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NASDAQ:CCNC

Code Chain New Continent Limited

  • Stock

USD

Last Close

2.80

09/01 20:59

Volume Today

31.34K

Avg: 27.37K

PE Ratio

−1.00

PFCF: -

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Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
net income
-234.21K
-
-541.62K
131.25%
-573.75K
5.93%
1.45M
352.72%
-16.83M
1,260.44%
2.51M
114.92%
-26.97M
1,174.34%
-30.82M
14.28%
depreciation and amortization
671.71K
-
113.95K
83.04%
20.01K
82.44%
1.30M
6,393.60%
718
99.94%
deferred income tax
92.53K
-
79.75K
13.82%
-82.51K
203.47%
stock based compensation
15.55K
-
19.49M
-
change in working capital
45.30K
-
41.70K
7.96%
424.45K
917.98%
-3.66M
961.94%
588.46K
116.08%
1.56M
164.67%
-11.66M
848.68%
129.90K
101.11%
accounts receivables
3.03M
-
852.56K
71.87%
1.21M
41.72%
-420.73K
134.82%
-158.39K
62.35%
inventory
3.25M
-
152.55K
95.31%
219.96K
44.19%
-591.64K
368.98%
-2.95K
99.50%
accounts payables
-7.79K
-
106.86K
1,472.67%
80.16K
24.99%
-471.05K
687.67%
633.22K
234.43%
2.75M
333.69%
291.23K
89.40%
other working capital
45.30K
-
49.48K
9.23%
317.58K
541.85%
-10.02M
3,254.86%
54.39K
100.54%
-503.94K
1,026.46%
-13.39M
2,557.95%
-129.90K
99.03%
other non cash items
32.53K
-
97.60K
200.03%
-593.99K
-
16.80M
2,928.94%
-4.01M
123.85%
12.33M
407.76%
29.81M
141.66%
net cash provided by operating activities
-156.38K
-
-386.77K
147.33%
-149.31K
61.40%
-2.04M
1,265.12%
759.46K
137.26%
-2.10K
100.28%
-5.51M
262,206.14%
-886.21K
83.92%
investments in property plant and equipment
-3.52K
-
-1.23M
-
-308.78K
74.96%
acquisitions net
2.45M
-
288.79K
-
purchases of investments
-3.12M
-
sales maturities of investments
9.63M
-
1.16M
-
other investing activites
-50.02M
-
-85.96K
99.83%
71.18K
182.80%
-1.63M
-
-961.71K
41.02%
-12.49M
1,199.08%
net cash used for investing activites
-50.02M
-
-85.96K
99.83%
9.70M
11,386.60%
2.44M
74.80%
-4.53M
-
-1.27M
71.96%
-12.49M
883.35%
debt repayment
-2.27M
-
-507.49K
77.60%
common stock issued
65.07K
-
133.34K
-
2.98M
2,138.04%
2.61M
12.54%
22.54M
763.64%
7.68M
65.93%
common stock repurchased
50.66M
-
-9.63M
-
6.16M
-
dividends paid
other financing activites
140.50K
-
-65.07K
146.31%
2.08M
-
449.30K
-
-5.90M
1,414.09%
-7.68M
30.08%
net cash used provided by financing activities
50.80M
-
65.07K
99.87%
-9.63M
14,902.08%
-52.17K
99.46%
2.48M
4,846.82%
3.06M
23.52%
22.80M
645.16%
7.68M
66.31%
effect of forex changes on cash
-65.07K
-
-89.45K
-
64.94K
172.60%
-11.14K
117.15%
-2.42M
21,672.75%
-819.66K
66.19%
net change in cash
623.04K
-
-472.74K
175.88%
-78.13K
83.47%
264.85K
439.00%
3.30M
1,146.35%
-1.48M
144.98%
13.59M
1,015.22%
-14.20M
204.49%
cash at beginning of period
726.74K
-
623.04K
14.27%
150.31K
75.88%
461.88K
207.30%
726.74K
57.34%
2.48M
241.74%
998.72K
59.79%
14.59M
1,360.71%
cash at end of period
1.35M
-
150.31K
88.86%
72.18K
51.98%
726.74K
906.87%
4.03M
454.22%
998.72K
75.20%
14.59M
1,360.71%
389.11K
97.33%
operating cash flow
-156.38K
-
-386.77K
147.33%
-149.31K
61.40%
-2.04M
1,265.12%
759.46K
137.26%
-2.10K
100.28%
-5.51M
262,206.14%
-886.21K
83.92%
capital expenditure
-3.52K
-
-1.23M
-
-308.78K
74.96%
free cash flow
-156.38K
-
-386.77K
147.33%
-149.31K
61.40%
-2.04M
1,267.48%
759.46K
137.20%
-1.23M
262.62%
-5.82M
371.24%
-886.21K
84.77%

All numbers in USD (except ratios and percentages)