ARTW: Arts Way Manufacturing Co Inc

FinancialsDividends

$2.56

-0.01

(-0.58%)

As of 07/18/2025 5:00 PM ETDisclaimer
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100%

ARTW Performance Snapshot


1-Week Chg

24.63%

1-Month Chg

34.47%

3-Month Chg

61.61%

6-Month Chg

41.16%

1-Year Chg

68.09%

Year-To-Date Chg

14.06%

Beta 1-Year

0.82

Beta 5-Year

1.03

Volatility (10-Day)

7.07%

ARTW Technical Snapshot



Datesorted descending
Close
Change 1D
Open
High
Low
Typical
Volume

2025-07-18

$2.56

-$0.01 (-0.58%)

$2.60

$2.65

$2.50

$2.57

59.00K ($150.75K)

2025-07-17

$2.57

$0.12 (4.9%)

$2.41

$2.57

$2.38

$2.51

62.50K ($160.63K)

2025-07-16

$2.45

$0.09 (3.81%)

$2.41

$2.49

$2.36

$2.43

45.50K ($111.48K)

2025-07-15

$2.36

$0.19 (9.01%)

$2.25

$2.36

$2.20

$2.31

35.50K ($83.78K)

2025-07-14

$2.17

$0.12 (5.61%)

$2.05

$2.27

$2.05

$2.16

51.60K ($111.71K)

2025-07-11

$2.05

-$0.11 (-5.09%)

$2.20

$2.20

$2.04

$2.10

16.80K ($34.44K)

2025-07-10

$2.16

-$0.12 (-5.3%)

$2.26

$2.44

$2.16

$2.25

115.00K ($248.40K)

2025-07-09

$2.28

$0.02 (0.93%)

$2.29

$2.30

$2.26

$2.28

9.40K ($21.44K)

2025-07-08

$2.26

$0 (0%)

$2.26

$2.30

$2.26

$2.27

33.80K ($76.39K)

2025-07-07

$2.26

-$0.01 (-0.44%)

$2.24

$2.33

$2.23

$2.27

23.80K ($53.79K)

ARTW Financial Snapshot


Balance Sheet

(USD)

2025 Q2

Y/Y CHANGE


  • Cash and equivalents

    $4.53K

    1.05%

  • Total assets

    $20.88M

    -9.89%

  • Total liabilities

    $7.26M

    -39.22%

  • Total investments

    $0

    0%

  • Shareholders' equity

    $13.62M

    21.28%

  • Book value per share

    $2.67

    20.61%


Income Statement

(USD)

2025 Q2

Y/Y CHANGE


  • Revenue

    $6.34M

    -5.85%

  • Net income

    $1.48M

    4545.32%

  • Operating expense

    $1.55M

    -10.87%

  • Gross profit

    $2.06M

    8.03%

  • EBITDA

    $2.20M

    474.15%

  • Earnings per share

    $0.29

    3000.00%


Cash Flow

(USD)

2025 Q2

Y/Y CHANGE


  • Net change in cash

    $401

    -79.97%

  • Cash from operations

    $1.35M

    8.60%

  • Cash from investing

    -$130.71K

    43.51%

  • Cash from financing

    -$1.22M

    -20.67%

  • Free cash flow

    $1.22M

    20.48%

  • Free cash flow per share

    $0.24

    20.00%


Metrics

(USD)

2025 Q2

Y/Y CHANGE


  • Market capitalization

    $9.16M

    3.85%

  • Enterprise value

    $14.12M

    -18.72%

  • Shares outstanding

    5.09M

    0.39%

  • Profit margin

    23.40%

    4780.00%

  • Gross margin

    32.50%

    14.84%

  • EBITDA margin

    34.70%

    508.77%


Dividends

(USD)

2025 Q2

Y/Y CHANGE


  • Dividend yield

    0%

    0%

  • Dividends per share

    $0

    0%

  • Dividend growth

    -

    -

  • Payout ratio

    0%

    0%

  • Coverage ratio

    -

    -

  • Current ratio

    2.72

    74.04%