Wearable Devices Ltd. (WLDSW)   

Key Statistics

Latest Price $0.06
Market Cap $1.10M
Price Change ($) $0.02
Price Change (%) 53.63%
Volume -0.00B
Shares Outstanding 18.40M
P/E Ratio None
EPS $0

WLDSW Chart


Description

Wearable Devices Ltd. engages in developing a non-invasive neural input interface for controlling digital devices using subtle finger movements. The company offers Mudra Inspire development kits that enables users to control digital devices through finger movements and hand gestures. These digital devices include consumer electronics, smart watches, smartphones, augmented reality glasses, virtual reality headsets, televisions, personal computers and laptop computers, drones, robots, etc. It serves consumer electronics companies, industrial companies, information technology and software solutions providers, software development studios, and academia and research universities, as well as consumers from B2C market. The company was incorporated in 2014 and is based in Yokneam Illit, Israel.

About

CEO: Mr. Asher Dahan

Exchange: NASDAQ

Sector: Technology

Industry: Consumer Electronics

Employees: -0.00B

Address: 2 Ha-Ta’asiya St., Yokneam Illit, None, IL

Website: Wearable Devices Ltd.



WLDSW News



Annual Income Statement

Breakdown 2023-12-31 2022-12-31 2021-12-31 2020-12-31 2019-12-31
Revenue $82.00K $45.00K $142.00K $57.00K $242.00K
Cost of Revenue $130.00K $25.33K $15.50K $9.00K $21.00K
Gross Profit $-48.00K $19.67K $126.50K $48.00K $221.00K
Gross Profit Ratio -58.54% 43.70% 89.08% 84.21% 91.32%
Research and Development Expenses $3.32M $2.26M $1.41M $743.00K $787.00K
General and Administrative Expenses $2.88M $1.95M $628.00K $174.00K $218.00K
Selling and Marketing Expenses $2.01M $1.37M $665.00K $287.00K $165.00K
Selling General and Administrative Expenses $4.82M $3.31M $1.29M $461.00K $383.00K
Other Expenses $- $- $- $- $-
Operating Expenses $8.14M $5.57M $2.70M $1.20M $1.17M
Cost and Expenses $8.27M $5.60M $2.71M $1.21M $1.19M
Interest Income $372.00K $38.00K $55.00K $102.00K $28.00K
Interest Expense $- $38.00K $- $102.00K $28.00K
Depreciation and Amortization $68.00K $23.00K $11.00K $7.00K $7.00K
EBITDA $-8.12M $-5.53M $-2.56M $-1.15M $-942.00K
EBITDA Ratio -9900.00% -12291.11% -1803.52% -2015.79% -389.26%
Operating Income $-8.19M $-5.55M $-2.57M $-1.16M $-949.00K
Operating Income Ratio -9982.93% -12342.22% -1811.27% -2028.07% -392.15%
Total Other Income Expenses Net $372.00K $-942.00K $-42.00K $-102.00K $-28.00K
Income Before Tax $-7.81M $-6.50M $-2.61M $-1.26M $-977.00K
Income Before Tax Ratio -9529.27% -14435.56% -1840.85% -2207.02% -403.72%
Income Tax Expense $- $- $- $- $28.00K
Net Income $-7.81M $-6.50M $-2.61M $-1.26M $-1.00M
Net Income Ratio -9529.27% -14435.56% -1840.85% -2207.02% -415.29%
EPS $-0.48 $-0.43 $-0.23 $-0.11 $-0.09
EPS Diluted $-0.48 $-0.43 $-0.23 $-0.11 $-0.09
Weighted Average Shares Outstanding 16.20M 15.05M 11.14M 11.14M 11.14M
Weighted Average Shares Outstanding Diluted 16.20M 15.05M 11.14M 11.14M 11.14M
SEC Filing Source Source Source Source Source

Quarterly Income Statement

Breakdown 2023-12-31 2023-06-30 2022-12-31 2022-06-30 2021-12-31 2021-06-30 2020-12-31 2020-06-30
Revenue $70.00K $12.00K $17.00K $28.00K $35.00K $107.00K $23.00K $34.00K
Cost of Revenue $104.00K $26.00K $13.00K $16.00K $10.00K $7.00K $5.00K $4.00K
Gross Profit $-34.00K $-14.00K $4.00K $12.00K $25.00K $100.00K $18.00K $30.00K
Gross Profit Ratio -48.57% -116.67% 23.53% 42.86% 71.43% 93.46% 78.26% 88.24%
Research and Development Expenses $1.76M $1.56M $1.32M $944.00K $1.02M $388.00K $277.00K $466.00K
General and Administrative Expenses $1.43M $1.45M $1.36M $587.00K $440.00K $188.00K $80.00K $94.00K
Selling and Marketing Expenses $958.00K $1.05M $899.00K $471.00K $535.00K $130.00K $133.00K $154.00K
Selling General and Administrative Expenses $2.34M $2.48M $2.26M $1.05M $968.00K $318.00K $213.00K $248.00K
Other Expenses $- $- $- $- $- $- $- $-
Operating Expenses $4.10M $4.04M $3.58M $1.99M $1.99M $706.00K $490.00K $714.00K
Cost and Expenses $4.20M $4.07M $3.59M $2.01M $2.00M $713.00K $495.00K $718.00K
Interest Income $214.00K $158.00K $38.00K $2.00K $89.00K $34.00K $31.00K $71.00K
Interest Expense $- $- $40.00K $- $- $34.00K $31.00K $71.00K
Depreciation and Amortization $45.00K $23.00K $12.00K $11.00K $7.00K $4.00K $4.00K $3.00K
EBITDA $-4.09M $-4.03M $-3.56M $-1.97M $-1.96M $-602.00K $-468.00K $-681.00K
EBITDA Ratio -5838.57% -33591.66% -20958.82% -7028.57% -5597.14% -562.62% -2034.78% -2002.94%
Operating Income $-4.13M $-4.05M $-3.58M $-1.98M $-1.97M $-606.00K $-472.00K $-684.00K
Operating Income Ratio -5902.86% -33783.33% -21029.41% -7067.86% -5617.14% -566.36% -2052.17% -2011.76%
Total Other Income Expenses Net $214.00K $158.00K $-870.00K $-72.00K $-8.00K $-34.00K $-31.00K $-71.00K
Income Before Tax $-3.92M $-3.90M $-4.45M $-2.05M $-1.97M $-640.00K $-503.00K $-755.00K
Income Before Tax Ratio -5597.14% -32466.67% -26147.06% -7325.00% -5640.00% -598.13% -2186.96% -2220.59%
Income Tax Expense $- $-0.00B $- $- $- $- $- $-
Net Income $-3.92M $-3.90M $-4.45M $-2.05M $-1.97M $-640.00K $-503.00K $-755.00K
Net Income Ratio -5597.14% -32466.67% -26147.06% -7325.00% -5640.00% -598.13% -2186.96% -2220.59%
EPS $-0.23 $-0.26 $-0.30 $-0.18 $-0.18 $-0.06 $-0.05 $-0.07
EPS Diluted $-0.23 $-0.26 $-0.30 $-0.18 $-0.18 $-0.06 $-0.05 $-0.07
Weighted Average Shares Outstanding 17.27M 15.25M 15.05M 11.14M 11.14M 11.14M 11.14M 11.14M
Weighted Average Shares Outstanding Diluted 17.27M 15.25M 15.05M 11.14M 11.14M 11.14M 11.14M 11.14M
SEC Filing Source Source Source Source Source Source Source Source

Annual Balance Sheet

Breakdown 2023-12-31 2022-12-31 2021-12-31 2020-12-31 2019-12-31
Cash and Cash Equivalents $810.00K $10.37M $1.27M $475.00K $1.58M
Short Term Investments $4.04M $- $- $- $-
Cash and Short Term Investments $4.86M $10.37M $1.27M $475.00K $1.58M
Net Receivables $108.00K $54.00K $70.00K $68.00K $6.00K
Inventory $1.03M $6.00K $11.00K $20.00K $8.00K
Other Current Assets $757.00K $543.00K $47.00K $68.00K $6.00K
Total Current Assets $6.75M $10.98M $1.40M $563.00K $1.59M
Property Plant Equipment Net $786.00K $248.00K $43.00K $18.00K $9.00K
Goodwill $- $- $- $- $-
Intangible Assets $- $- $- $- $-
Goodwill and Intangible Assets $- $- $- $- $-
Long Term Investments $54.00K $- $- $12.00K $12.00K
Tax Assets $- $- $- $- $-
Other Non-Current Assets $--0.00B $-248.00K $-43.00K $- $-12.00K
Total Non-Current Assets $840.00K $248.00K $43.00K $30.00K $9.00K
Other Assets $-0.00B $-0.00B $- $- $-
Total Assets $7.59M $11.22M $1.45M $593.00K $1.60M
Account Payables $410.00K $156.00K $72.00K $32.00K $73.00K
Short Term Debt $297.00K $68.00K $- $3.05M $3.00M
Tax Payables $- $- $- $- $-
Deferred Revenue $312.00K $365.00K $297.00K $225.00K $11.00K
Other Current Liabilities $769.00K $561.00K $269.00K $160.00K $221.00K
Total Current Liabilities $1.79M $1.15M $638.00K $3.47M $3.30M
Long Term Debt $278.00K $94.00K $- $- $-
Deferred Revenue Non-Current $- $- $- $- $-
Deferred Tax Liabilities Non-Current $- $- $- $- $-
Other Non-Current Liabilities $--0.00B $- $- $- $-
Total Non-Current Liabilities $278.00K $94.00K $- $- $-
Other Liabilities $- $- $- $- $-
Total Liabilities $2.07M $1.24M $638.00K $3.47M $3.30M
Preferred Stock $- $- $- $12.00K $12.00K
Common Stock $57.00K $43.00K $31.00K $17.00K $17.00K
Retained Earnings $-21.22M $-13.41M $-6.91M $-4.30M $-3.04M
Accumulated Other Comprehensive Income Loss $- $-0.00B $- $-12.00K $-12.00K
Other Total Stockholders Equity $26.69M $23.35M $7.69M $1.41M $1.33M
Total Stockholders Equity $5.53M $9.98M $807.00K $-2.88M $-1.70M
Total Equity $5.53M $9.98M $807.00K $-2.88M $-1.70M
Total Liabilities and Stockholders Equity $7.59M $11.22M $1.45M $593.00K $1.60M
Minority Interest $- $- $- $- $-
Total Liabilities and Total Equity $7.59M $11.22M $1.45M $593.00K $1.60M
Total Investments $4.10M $- $- $12.00K $12.00K
Total Debt $575.00K $162.00K $- $3.05M $3.00M
Net Debt $-235.00K $-10.21M $-1.27M $2.58M $1.42M

Quarterly Balance Sheet

Breakdown 2023-12-31 2023-06-30 2022-12-31 2022-06-30 2021-12-31 2021-06-30 2020-12-31 2020-06-30
Cash and Cash Equivalents $810.00K $5.95M $10.37M $320.00K $1.27M $2.90M $475.00K $-
Short Term Investments $4.04M $2.00M $- $- $- $- $- $-
Cash and Short Term Investments $4.86M $7.96M $10.37M $320.00K $1.27M $2.90M $475.00K $-
Net Receivables $108.00K $83.00K $54.00K $72.00K $70.00K $216.00K $68.00K $-
Inventory $1.03M $12.00K $6.00K $8.00K $11.00K $15.00K $20.00K $-
Other Current Assets $757.00K $637.00K $543.00K $18.00K $47.00K $216.00K $68.00K $-
Total Current Assets $6.75M $8.69M $10.98M $418.00K $1.40M $3.13M $563.00K $-
Property Plant Equipment Net $786.00K $628.00K $248.00K $72.00K $43.00K $28.00K $18.00K $-
Goodwill $- $- $- $- $- $- $- $-
Intangible Assets $- $- $- $- $- $- $- $-
Goodwill and Intangible Assets $- $- $- $- $- $- $- $-
Long Term Investments $54.00K $52.00K $- $- $- $12.00K $12.00K $-
Tax Assets $- $- $- $- $- $- $- $-
Other Non-Current Assets $--0.00B $-680.00K $-248.00K $25.00K $-43.00K $- $- $-
Total Non-Current Assets $840.00K $680.00K $248.00K $97.00K $43.00K $40.00K $30.00K $-
Other Assets $-0.00B $-0.00B $-0.00B $- $- $- $- $-
Total Assets $7.59M $9.37M $11.22M $515.00K $1.45M $3.17M $593.00K $-
Account Payables $410.00K $112.00K $156.00K $88.00K $72.00K $50.00K $32.00K $-
Short Term Debt $297.00K $271.00K $68.00K $25.00K $- $-0.00B $3.05M $-
Tax Payables $- $- $- $- $- $- $- $-
Deferred Revenue $312.00K $373.00K $365.00K $307.00K $297.00K $329.00K $225.00K $-
Other Current Liabilities $769.00K $770.00K $561.00K $963.00K $269.00K $244.00K $160.00K $-
Total Current Liabilities $1.79M $1.53M $1.15M $1.38M $638.00K $623.00K $3.47M $-
Long Term Debt $278.00K $202.00K $94.00K $- $- $- $- $-
Deferred Revenue Non-Current $- $- $- $- $- $- $- $-
Deferred Tax Liabilities Non-Current $- $- $- $- $- $- $- $-
Other Non-Current Liabilities $--0.00B $--0.00B $- $- $- $- $- $-
Total Non-Current Liabilities $278.00K $202.00K $94.00K $- $- $- $- $-
Other Liabilities $- $-0.00B $- $- $- $- $- $-
Total Liabilities $2.07M $1.73M $1.24M $1.38M $638.00K $623.00K $3.47M $-
Preferred Stock $- $- $- $-0.00B $- $- $- $-
Common Stock $57.00K $46.00K $43.00K $31.00K $31.00K $31.00K $17.00K $-
Retained Earnings $-21.22M $-17.30M $-13.41M $-8.96M $-6.91M $-4.94M $-4.30M $-
Accumulated Other Comprehensive Income Loss $- $- $-0.00B $-0.00B $- $- $- $-
Other Total Stockholders Equity $26.69M $24.90M $23.35M $8.06M $7.69M $7.45M $1.41M $-
Total Stockholders Equity $5.53M $7.64M $9.98M $-868.00K $807.00K $2.54M $-2.88M $-
Total Equity $5.53M $7.64M $9.98M $-868.00K $807.00K $2.54M $-2.88M $-
Total Liabilities and Stockholders Equity $7.59M $9.37M $11.22M $515.00K $1.45M $3.17M $593.00K $-
Minority Interest $- $- $- $- $- $- $- $-
Total Liabilities and Total Equity $7.59M $9.37M $11.22M $515.00K $1.45M $3.17M $593.00K $-
Total Investments $4.10M $2.06M $- $- $- $12.00K $12.00K $-
Total Debt $575.00K $473.00K $162.00K $25.00K $- $- $3.05M $-
Net Debt $-235.00K $-5.48M $-10.21M $-295.00K $-1.27M $-2.90M $2.58M $-

Annual Cash Flow Statement

Breakdown 2023-12-31 2022-12-31 2021-12-31 2020-12-31 2019-12-31
Net Income $-7.81M $-6.50M $-2.61M $-1.26M $-977.00K
Depreciation and Amortization $68.00K $23.00K $11.00K $7.00K $7.00K
Deferred Income Tax $-1.20M $-731.00K $-291.00K $-196.00K $-
Stock Based Compensation $241.00K $790.00K $299.00K $67.00K $148.00K
Change in Working Capital $-816.00K $-31.00K $181.00K $39.00K $291.00K
Accounts Receivables $-54.00K $16.00K $-19.00K $-62.00K $90.00K
Inventory $-1.03M $5.00K $9.00K $-12.00K $13.00K
Accounts Payables $254.00K $84.00K $40.00K $-41.00K $47.00K
Other Working Capital $10.00K $-136.00K $151.00K $154.00K $141.00K
Other Non Cash Items $1.09M $731.00K $311.00K $252.00K $50.00K
Net Cash Provided by Operating Activities $-8.43M $-5.71M $-2.10M $-1.09M $-481.00K
Investments in Property Plant and Equipment $-194.00K $-48.00K $-36.00K $-16.00K $-1.00K
Acquisitions Net $- $- $- $- $-
Purchases of Investments $-4.05M $- $- $- $-
Sales Maturities of Investments $- $- $- $- $-
Other Investing Activities $-4.05M $-18.00K $- $- $-
Net Cash Used for Investing Activities $-4.25M $-66.00K $-36.00K $-16.00K $-1.00K
Debt Repayment $- $-800.00K $- $- $-1.90M
Common Stock Issued $3.12M $14.88M $2.93M $- $-
Common Stock Repurchased $- $-100.00K $- $- $-
Dividends Paid $- $- $- $- $-
Other Financing Activities $3.12M $14.88M $12.00K $- $3.80M
Net Cash Used Provided by Financing Activities $3.12M $14.88M $2.94M $- $1.90M
Effect of Forex Changes on Cash $- $- $- $- $-
Net Change in Cash $-9.56M $9.10M $799.00K $-1.10M $1.42M
Cash at End of Period $810.00K $10.37M $1.27M $475.00K $1.58M
Cash at Beginning of Period $10.37M $1.27M $475.00K $1.58M $162.00K
Operating Cash Flow $-8.43M $-5.71M $-2.10M $-1.09M $-481.00K
Capital Expenditure $-194.00K $-48.00K $-36.00K $-16.00K $-1.00K
Free Cash Flow $-8.63M $-5.76M $-2.14M $-1.10M $-482.00K

Quarterly Cash Flow Statement

Breakdown 2023-12-31 2023-06-30 2022-12-31 2022-06-30 2021-12-31 2021-06-30 2020-12-31 2020-06-30
Net Income $-3.92M $-3.90M $-4.45M $-2.05M $-1.97M $-640.00K $-503.00K $-755.00K
Depreciation and Amortization $45.00K $23.00K $12.00K $11.00K $7.00K $4.00K $4.00K $3.00K
Deferred Income Tax $- $-234.00K $-350.00K $-381.00K $-96.00K $-195.00K $20.00K $-216.00K
Stock Based Compensation $132.00K $109.00K $414.00K $376.00K $237.00K $62.00K $25.00K $42.00K
Change in Working Capital $-861.00K $45.00K $-256.00K $225.00K $119.00K $62.00K $300.00K $-261.00K
Accounts Receivables $-25.00K $-29.00K $18.00K $-2.00K $129.00K $-148.00K $37.00K $-99.00K
Inventory $-1.02M $-6.00K $2.00K $3.00K $4.00K $5.00K $3.00K $-15.00K
Accounts Payables $298.00K $-44.00K $68.00K $16.00K $22.00K $18.00K $13.00K $-54.00K
Other Working Capital $-114.00K $124.00K $-344.00K $208.00K $-36.00K $187.00K $247.00K $-93.00K
Other Non Cash Items $856.00K $234.00K $350.00K $381.00K $-1.00K $21.00K $28.00K $28.00K
Net Cash Provided by Operating Activities $-4.71M $-3.72M $-4.28M $-1.44M $-1.61M $-491.00K $-146.00K $-943.00K
Investments in Property Plant and Equipment $-101.00K $-93.00K $-33.00K $-15.00K $-22.00K $-14.00K $-1.00K $-15.00K
Acquisitions Net $- $- $- $- $- $- $- $-
Purchases of Investments $-2.00M $-2.06M $- $- $- $- $- $-
Sales Maturities of Investments $- $- $- $- $- $- $- $-
Other Investing Activities $-2.00M $-2.06M $-18.00K $- $- $- $- $-
Net Cash Used for Investing Activities $-2.10M $-2.15M $-51.00K $-15.00K $-22.00K $-14.00K $-1.00K $-15.00K
Debt Repayment $- $- $- $- $- $- $- $-
Common Stock Issued $1.67M $1.45M $14.88M $- $- $2.93M $- $-
Common Stock Repurchased $- $- $- $- $- $- $- $-
Dividends Paid $- $- $- $- $- $- $- $-
Other Financing Activities $1.67M $1.45M $-500.00K $500.00K $12.00K $- $- $-
Net Cash Used Provided by Financing Activities $1.67M $1.45M $14.38M $500.00K $12.00K $2.93M $- $-
Effect of Forex Changes on Cash $- $10.37M $-10.37M $1.27M $-1.27M $475.00K $- $-
Net Change in Cash $-5.14M $-4.42M $10.05M $-954.00K $-1.62M $2.42M $-147.00K $-958.00K
Cash at End of Period $810.00K $5.95M $10.37M $320.00K $1.27M $2.90M $475.00K $622.00K
Cash at Beginning of Period $5.95M $10.37M $320.00K $1.27M $2.90M $475.00K $622.00K $1.58M
Operating Cash Flow $-4.71M $-3.72M $-4.28M $-1.44M $-1.61M $-491.00K $-146.00K $-943.00K
Capital Expenditure $-101.00K $-93.00K $-33.00K $-15.00K $-22.00K $-14.00K $-1.00K $-15.00K
Free Cash Flow $-4.82M $-3.81M $-4.31M $-1.45M $-1.63M $-505.00K $-147.00K $-958.00K

  Coming soon...


Dividend Yield

0.00%

Dividend Payout Ratio

0.00x

Dividend Paid & Capex Coverage Ratio

43.47x

Dividend History

Dividend Adjusted Dividend Date Record Date Payment Date Declaration Date

Key Metrics


Financial Ratios
Price to Earnings Ratio -0.71x
Price to Book Ratio 1.01x
Current Ratio 3.78x
Quick Ratio 2.78x
Cash Ratio 0.45x
Debt to Equity 0.10x
Return on Invested Capital -1.34x
Return on Equity -1.41x
Return on Assets -1.03x
Key Metrics
Enterprise Value $5.34M
Revenue Per Share $0.01
Net Income Per Share $-0.48
Operating Cash Flow Per Share $-0.52
Free Cash Flow Per Share $-0.53
Cash Per Share $0.30
Gross Profit Margin -0.59%
Operating Profit Margin -99.83%
Net Profit Margin -1.41%
Financial Growth
Revenue Growth 0.82%
Gross Profit Growth -3.44%
EPS Growth -0.12%
EBIT Growth -0.47%
Operating Income Growth -0.47%
Revenue Growth 0.82%
Net Income Growth -0.20%
Dividend Per Share Growth 0.00%
Free Cash Flow Growth -0.50%

  Coming soon...

Data provided by IEX Cloud & Financial Modeling Prep

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