Symbols / CMBMF $0.35 -27.08% Cambium Networks Corporation

Technology • Communication Equipment • United States • PNK
CMBMF Chart
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Stock Fundamentals
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Index EQUITY
Sector Technology
Industry Communication Equipment
CEO
Exch · Country PNK · United States
Market Cap 10.16M
Enterprise Value 80.11M
Income -29.93M
Sales 170.46M
FCF (ttm) 272.50K
Book/sh -0.11
Cash/sh 0.20
Employees
Insider 10d
IPO Jun 26, 2019
Div forward ($/yr)
Div TTM ($/yr)
Dividend Yield
Ex-Div Date
5Y Avg Yield
Yield vs 5Y Avg
Payout 0.00%
P/E
Forward P/E
PEG 0.65
P/S 0.06
P/B -3.10
P/C
EV/EBITDA -4.51
EV/Sales 0.47
Quick Ratio 0.39
Current Ratio 0.66
Debt/Eq
LT Debt/Eq
EPS (ttm) -1.04
EPS next Y
EPS Growth
Revenue Growth 32.10%
EPS Gr Q/Q
Rev Gr Q/Q
Earnings (next) 2024-11-07
Earnings (prior) 2024-11-07
ROA -8.12%
ROE
ROIC
Gross Margin 42.36%
Oper. Margin -2.63%
Profit Margin -17.55%
Shs Outstand 29.03M
Shs Float 13.64M
Insider Own 3.73%
Instit Own 52.20%
Short Float 14.28%
Short Ratio 12.65
Short Interest 1.81M
52W High 6.80
vs 52W High -94.85%
52W Low 0.02
vs 52W Low 1,650.00%
Beta 2.03
Impl. Vol. 0.00%
Rel Volume 0.00
Avg Volume 401.42K
Volume 1.41K
Target (mean)
Tgt Median
Tgt Low
Tgt High
# Analysts
Recom None
Prev Close $0.48
Price $0.35
Change -27.08%

Cambium Networks Corporation designs, develops, and manufactures fixed wireless, fiber broadband, and enterprise networking infrastructure solutions in North America, Europe, the Middle East, Africa, the Caribbean, Latin America, and the Asia Pacific. The company offers fixed wireless and PON/XGSPON based broadband, Wi-Fi, and local area networking (LAN) switching infrastructure; and security gateway solutions for broadband access, wireless backhaul, Internet of Things (IoT), public safety communications, and Wi-Fi access. Its fixed wireless and fiber broadband (FWB) portfolio spans point-to-point (PTP) and point-to-multi-point (PMP) architectures over multiple standards, and frequency bands, including licensed, unlicensed, and lightly licensed spectrum, and fiber products. Its enterprise portfolio comprises a range of indoor and outdoor Wi-Fi access points, indoor and hardened copper and optical based ethernet switches, and security gateway and software-defined wide area network (SD-WAN) devices. Its subscription and services portfolio includes network planning and design, and cloud or on-premises network management and control solutions delivered through subscription to cnMaestro X. It serves healthcare, education, hospitality, military communication, campgrounds and parks, mining and minerals, industrial, multifamily living, national law enforcement, oil and gas, public safety, residential broadband, small business, smart cities, state and local government, transportation and logistics, utilities and electric cooperatives, and video surveillance/CCTV markets. The company sells its products and services through distributors and other channel partners, such as resellers and systems integrators, as well as through direct sales force. The company was formerly known as Vector Cambium Holdings (Cayman), Ltd. and changed its name to Cambium Networks Corporation in 2018. Cambium Networks Corporation was founded in 2011 and is headquartered in Hoffman Estates, Illinois.

Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus Mean price target
2. Current target Latest analyst target
3. DCF / Fair value Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$0.35
Low
High
Mean
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2024-12-02 CADA-BARTOLI MELISSA ELIZABETH Officer 50 $1.23 $62
2024-07-10 VIVEK VIBHU Officer 40,000 $0.00 $0
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
159.65
-9.95%
177.29
-19.49%
220.19
-25.84%
296.90
Operating Revenue
159.65
-9.95%
177.29
-19.49%
220.19
-25.84%
296.90
Cost Of Revenue
95.47
-16.51%
114.36
-24.45%
151.36
-0.26%
151.76
Reconciled Cost Of Revenue
92.30
-16.46%
110.48
-25.63%
148.55
-1.05%
150.12
Gross Profit
64.17
+1.97%
62.93
-8.57%
68.83
-52.58%
145.14
Operating Expense
91.94
-14.72%
107.81
-16.87%
129.69
+3.53%
125.26
Research And Development
32.86
-16.36%
39.29
-26.53%
53.48
+7.25%
49.87
Selling General And Administration
57.61
-8.16%
62.73
-10.38%
70.00
+0.81%
69.43
Selling And Marketing Expense
31.19
-15.07%
36.72
-13.80%
42.60
-4.17%
44.45
General And Administrative Expense
26.43
+1.60%
26.01
-5.07%
27.40
+9.67%
24.98
Other Gand A
26.43
+1.60%
26.01
-5.07%
27.40
+9.67%
24.98
Total Expenses
187.42
-15.64%
222.16
-20.95%
281.05
+1.45%
277.02
Operating Income
-27.77
+38.12%
-44.88
+26.26%
-60.85
-406.11%
19.88
Total Operating Income As Reported
-27.96
+60.29%
-70.41
-15.70%
-60.85
-406.11%
19.88
EBITDA
-23.33
+61.63%
-60.80
-16.70%
-52.10
-288.84%
27.59
Normalized EBITDA
-23.14
+34.40%
-35.27
+32.31%
-52.10
-288.84%
27.59
Reconciled Depreciation
4.64
-51.96%
9.66
+7.04%
9.03
+18.81%
7.60
EBIT
-27.97
+60.31%
-70.46
-15.28%
-61.12
-405.72%
19.99
Total Unusual Items
-0.19
+99.25%
-25.54
Total Unusual Items Excluding Goodwill
-0.19
+99.25%
-25.54
Special Income Charges
-0.19
+99.25%
-25.54
Write Off
0.19
-99.25%
25.54
Net Income
-38.54
+48.24%
-74.45
+3.83%
-77.42
-483.27%
20.20
Pretax Income
-36.99
+51.52%
-76.31
-19.89%
-63.65
-453.26%
18.02
Net Non Operating Interest Income Expense
-9.02
-54.37%
-5.84
-131.77%
-2.52
-27.52%
-1.98
Interest Expense Non Operating
9.02
+54.37%
5.84
+131.77%
2.52
+27.52%
1.98
Net Interest Income
-9.02
-54.37%
-5.84
-131.77%
-2.52
-27.52%
-1.98
Interest Expense
9.02
+54.37%
5.84
+131.77%
2.52
+27.52%
1.98
Other Income Expense
-0.20
+99.22%
-25.59
-9341.70%
-0.27
-337.72%
0.11
Other Non Operating Income Expenses
-0.01
+86.54%
-0.05
+80.81%
-0.27
-337.72%
0.11
Tax Provision
1.55
+183.50%
-1.85
-113.46%
13.77
+730.97%
-2.18
Tax Rate For Calcs
0.00
+775.00%
0.00
-88.57%
0.00
+0.00%
0.00
Tax Effect Of Unusual Items
-0.04
+93.42%
-0.61
0.00
0.00
Net Income Including Noncontrolling Interests
-38.54
+48.24%
-74.45
+3.83%
-77.42
-483.27%
20.20
Net Income From Continuing Operation Net Minority Interest
-38.54
+48.24%
-74.45
+3.83%
-77.42
-483.27%
20.20
Net Income From Continuing And Discontinued Operation
-38.54
+48.24%
-74.45
+3.83%
-77.42
-483.27%
20.20
Net Income Continuous Operations
-38.54
+48.24%
-74.45
+3.83%
-77.42
-483.27%
20.20
Normalized Income
-38.39
+22.50%
-49.53
+36.02%
-77.42
-483.27%
20.20
Net Income Common Stockholders
-38.54
+48.24%
-74.45
+3.83%
-77.42
-483.27%
20.20
Diluted EPS
-1.34
+49.43%
-2.65
-14.72%
-2.31
-420.83%
0.72
Basic EPS
-1.34
+49.43%
-2.65
-14.72%
-2.31
-408.00%
0.75
Basic Average Shares
28.77
+2.54%
28.06
+1.95%
27.52
+2.23%
26.92
Diluted Average Shares
28.77
+2.54%
28.06
+1.95%
27.52
-1.80%
28.03
Diluted NI Availto Com Stockholders
-38.54
+48.24%
-74.45
+3.83%
-77.42
-483.27%
20.20
Depreciation Amortization Depletion Income Statement
1.47
-74.66%
5.79
-6.83%
6.21
+4.18%
5.96
Depreciation And Amortization In Income Statement
1.47
-74.66%
5.79
-6.83%
6.21
+4.18%
5.96
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Assets
137.14
-21.06%
173.73
-16.93%
209.14
-22.38%
269.46
Current Assets
90.71
-33.57%
136.54
-12.14%
155.41
-27.04%
212.99
Cash Cash Equivalents And Short Term Investments
11.06
-68.34%
34.92
+86.66%
18.71
-61.15%
48.16
Cash And Cash Equivalents
11.06
-68.34%
34.92
+86.66%
18.71
-61.15%
48.16
Cash Financial
11.06
-68.34%
34.92
+86.66%
18.71
-61.15%
48.16
Receivables
41.05
-1.74%
41.77
-26.03%
56.48
-36.86%
89.44
Accounts Receivable
43.68
-0.30%
43.81
-24.93%
58.36
-34.98%
89.76
Receivables Adjustments Allowances
-3.40
+0.00%
-3.40
-33.36%
-2.55
-342.11%
-0.58
Other Receivables
0.00
+0.00%
0.00
-99.78%
0.45
+219.29%
0.14
Taxes Receivable
0.77
-43.46%
1.37
+516.67%
0.22
+89.74%
0.12
Inventory
27.52
-34.45%
41.99
-38.32%
68.08
+19.29%
57.07
Raw Materials
13.40
+24.48%
10.76
-49.40%
21.27
+41.71%
15.01
Finished Goods
43.04
-29.04%
60.66
-14.36%
70.83
+41.50%
50.05
Prepaid Assets
7.57
-35.10%
11.67
+161.53%
4.46
-62.38%
11.86
Other Current Assets
3.51
-43.27%
6.18
-19.53%
7.68
+18.84%
6.46
Total Non Current Assets
46.43
+24.86%
37.19
-30.79%
53.74
-4.84%
56.47
Net PPE
9.10
-14.83%
10.68
-48.59%
20.77
+35.93%
15.28
Gross PPE
44.82
-18.92%
55.28
+5.32%
52.49
+22.38%
42.89
Accumulated Depreciation
-35.73
+19.89%
-44.60
-40.63%
-31.72
-14.88%
-27.61
Properties
0.00
0.00
0.00
0.00
Machinery Furniture Equipment
5.65
-13.95%
6.57
+2.59%
6.40
+18.92%
5.38
Other Properties
36.94
-14.67%
43.29
-5.01%
45.57
+23.04%
37.04
Leases
2.23
-58.81%
5.43
+947.49%
0.52
+9.75%
0.47
Goodwill And Other Intangible Assets
15.25
+18.52%
12.87
-56.39%
29.50
+7.46%
27.45
Goodwill
0.87
+0.00%
0.87
-91.12%
9.84
+0.00%
9.84
Other Intangible Assets
14.38
+19.87%
11.99
-39.00%
19.66
+11.63%
17.61
Non Current Deferred Assets
3.69
-71.10%
12.78
Non Current Deferred Taxes Assets
3.69
-71.10%
12.78
Non Current Prepaid Assets
19.93
+61.58%
12.34
+359.96%
2.68
Other Non Current Assets
2.16
+64.83%
1.31
+67.48%
0.78
-18.22%
0.95
Total Liabilities Net Minority Interest
173.09
-2.19%
176.97
+19.56%
148.01
+19.28%
124.09
Current Liabilities
137.35
+1.06%
135.91
+42.34%
95.48
+9.48%
87.22
Payables And Accrued Expenses
58.12
+6.31%
54.67
-29.02%
77.02
+29.82%
59.33
Payables
17.85
+8.26%
16.49
-13.77%
19.12
-38.88%
31.28
Accounts Payable
17.85
+8.26%
16.49
-13.77%
19.12
-38.88%
31.28
Current Accrued Expenses
40.27
+5.47%
38.18
-34.05%
57.90
+106.46%
28.04
Pensionand Other Post Retirement Benefit Plans Current
2.81
-25.06%
3.75
-24.72%
4.99
-32.54%
7.39
Current Debt And Capital Lease Obligation
67.25
-2.36%
68.87
+1360.06%
4.72
+49.37%
3.16
Current Debt
66.38
-1.86%
67.64
+2023.01%
3.19
+0.89%
3.16
Other Current Borrowings
66.38
-1.86%
67.64
+2023.01%
3.19
+0.89%
3.16
Current Capital Lease Obligation
0.86
-29.95%
1.23
-19.53%
1.53
Current Deferred Liabilities
9.17
+6.46%
8.62
-1.70%
8.77
-1.66%
8.91
Current Deferred Revenue
9.17
+6.46%
8.62
-1.70%
8.77
-1.66%
8.91
Other Current Liabilities
13.12
+55.62%
8.43
Total Non Current Liabilities Net Minority Interest
35.74
-12.95%
41.05
-21.85%
52.53
+42.48%
36.87
Long Term Debt And Capital Lease Obligation
8.79
-1.76%
8.94
-68.65%
28.52
+7.09%
26.63
Long Term Debt
21.93
-10.37%
24.46
Long Term Capital Lease Obligation
8.79
-1.76%
8.94
+35.59%
6.59
+203.92%
2.17
Non Current Deferred Liabilities
14.57
+6.44%
13.69
+30.72%
10.47
+21.54%
8.62
Non Current Deferred Revenue
12.81
+5.17%
12.18
+16.32%
10.47
+21.54%
8.62
Non Current Deferred Taxes Liabilities
1.76
+16.71%
1.51
0.00
Other Non Current Liabilities
1.45
-1.09%
1.47
+12.31%
1.31
-19.21%
1.62
Stockholders Equity
-35.95
-1010.53%
-3.24
-105.30%
61.13
-57.95%
145.37
Common Stock Equity
-35.95
-1010.53%
-3.24
-105.30%
61.13
-57.95%
145.37
Capital Stock
0.00
+0.00%
0.00
+0.00%
0.00
+0.00%
0.00
Common Stock
0.00
+0.00%
0.00
+0.00%
0.00
+0.00%
0.00
Share Issued
29.35
+1.62%
28.89
+2.81%
28.10
+2.08%
27.52
Ordinary Shares Number
28.94
+1.16%
28.61
+2.79%
27.83
+1.91%
27.31
Treasury Shares Number
0.41
+50.35%
0.27
+4.89%
0.26
+24.24%
0.21
Additional Paid In Capital
169.80
+3.89%
163.44
+6.99%
152.77
+9.91%
139.00
Retained Earnings
-197.39
-24.26%
-158.85
-88.21%
-84.40
-758.27%
12.82
Gains Losses Not Affecting Retained Earnings
-2.60
-20.36%
-2.16
-33.81%
-1.61
-5.76%
-1.53
Treasury Stock
5.75
+1.55%
5.67
+0.73%
5.62
+14.26%
4.92
Other Equity Adjustments
-2.60
-20.36%
-2.16
-33.81%
-1.61
-5.76%
-1.53
Total Equity Gross Minority Interest
-35.95
-1010.53%
-3.24
-105.30%
61.13
-57.95%
145.37
Total Capitalization
-35.95
-1010.53%
-3.24
-103.90%
83.06
-51.10%
169.84
Working Capital
-46.65
-7539.55%
0.63
-98.95%
59.92
-52.36%
125.77
Invested Capital
30.43
-52.74%
64.40
-25.32%
86.24
-50.15%
172.99
Total Debt
76.03
-2.29%
77.81
+134.11%
33.24
+11.57%
29.79
Net Debt
55.33
+69.12%
32.71
+411.00%
6.40
Capital Lease Obligations
9.65
-5.17%
10.17
+25.20%
8.13
+274.47%
2.17
Net Tangible Assets
-51.20
-217.93%
-16.10
-150.92%
31.63
-73.18%
117.92
Tangible Book Value
-51.20
-217.93%
-16.10
-150.92%
31.63
-73.18%
117.92
Inventories Adjustments Allowances
-28.91
+1.75%
-29.43
-22.53%
-24.02
-200.45%
-7.99
Non Current Accrued Expenses
10.93
-35.55%
16.95
+38.64%
12.23
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
-15.71
-4.88%
-14.97
+10.31%
-16.70
-446.69%
-3.05
Cash Flow From Continuing Operating Activities
-15.71
-4.88%
-14.97
+10.31%
-16.70
-446.69%
-3.05
Net Income From Continuing Operations
-38.54
+48.24%
-74.45
-0.50%
-74.08
-466.73%
20.20
Depreciation Amortization Depletion
4.64
-51.96%
9.66
+7.04%
9.03
+18.81%
7.60
Depreciation
1.33
-68.79%
4.25
-2.14%
4.34
+10.94%
3.91
Amortization Cash Flow
3.31
-38.75%
5.41
+15.54%
4.68
+27.18%
3.68
Depreciation And Amortization
4.64
-51.96%
9.66
+7.04%
9.03
+18.81%
7.60
Amortization Of Intangibles
3.31
-38.75%
5.41
+15.54%
4.68
+27.18%
3.68
Other Non Cash Items
0.44
-0.23%
0.44
+132.63%
0.19
+6.15%
0.18
Stock Based Compensation
6.36
-35.31%
9.82
-15.26%
11.59
+8.55%
10.68
Provisionand Write Offof Assets
1.65
-75.88%
6.83
-52.97%
14.53
+288.08%
3.74
Asset Impairment Charge
0.19
-99.25%
25.54
0.00
Deferred Tax
0.25
-83.29%
1.51
-88.20%
12.78
+346.33%
-5.19
Deferred Income Tax
0.25
-83.29%
1.51
-88.20%
12.78
+346.33%
-5.19
Change In Working Capital
9.30
+63.90%
5.68
-38.76%
9.27
+123.02%
-40.26
Change In Receivables
-5.43
-176.42%
7.11
-80.94%
37.32
+389.17%
-12.91
Changes In Account Receivables
-6.03
-172.98%
8.27
-77.91%
37.42
Change In Inventory
12.82
-36.25%
20.11
+172.24%
-27.83
-2.95%
-27.03
Change In Prepaid Assets
4.10
+156.70%
-7.23
-452.54%
2.05
+616.78%
0.29
Change In Payables And Accrued Expense
9.93
+367.37%
-3.71
+76.02%
-15.49
-137.37%
-6.53
Change In Accrued Expense
8.49
+471.40%
-2.29
+9.43%
-2.52
+72.83%
-9.29
Change In Payable
1.44
+200.63%
-1.43
+88.99%
-12.97
-568.59%
2.77
Change In Account Payable
1.44
+200.63%
-1.43
+88.99%
-12.97
-568.59%
2.77
Change In Other Working Capital
-12.11
-14.21%
-10.60
-180.19%
13.22
+123.44%
5.92
Investing Cash Flow
-6.37
+46.50%
-11.90
-3.63%
-11.48
-24.19%
-9.24
Cash Flow From Continuing Investing Activities
-6.37
+46.50%
-11.90
-3.63%
-11.48
-24.19%
-9.24
Net PPE Purchase And Sale
-0.44
+93.13%
-6.40
-32.12%
-4.84
-5.92%
-4.57
Purchase Of PPE
-0.44
+93.13%
-6.40
-32.12%
-4.84
-5.92%
-4.57
Capital Expenditure
-6.37
+46.50%
-11.90
-3.63%
-11.48
-24.19%
-9.24
Net Business Purchase And Sale
0.00
Purchase Of Business
0.00
Net Intangibles Purchase And Sale
-5.92
-7.79%
-5.50
+17.16%
-6.64
-42.07%
-4.67
Purchase Of Intangibles
-5.92
-7.79%
-5.50
+17.16%
-6.64
-42.07%
-4.67
Financing Cash Flow
-1.40
-103.24%
43.18
+3502.92%
-1.27
-201.93%
1.25
Cash Flow From Continuing Financing Activities
-1.40
-103.24%
43.18
+3502.92%
-1.27
-201.93%
1.25
Net Issuance Payments Of Debt
-1.31
-103.10%
42.38
+1714.29%
-2.62
-33.32%
-1.97
Issuance Of Debt
0.00
-100.00%
45.00
0.00
0.00
Repayment Of Debt
-1.31
+50.02%
-2.62
+0.00%
-2.62
-33.32%
-1.97
Long Term Debt Issuance
0.00
-100.00%
45.00
0.00
0.00
Long Term Debt Payments
-1.31
+50.02%
-2.62
+0.00%
-2.62
-33.32%
-1.97
Net Long Term Debt Issuance
-1.31
-103.10%
42.38
+1714.29%
-2.62
-33.32%
-1.97
Net Common Stock Issuance
Proceeds From Stock Option Exercised
0.00
-100.00%
0.85
-61.02%
2.18
-48.14%
4.20
Net Other Financing Charges
-0.09
-112.20%
-0.04
+95.01%
-0.82
+16.63%
-0.99
Changes In Cash
-23.47
-243.90%
16.31
+155.39%
-29.45
-166.38%
-11.05
Effect Of Exchange Rate Changes
-0.12
-30.53%
-0.10
-1483.33%
-0.01
+92.00%
-0.07
Beginning Cash Position
34.92
+86.66%
18.71
-61.15%
48.16
-18.77%
59.29
End Cash Position
11.33
-67.56%
34.92
+86.66%
18.71
-61.15%
48.16
Free Cash Flow
-22.07
+17.87%
-26.87
+4.63%
-28.18
-129.10%
-12.30
Interest Paid Supplemental Data
3.58
-29.76%
5.10
+177.23%
1.84
+128.00%
0.81
Income Tax Paid Supplemental Data
0.50
4.92
+264.94%
1.35
Change In Interest Payable
Common Stock Issuance
Issuance Of Capital Stock
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

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