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Financial statements

Rail Vision Ltd. financial statements

Income statement, balance sheet and cash flow statement for the last 7 fiscal years, taken from the XBRL data Rail Vision Ltd. files with the SEC in its annual reports.

In USD millions, except per-share amounts. Outflows in the cash flow statement are negative.

Income statement

FY2019FY2021FY2021FY2022FY2023FY2024FY2025
Revenue0.890.420.141.31.49
Cost of revenue0.660.660.060.850.94
Gross profit0.23-0.240.080.450.55
Research and development7.167.217.216.237.155.286.86
Selling, general and administrative2.893.53.324.27
General and administrative2.893.53.324.274.344.185.42
Operating income-10-10.7-10.3-10.7-11.4-9-11.7
Other non-operating income0.01-00.070.260.26-1.521.02
Income tax2.312.462.35
Net income-10-10.7-10.2-10.5-11.1-30.7-11.1
EBITDA-10-10.6-10.3-10.7-11.2-8.86-11.6
EPS, basic-299.93-280.74-268.74-177.66-129.26-55.41-6.15
EPS, diluted-299.93-280.74-268.74-177.66-129.26-55.41-6.15
Shares, basic (weighted)0.040.060.090.551.81
Shares, diluted (weighted)0.040.040.060.090.551.81

Balance sheet

FY2019FY2021FY2021FY2022FY2023FY2024FY2025
Cash and equivalents9.36.751.658.273.0717.220
Receivables0.090.120.50.22
Inventory0.981.31.21
Other current assets0.170.470.230.340.440.34
Total current assets7.312.418.834.619.722
Property, plant and equipment0.440.570.450.430.310.3
Lease right-of-use assets1.221.431.150.890.580.25
Intangible assets0.440.570.45
Total assets8.974.4110.45.9220.622.5
Accounts payable0.050.140.060.190.110.22
Accrued liabilities0.310.20.210.280.420.15
Deferred revenue0.630.090.9910.54
Total current liabilities2.191.551.372.612.682.21
Lease liabilities0.911.220.80.520.22
Total liabilities3.12.772.173.132.92.21
Paid-in capital35366368.7114128
Retained earnings-34.1-44.3-54.8-66-96.7-108
Shareholders' equity9.670.91-8.338.272.7917.720.3
Total equity9.670.91-8.338.272.7917.720.3
Total liabilities and equity8.974.4110.45.9220.622.5
Shares outstanding0.040.30.0731.262.01

Cash flow statement

FY2019FY2021FY2021FY2022FY2023FY2024FY2025
Net income-10-10.7-10.2-10.5-11.1-30.7-11.1
Depreciation and amortization0.020.070.010.020.170.150.13
Stock-based compensation1.362.281.060.510.270.41.46
Deferred income tax0.2
Change in receivables0.12-0.50.28
Change in inventory-0.98-0.330.1
Change in payables0.140.97-0.54
Cash from operations-8.2-7.2-9.95-9.98-10.5-9.68-9.12
Capital expenditures-0.15-0.12-0.27-0.03-0.15-0.03-0.13
Cash from investing-0.15-0.12-0.27-0.03-0.15-0.03-0.13
Stock issued4.9750.01
Cash from financing13.44.975.1316.75.423.911.8
Exchange rate effect0.07-0.030.22
Net change in cash5.06-2.36-5.096.64-5.214.22.76
Free cash flow-8.36-7.32-10.2-10-10.7-9.71-9.25

Key metrics

Worked out from the statements above. Latest values use fiscal 2025. Valuation uses the share price of $3.61 on September 25, 2026.

Profitability

MetricValueHow it is calculated
Gross margin37.1%Gross profit / revenue.
Operating margin-789.2%Operating income / revenue.
EBITDA margin-780.3%EBITDA (operating income + depreciation and amortization) / revenue.
Net margin-746.5%Net income / revenue.
FCF margin-621.9%Free cash flow (cash from operations - capital expenditures) / revenue.
Operating cash flow margin-613.5%Cash from operations / revenue.
Return on equity (ROE)-58.4%Net income / average shareholders' equity (opening and closing). Not shown when equity is negative.
Return on assets (ROA)-51.5%Net income / average total assets.
Return on invested capital (ROIC)-2,205.0%Approximation: operating income x (1 - tax rate) / average (total debt + equity - cash). Tax rate is the effective rate when between 0% and 50%, else 21%.
R&D / revenue461.6%Research and development expense / revenue.
Stock-based pay / revenue98.2%Stock-based compensation (from the cash flow statement) / revenue.
Capex / revenue8.4%Capital expenditures / revenue.
D&A / revenue8.9%Depreciation and amortization / revenue.

Growth

MetricValueHow it is calculated
Revenue growth, 1y14.4%Revenue vs the same period a year earlier. Only from a positive base.
Revenue CAGR, 3y52.3%Compound annual growth of revenue over 3 fiscal years: (end / start)^(1/3) - 1. Only when both values are positive.
Gross profit growth, 1y22.7%Gross profit vs the same period a year earlier. Only from a positive base.
Book value growth, 1y14.9%Book value vs the same period a year earlier. Only from a positive base.
Book value CAGR, 3y35.0%Compound annual growth of book value over 3 fiscal years: (end / start)^(1/3) - 1. Only when both values are positive.
Book value CAGR, 5y86.3%Compound annual growth of book value over 5 fiscal years: (end / start)^(1/5) - 1. Only when both values are positive.
Total assets growth, 1y9.4%Total assets vs the same period a year earlier. Only from a positive base.
Total assets CAGR, 3y29.3%Compound annual growth of total assets over 3 fiscal years: (end / start)^(1/3) - 1. Only when both values are positive.
Total assets CAGR, 5y20.2%Compound annual growth of total assets over 5 fiscal years: (end / start)^(1/5) - 1. Only when both values are positive.
Share count change, 1y225.8%Change in diluted weighted shares vs a year earlier. Negative means buybacks shrank the share count; positive means dilution.
Share count change per year, 3y212.9%Change in diluted weighted shares, per year over 3 years. Negative means buybacks shrank the share count; positive means dilution.
Share count change per year, 5y116.4%Change in diluted weighted shares, per year over 5 years. Negative means buybacks shrank the share count; positive means dilution.

Balance sheet health

MetricValueHow it is calculated
Current ratio9.96xCurrent assets / current liabilities.
Quick ratio9.13x(Cash + short-term investments + receivables) / current liabilities.
Cash ratio9.03x(Cash + short-term investments) / current liabilities.
Liabilities / assets9.8%Total liabilities / total assets.
Working capital$19.8MCurrent assets - current liabilities.
Tangible book value$20.3MShareholders' equity - goodwill - intangible assets.

Efficiency

MetricValueHow it is calculated
Asset turnover0.07xRevenue / average total assets.
Fixed asset turnover4.89xRevenue / average property, plant and equipment.
Inventory turnover0.74xCost of revenue / average inventory.
Days inventory490 days365 x average inventory / cost of revenue.
Receivables turnover4.19xRevenue / average receivables.
Days sales outstanding87 days365 x average receivables / revenue.
Days payables64 days365 x average accounts payable / cost of revenue.
Cash conversion cycle514 daysDays inventory + days sales outstanding - days payables.

Per share

MetricValueHow it is calculated
EPS, diluted-$6.15Net income per diluted share, as reported (split-adjusted). Over the last twelve months: the four quarters summed, or net income / latest diluted shares when a quarter has no reported EPS.
EPS, basic-$6.15Net income per basic share, as reported (split-adjusted).
Revenue per share$0.82Revenue / diluted weighted shares.
FCF per share-$5.12Free cash flow / diluted weighted shares.
Operating cash flow per share-$5.05Cash from operations / diluted weighted shares.
Book value per share$10.10Shareholders' equity / shares outstanding (diluted weighted shares when not reported).
Tangible book per share$10.10Tangible book value / shares outstanding.
Cash per share$9.91(Cash + short-term investments) / shares outstanding.

Valuation

MetricValueHow it is calculated
Market cap$7.9MShare price x shares outstanding.
Enterprise value-$12.0MMarket cap + total debt - cash - short-term investments.
P/S5.32xMarket cap / revenue.
P/B0.39xMarket cap / shareholders' equity. Only when equity is positive.
Price / tangible book0.39xMarket cap / tangible book value, when positive.
FCF yield-116.8%Free cash flow / market cap.
Earnings yield-140.3%Net income / market cap (the inverse of P/E).
What was Rail Vision Ltd.'s revenue in fiscal 2025?

Rail Vision Ltd. reported revenue of $1.5M for fiscal 2025, 14.4% higher than the year before.

Was Rail Vision Ltd. profitable in fiscal 2025?

No. It reported a net loss of $11.1M.

How much free cash flow did Rail Vision Ltd. generate in fiscal 2025?

Cash from operations of $9.1M minus capital expenditures of $125.0K left free cash flow of -$9.2M.

Source: SEC EDGAR XBRL company facts. Where a company tags only year-to-date figures, quarters are worked out as differences. Where a line is not tagged it is left empty, never estimated.

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