PROFIRE ENERGY INCPFIE

Market cap
$117.35M
P/E ratio
13.1x
Mar 31,
2012
Mar 31,
2013
Mar 31,
2014
Mar 31,
2015
Mar 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Net income315,607,3095,747,68334,744462-2,175,597-1,051,543411
Depreciation and amortization expense-----889,724896,68111111
Gain on sale of property and equipment---2,867--------268,817
Bad debt expense46,20369,9756057,577-143,192262,766186,882315,256184,29315,97977,704488,420
Stock awards issued for services80,530166,187-1,433,984-1,280,785-678,971841,1661390,826443,127567,077814,7691
Accounts receivable2-1,494,660-3,264,108-912,6065,114,4853-911,981-1,965,207-2,268,435353
Income taxes receivable/payable-----171,397-665,649-404,345-101,990765,6502
Inventories703,223-1,528,107-3,249,235-5,472,869641,410-1,346,9193-1,630,632-1,216,200-1,247,00434
Prepaid expenses and other current assets9,3418,218-30,296-80,770-171,41149,92314,3011-157,053-705,5751480,308
Deferred tax asset/liability-----49,490-11,876-12,275524,36783,595-524,791512,274-933,969
Accounts payable and accrued liabilities498,981736,341-77,785302,782-148,9212-92,2071-2,378,19713653,728
Net Cash Provided by Operating Activities2-370,5922,027,273685,0807,332,933868264,400648,927516,0777
Proceeds from sale of property and equipment---------177,851520,068354,840
Sale (purchase) of investments-----334,910-140,356-1,494,568-2,799,547826,827-91,601393,057
Purchase of property and equipment1550,6222,659,2956,167,94562,465611,060252168,527601,0121
Net Cash Provided by (Used in) Investing Activities-1,487,628-536,852-2,625,385-6,910,07896,176-805,508-1,568,487-7,437,4412-817,50310,657-1,266,492
Value of equity awards surrendered by employees for tax liability------43,139-737,024-242,497-154,659-46,873-145,930-605,996
Proceeds from Stock Options Exercised--4,332,975327,961-111,676174,0029,3562,0206,05333,863177,281
Purchase of treasury stock-----353-754,57412
Principal paid towards lease liability-------73,62857,79640,74534,21437,855
Net Cash Used in Financing Activities--4,451,48716,752,649-39,342-3,239,007-5,233,156-3,050,303-210,435-836,139-1,375,011-2,454,519
Effect of exchange rate changes on cash----------44,58539,902
NET INCREASE (DECREASE) IN CASH--------2,743,0762-960,042-803,6923
Interest-------6,4976,0903,20517,7269,450
Income taxes----------847,7121
Common stock issued in settlement of accrued bonuses--------419,373-212,788378,526