IMMERSION CORP (IMMR)

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CIK 0001058811 · Nasdaq · Computer Peripheral Equipment, NEC

  • Sector Manufacturing
  • Incorporated DE
  • Fiscal year ends Apr 30

In fiscal 2025, IMMERSION CORP reported revenue of $1.56B. The company was profitable, with a net margin of 4.1%. It held $1.10B in total assets against $543.58M in total liabilities.

Key ratios (FY2025)

7.6%
Operating margin
4.1%
Net margin
21.6%
Return on equity
Metric (FY)2025202420232022202120202019201820172016
Revenue$1.56B$33.92M$38.46M$35.09M$30.46M$35.95M$110.98M$35.01M$57.09M
Cost of Revenue$4.0K$88.0K$168.0K$170.0K$218.0K$197.0K$197.0K
Gross Profit$35.78M$110.76M
Operating Income$118.02M$17.93M$24.42M$17.77M$2.22M-$21.45M$53.10M-$45.42M-$15.26M
Net Income$64.28M$33.98M$30.66M$12.48M$5.40M-$20.04M$54.34M-$45.29M-$39.38M
EPS (Diluted)$1.90$1.04$0.92$0.39$0.19$-0.64$1.73$-1.55$-1.37
Total Assets$1.10B$1.36B$215.73M$190.11M$175.52M$96.13M$124.85M$146.00M$51.98M$103.77M
Total Liabilities$543.58M$876.60M$32.63M$32.41M$34.23M$32.15M$41.09M$46.34M$42.32M$48.43M
Shareholders' Equity$298.12M$305.50M$183.10M$157.70M$141.29M$63.98M$83.76M$99.66M$9.66M$55.34M
Cash & Equivalents$72.61M$85.52M$56.07M$48.82M$51.49M$59.52M$86.48M$110.99M$24.62M$56.87M
Operating Cash Flow-$57.58M$20.60M$40.15M$17.45M$22.0K-$34.10M$69.92M-$43.83M$22.04M
Capital Expenditures$11.24M$0$30.0K$335.0K$47.0K$150.0K$74.0K$125.0K$343.0K
Shares Outstanding32.50M48.69M31.53M32.25M34.39M27.02M31.41M30.83M29.26M28.92M
Dividends Per Share$0.03$0.03