NASDAQ:WNW
Meiwu Technology Company Limited
- Stock
Last Close
1.65
06/11 19:42
Market Cap
2.13M
Beta: 1.63
Volume Today
183.24K
Avg: 552.10K
PE Ratio
−8.70
PFCF: −1.67
Preview
Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page
Jun '18 | Sep '18 | Dec '18 | Jun '19 | Dec '19 | Jun '20 | Dec '20 | Jun '21 | Dec '21 | Jun '22 | Dec '22 | Jun '23 | Dec '23 | Jun '24 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
net income | -62.28K - | -146.53K 135.26% | -917.81K 526.37% | -460.74K 49.80% | -1.29M 180.91% | -1.31M 1.47% | -904.72K 31.11% | -1.22M 34.55% | 135.32K 111.12% | -5.51M 4,168.30% | -5.57M 1.12% | -267.91K 95.19% | -15.80M 5,796.91% | -335.90K 97.87% | |
depreciation and amortization | 664 - | 59.83K 8,911.14% | 46.51K 22.27% | 254.86K 448.01% | 49.19K 80.70% | 258.38K 425.32% | 191.01K 26.07% | 197.31K 3.30% | 366.93K - | 183.10K - | 58.77K 67.90% | ||||
deferred income tax | |||||||||||||||
stock based compensation | |||||||||||||||
change in working capital | -68.34K - | 20.11K 129.42% | 24.06K 19.69% | -110.66K 559.87% | -676.60K 511.41% | 194.15K 128.69% | -1.86M 1,059.60% | 1.60M 185.97% | -98.59K 106.16% | -5.17M - | 2.54M - | -11.52M 553.73% | |||
accounts receivables | -28.04K - | 28.04K 200% | 73.36K 161.61% | -415.75K - | 443.64K 206.71% | -426.63K 196.17% | -4.10M - | 1.03M - | 886.15K 13.69% | ||||||
inventory | -40.30K - | -7.93K 80.31% | -49.30K 521.24% | -110.66K 124.49% | -676.60K 511.41% | 194.15K 128.69% | -1.45M 845.46% | 1.16M 180.01% | 328.04K 71.67% | -1.06M - | 606.53K - | -13.06M 2,254.02% | |||
accounts payables | |||||||||||||||
other working capital | 906.53K - | 655.23K 27.72% | |||||||||||||
other non cash items | 57.64K - | -32.86K 157.01% | 373.67K 1,237.13% | 524.89K 40.47% | 1.31M 149.00% | -38.77K 102.97% | 8.47M 21,947.68% | -7.54M 188.97% | -1.97M 73.92% | -4.57M 132.45% | 14.92M 426.53% | -65.73K 100.44% | 5.99M 9,207.49% | -1.05M 117.59% | |
net cash provided by operating activities | -72.98K - | -158.62K 117.35% | -460.25K 190.15% | -10 100.00% | -409.06K 4,090,490% | -1.11M 171.06% | 5.96M 637.58% | -6.96M 216.77% | -1.73M 75.13% | -10.07M 481.88% | 4.55M 145.18% | -333.64K 107.33% | -7.09M 2,024.79% | -12.85M 81.32% | |
investments in property plant and equipment | -16.37K - | -302.08K 1,745.68% | -116.41K 61.46% | 35.84K 130.78% | -2.56K 107.13% | -25.15K 883.92% | -58.85K 134.01% | -22.35K 62.03% | -25.92K - | -5.54K - | |||||
acquisitions net | |||||||||||||||
purchases of investments | |||||||||||||||
sales maturities of investments | |||||||||||||||
other investing activites | -72.37K - | 71.08K 198.22% | -26.50M 37,377.96% | 26.50M - | -26.91K 100.10% | 26.91K 200% | -6.76M 25,226.90% | 6.76M 200% | |||||||
net cash used for investing activites | 20.80K - | -16.37K 178.70% | -302.08K 1,745.68% | -116.41K 61.46% | -36.54K 68.61% | 68.53K 287.56% | -26.52M 38,805.07% | -58.85K 99.78% | 26.48M 45,091.76% | -26.91K 100.10% | 999.00 103.71% | -6.76M 677,067.47% | 6.76M 199.92% | ||
debt repayment | -9.63K - | ||||||||||||||
common stock issued | |||||||||||||||
common stock repurchased | |||||||||||||||
dividends paid | |||||||||||||||
other financing activites | 96.55K - | 185.29K 91.92% | 827.33K 346.50% | 417.08K 49.59% | 587.86K 40.95% | 712.60K 21.22% | 26.96M 3,683.23% | 415.69K 98.46% | 697.59K 67.81% | 7.67M 999.60% | -4.79M 162.49% | 157.07K 103.28% | 119.73K 23.77% | 37.30K 68.85% | |
net cash used provided by financing activities | 96.55K - | 185.29K 91.92% | 827.33K 346.50% | 417.08K 49.59% | 587.86K 40.95% | 712.60K 21.22% | 26.96M 3,683.23% | 415.69K 98.46% | 697.59K 67.81% | 7.67M 999.60% | -4.79M 162.49% | 157.07K 103.28% | 119.73K 23.77% | 27.66K 76.89% | |
effect of forex changes on cash | -1.05K - | -1.77K 68.61% | 2.30K 230.16% | -4.07K 276.83% | 8.08K 298.70% | -5.83K 172.12% | 418.98K 7,289.14% | 60.56K 85.55% | 705.23K 1,064.46% | 261.07K 62.98% | -507.88K 294.54% | -993.56K 95.63% | 490.42K 149.36% | -141.76K 128.91% | |
net change in cash | 43.32K - | 8.54K 80.29% | 67.30K 688.17% | 296.59K 340.69% | 150.34K 49.31% | -333.48K 321.81% | 6.82M 2,143.66% | -6.54M 196.01% | 26.15M 499.65% | -2.17M 108.29% | -749.35K 65.44% | -7.93M 958.65% | 278.32K 103.51% | 3.09M 1,011.72% | |
cash at beginning of period | -11.26K - | 32.06K 384.72% | 32.06K 0% | 99.36K 209.94% | 395.95K 298.51% | 546.29K 37.97% | 212.82K 61.04% | 7.03M 3,202.35% | 484.98K 93.10% | 26.63M 5,391.84% | 24.47M 8.14% | 23.72M 3.06% | 15.78M 33.45% | ||
cash at end of period | 32.06K - | 40.60K 26.64% | 99.36K 144.75% | 395.95K 298.51% | 546.29K 37.97% | 212.82K 61.04% | 7.03M 3,202.35% | 484.98K 93.10% | 26.63M 5,391.84% | 24.47M 8.14% | 23.72M 3.06% | 15.78M 33.45% | 16.06M 1.76% | 3.09M 80.74% | |
operating cash flow | -72.98K - | -158.62K 117.35% | -460.25K 190.15% | -10 100.00% | -409.06K 4,090,490% | -1.11M 171.06% | 5.96M 637.58% | -6.96M 216.77% | -1.73M 75.13% | -10.07M 481.88% | 4.55M 145.18% | -333.64K 107.33% | -7.09M 2,024.79% | -12.85M 81.32% | |
capital expenditure | -16.37K - | -302.08K 1,745.68% | -116.41K 61.46% | 35.84K 130.78% | -2.56K 107.13% | -25.15K 883.92% | -58.85K 134.01% | -22.35K 62.03% | -25.92K - | -5.54K - | |||||
free cash flow | -72.98K - | -174.99K 139.78% | -762.33K 335.65% | -116.42K 84.73% | -373.22K 220.59% | -1.11M 197.77% | 5.94M 634.08% | -7.02M 218.26% | -1.75M 75.02% | -10.07M 474.47% | 4.52M 144.92% | -333.64K 107.37% | -7.09M 2,026.45% | -12.85M 81.17% |
All numbers in USD (except ratios and percentages)