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IVAC - Intevac, Inc.

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Intevac, Inc.

IVAC

NASDAQ

Intevac, Inc. provides vacuum deposition equipment for various thin-film applications, and digital night-vision technologies and products to the defense industry in the United States, Asia, and Europe. It designs, develops, and markets thin-film processing systems for hard disk drive media, display cover panel, solar photovoltaic cell, and advanced semiconductor packaging industries. The company sells its products through direct sales force and distributors. Intevac, Inc. was incorporated in 1990 and is headquartered in Santa Clara, California.

3.51 USD

0.06 (1.71%)

Earnings

-0.25-0.2-0.15-0.1-0.0502023 Q22023 Q32023 Q32023 Q42024 Q12024 Q22024 Q32024 Q4EPS Consensus

Dividends

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Splits

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From:

To:

Date

Revenue

Earnings

Estimated Earnings

Surprise

2024-11-11

0

0

-0.15

-

2024-08-05

14.53M

-0.12

-0.2

-40.00%

2024-04-25

9.63M

-0.1

-0.17

-41.18%

2024-02-05

12.91M

-0.07

-0.12

-41.67%

2023-11-01

17.91M

-0.06

-0.13

-53.85%

2023-08-02

10.3M

-0.19

-0.21

-9.52%

2023-05-03

11.54M

-0.16

-0.18

-11.11%

2023-02-01

11.26M

-0.13

-0.18

-27.78%

2022-11-02

10.75M

-0.13

-0.15

-13.33%

2022-08-03

9.31M

-0.1

-0.15

-33.33%

2022-05-09

4.45M

-0.2

-0.25

-20.00%

2022-02-09

15.92M

-0.29

-0.07

314.29%

2021-11-01

14.79M

-0.16

-0.25

-36.00%

2021-08-02

13.81M

-0.25

-0.26

-3.85%

2021-05-03

16.24M

-0.27

-0.26

3.85%

2021-02-03

28.58M

0.05

0.03

66.67%

2020-10-26

21.57M

-0.01

-0.01

42.86%

2020-07-27

28.84M

0.06

-0.12

-150.00%

2020-04-27

18.84M

-0.05

-0.13

-61.54%

2020-01-29

35.44M

0.22

0.2

10.00%

2019-10-28

26.3M

-0.02

-0.07

-71.43%

2019-07-29

22.31M

-0.05

-0.09

-44.44%

2019-04-29

24.83M

-0.1

-0.16

-37.50%

2019-01-30

31.58M

0.08

0.06

33.33%

2018-10-29

19.47M

-0.05

-0.13

-61.54%

2018-07-30

26.1M

-0.01

-0.12

-91.67%

2018-04-30

17.97M

-0.23

-0.24

-4.17%

2018-01-31

24.77M

-0

-0

100.00%

2017-10-30

26.73M

0.05

0

-

2017-07-31

30.96M

0.05

0

2400.00%

2017-05-01

30.39M

0.08

0.05

60.00%

2017-02-01

28.98M

0.13

0.07

85.71%

2016-11-01

22.56M

-0.02

-0.07

-71.43%

2016-08-01

14.92M

-0.18

-0.27

-33.33%

2016-05-02

13.66M

-0.31

-0.37

-16.22%

2016-02-03

16.4M

-0.12

-0.22

-45.45%

2015-11-02

18.42M

-0.18

-0.24

-25.00%

2015-08-03

20.46M

-0.01

-0.1

-90.00%

2015-05-04

19.89M

-0.12

-0.14

-14.29%

2015-02-04

19.06M

-0.22

-0.11

100.00%

2014-10-27

14.76M

-0.15

-0.21

-28.57%

2014-07-28

14.71M

-0.2

-0.24

-16.67%

2014-04-28

17.02M

-0.18

-0.21

-14.29%

2014-01-29

20.55M

-0.08

-0.13

-38.46%

2013-10-28

19.11M

-0.11

-0.17

-35.29%

2013-07-29

16.98M

-0.26

-0.3

-13.33%

2013-04-29

12.98M

-0.32

-0.35

-8.57%

2013-01-29

17.48M

-0.15

-0.24

-37.50%

2012-10-31

16.83M

-0.34

-0.36

-5.56%

2012-07-31

31.79M

-0.06

-0.07

-14.29%

2012-04-30

17.32M

-0.23

-0.24

-4.17%

2012-01-31

18.64M

-0.27

-0.28

-3.57%

2011-10-31

19.32M

-0.27

-0.28

-3.57%

2011-08-01

27.59M

-0.11

-0.21

-47.62%

2011-05-02

17.42M

-0.31

-0.32

-3.13%

2011-02-01

36.16M

0.05

0.02

122.22%

2010-11-01

64.63M

0.58

0.44

31.82%

2010-08-02

68.6M

0.54

0.47

14.89%

2010-05-03

33.14M

0.06

0.01

300.00%

2010-02-02

34.2M

0.09

0.02

350.00%

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