Non Invasive Monitoring Systems NIMUD Cash Flow Statement (2010-2025)

NIMUD
$10.00 +0.00 (+0.00%)
At close: Aug 31, 2026 · 4:00 PM EDT
Reported Financials

Non Invasive Monitoring Systems Quarterly Cash Flow Statement

Periods 61 quarters
Latest Oct 2025

Non Invasive Monitoring Systems reported cash from operations of -$22000.00 and free cash flow of -$22000.00 for the quarter ended Oct 2025, up 66.2% year over year. This cash flow statement covers 61 quarters of results from Oct 2010 through Oct 2025, standardized by Business Quant from the company’s SEC filings.

Cash Flow Statement Oct2010 Jan2011 Apr2011 Jul2011 Oct2011 Jan2012 Apr2012 Jul2012 Oct2012 Jan2013 Apr2013 Jul2013 Oct2013 Jan2014 Apr2014 Jul2014 Oct2014 Jan2015 Apr2015 Jul2015 Oct2015 Jan2016 Apr2016 Jul2016 Oct2016 Jan2017 Apr2017 Jul2017 Oct2017 Jan2018 Apr2018 Jul2018 Oct2018 Jan2019 Apr2019 Jul2019 Oct2019 Jan2020 Apr2020 Jul2020 Oct2020 Jan2021 Apr2021 Jul2021 Oct2021 Jan2022 Apr2022 Jul2022 Oct2022 Jan2023 Apr2023 Jul2023 Oct2023 Jan2024 Apr2024 Jul2024 Oct2024 Jan2025 Apr2025 Jul2025 Oct2025
Operating Activities
Net Income
-39000.00-29000.00-31000.00-58000.00-41000.00-35000.00-39000.00-71000.00-48000.00-39000.00-41000.00-88000.00-54000.00-44000.0073,000.00-77000.00-42000.00-42000.00-61000.00-42000.00
Share-based CompensationStock Comp.
Cash from Discontinued OperationsCash from Discont. Ops
Asset Writedowns and ImpairmentWritedown
Cash from OperationsCash from Ops.
-50000.00-28000.00-6000.00-118000.00-20000.00-14000.00-38000.00-76000.00-58000.00-13000.00-11000.00-61000.00-71000.00-11000.00-39000.00-65000.00-28000.00-11000.00-13000.00-22000.00
Depreciation, Depletion & Amortization
Depreciation & Amortization (CF)Dep. & Amort.
Change in Working Capital
Change in ReceivablesChange Receivables
Change in InventoryChange Inventory
Change in Account PayablesChange Payables
Change in Accured ExpensesChange Accured Exp.
-23000.00-10000.0014,000.00-17000.004,000.002,000.00-18000.0022,000.00-11000.0011,000.008,000.0035,000.00-8000.0014,000.0013,000.0015,000.0016,000.0015,000.0017,000.0017,000.00
Investing Activities
Sales of Property, Plant and EquipmentPP&E (Sale)
Cash from Investing ActivitiesCash from Investing
Financing Activities
Cash from Financing ActivitiesCash from Financing
150,000.00150,000.00200,000.0055,000.0040,000.0025,000.00
Additional items
Exchange Rate EffectFX Effect
Change in Cash
-50000.00-28000.00-6000.0032,000.00-20000.00-14000.00-38000.0074,000.00-58000.00-13000.00-11000.00139,000.00-71000.00-11000.00-39000.00-10000.0012,000.00-11000.00-13000.003,000.00
Free Cash FlowFCF
-50000.00-28000.00-6000.00-118000.00-20000.00-14000.00-38000.00-76000.00-58000.00-13000.00-11000.00-61000.00-71000.00-11000.00-39000.00-65000.00-28000.00-11000.00-13000.00-22000.00
Net Cash FlowNCF
-50000.00-28000.00-6000.0032,000.00-20000.00-14000.00-38000.0074,000.00-58000.00-13000.00-11000.00139,000.00-71000.00-11000.00-39000.00-10000.0012,000.00-11000.00-13000.003,000.00