.8M
21.79%14.04M
-31.63%3.04M
65.22%-1.48M
18.07%10.08M
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
--
--
--
--
--
--
--
--
(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 -74.21%868K-52.62%11.35M-44.15%2.71M180.03%1.84M-71.87%3.44M-45.89%3.37M-2.01%23.96M-27.03%4.85M99.39%656K17.68%12.24M
Net income from continuing operations -147.22%-2.85M-84.22%-8.25M-10.06%-5.03M-262.33%-6.04M-280.52%-3.21M43,164.29%6.03M69.49%-4.48M36.40%-4.57M77.40%-1.67M204.63%1.78M
Operating gains losses ----107.55%16K185.71%12K--0---------119.65%-212K-101.62%-14K133.33%4K----
Depreciation and amortization 15.58%3.24M15.95%11.89M15.80%3.19M13.58%3.01M14.76%2.89M20.08%2.81M27.19%10.25M24.06%2.75M32.90%2.65M28.13%2.51M
Deferred tax -----118.78%-252K----------------18.34%1.34M------------
Other non cash items 30.86%106K63.77%339K118.61%102K-68.78%74K-68.34%82K-68.73%81K-77.52%207K-354.88%-548K5.80%237K-5.47%259K
Change In working capital -170.84%-872K379.04%3.85M110.72%2.46M126.69%1.36M-136.40%-1.2M264.13%1.23M9.63%-1.38M-38.76%1.17M-171.71%-5.08M4,167.53%3.29M
-Change in receivables -117.21%-308K-225.28%-1.12M-111.71%-284K141.63%676K---3.3M1,934.09%1.79M131.44%890K185.69%2.43M---1.62M--0
-Change in prepaid assets -400.00%-555K-541.85%-2.06M-227.15%-1.68M5,820.27%4.23M-856.04%-4.51M-124.34%-111K9,420.00%466K75.43%-512K-105.93%-74K708.16%596K
-Change in payables and accrued expense -174.95%-2.88M321.57%8.33M319.97%3.11M41.72%-1.29M1,123.99%7.55M-136.91%-1.05M-78.14%1.98M-87.20%741K-446.41%-2.22M-59.88%617K
-Change in other current assets 8,630.43%2.01M73.49%-1.01M278.40%2.48M-337.48%-3.66M-91.15%150K100.41%23K47.57%-3.81M-255.89%-1.39M145.74%1.54M208.31%1.69M
-Change in other working capital 49.39%859K67.30%-293K-1,074.00%-1.17M151.74%1.4M-388.92%-1.1M-62.49%575K-98.23%-896K-172.99%-100K-601.55%-2.71M88.56%379K
Cash from discontinued investing activities
Operating cash flow -74.21%868K-52.62%11.35M-44.25%2.71M188.19%1.83M-71.87%3.44M-45.89%3.37M-2.01%23.96M-26.72%4.87M93.01%635K17.68%12.24M
Investing cash flow
Cash flow from continuing investing activities -21.70%-1.9M-41.21%-14.01M-93.10%-3.53M-131.52%-4.9M-85.93%-4.02M59.06%-1.56M23.23%-9.92M16.77%-1.83M53.87%-2.12M-15.87%-2.16M
Net PPE purchase and sale -21.70%-1.9M-41.21%-14.01M-93.10%-3.53M-131.52%-4.9M-85.93%-4.02M59.06%-1.56M23.23%-9.92M16.77%-1.83M53.87%-2.12M-15.87%-2.16M
Cash from discontinued investing activities
Investing cash flow -21.70%-1.9M-41.21%-14.01M-93.10%-3.53M-131.52%-4.9M-85.93%-4.02M59.06%-1.56M23.23%-9.92M16.77%-1.83M53.87%-2.12M-15.87%-2.16M
Financing cash flow
Cash flow from continuing financing activities -50.46%-1.65M104.70%630K314.20%3.08M92.24%-825K8.98%-527K-48.71%-1.1M50.87%-13.39M40.84%-1.44M54.53%-10.64M-13.75%-579K
Net issuance payments of debt -100.19%-1.06M123.71%2.88M941.62%4.47M94.96%-531K0.00%-532K0.00%-531K-1,495.39%-12.13M-331.71%-531K-4,867.45%-10.53M-150.94%-532K
Cash dividends paid --045.69%-252K-32.96%-238K--098.73%-1K93.69%-13K98.09%-464K48.56%-179K--073.40%-79K
Net other financing activities -6.16%-586K-148.50%-1.99M-58.60%-1.15M-174.77%-294K--6K---552K63.18%-802K62.87%-727K---107K----
Cash from discontinued financing activities
Financing cash flow -50.46%-1.65M104.70%630K314.20%3.08M92.24%-825K8.98%-527K-48.71%-1.1M50.87%-13.39M40.84%-1.44M54.53%-10.64M-13.75%-579K
Net cash flow
Beginning cash position -19.75%8.24M6.72%10.26M-31.04%5.97M-52.52%9.87M-2.78%10.97M6.72%10.26M-62.06%9.62M13.95%8.66M-41.06%20.78M-58.56%11.28M
Current changes in cash -479.35%-2.68M-413.78%-2.03M41.26%2.26M67.87%-3.89M-111.62%-1.1M-57.59%707K104.11%646K-20.54%1.6M56.17%-12.12M18.34%9.5M
End cash Position -49.38%5.55M-19.75%8.24M-19.75%8.24M-31.04%5.97M-52.52%9.87M-2.78%10.97M6.72%10.26M6.72%10.26M13.95%8.66M-41.06%20.78M
Free cash flow -157.29%-1.03M-118.93%-2.66M-126.82%-815K-107.22%-3.07M-105.72%-576K-25.00%1.8M21.79%14.04M-31.63%3.04M65.22%-1.48M18.07%10.08M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

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