NASDAQ:WNW
Meiwu Technology Company Limited
- Stock
Last Close
1.09
15/05 20:00
Market Cap
29.63M
Beta: 1.63
Volume Today
250.45K
Avg: 552.10K
PE Ratio
−8.70
PFCF: −1.67
Dec '17 | Dec '18 | Dec '19 | Dec '20 | Dec '21 | Dec '22 | ||
---|---|---|---|---|---|---|---|
net income | 33.53K - | -980.10K 3,023.40% | -1.76M 79.07% | -2.22M 26.38% | -1.08M 51.22% | -11.07M 923.34% | |
depreciation and amortization | 59.83K - | 301.37K 403.67% | 307.56K 2.06% | 388.32K 26.26% | 366.93K 5.51% | ||
deferred income tax | |||||||
stock based compensation | |||||||
change in working capital | -44.40K - | -44.27K 0.28% | -787.27K 1,678.17% | -1.67M 111.98% | 1.50M 190.06% | -1.11M 174.04% | |
accounts receivables | -44.40K - | 45.32K 202.07% | -1.84M 4,158.23% | -415.75K 77.39% | 17.01K 104.09% | -4.10M 24,218.64% | |
inventory | -89.59K - | -787.27K 778.72% | -1.25M 59.17% | 1.49M 218.58% | -1.06M 171.52% | ||
accounts payables | 399.94K - | 790.11K 97.56% | 4.20M 431.40% | -4.12M 198.22% | 3.33M 180.78% | ||
other working capital | -399.94K - | 1.05M 362.29% | -4.20M 500.26% | 4.12M 198.22% | 721.12K 82.51% | ||
other non cash items | -2.64K - | 431.31K 16,431.47% | 1.83M 324.72% | 8.43M 360.25% | -9.50M 212.69% | 6.30M 166.26% | |
net cash provided by operating activities | -13.52K - | -533.22K 3,845.42% | -409.07K 23.28% | 4.85M 1,286.05% | -8.69M 279.14% | -5.52M 36.46% | |
investments in property plant and equipment | -302.08K - | -80.57K 73.33% | -27.70K 65.62% | -81.20K 193.08% | -25.92K 68.08% | ||
acquisitions net | 72.42K - | ||||||
purchases of investments | -272.36K - | -72.37K 73.43% | -144.84K 100.14% | ||||
sales maturities of investments | 72.42K - | ||||||
other investing activites | 272.36K - | -26.43M - | 26.50M 200.27% | ||||
net cash used for investing activites | 266 - | -302.08K 113,665.04% | -152.94K 49.37% | -26.46M 17,197.37% | 26.42M 199.86% | -25.92K 100.10% | |
debt repayment | -817.39K - | -107.98K 86.79% | -1.01M 831.19% | -294.73K 70.69% | -2.88M 876.30% | ||
common stock issued | 26.50M - | ||||||
common stock repurchased | |||||||
dividends paid | |||||||
other financing activites | 22.43K - | 1.74M 7,664.48% | 1.11M 36.09% | 2.18M 95.66% | 1.41M 35.34% | 2.88M 104.37% | |
net cash used provided by financing activities | 22.43K - | 923.88K 4,019.66% | 1.00M 8.77% | 27.67M 2,653.62% | 1.11M 95.98% | 2.88M 158.47% | |
effect of forex changes on cash | 361 - | 1.25K 246.81% | 4.01K 220.61% | 413.15K 10,192.85% | 765.79K 85.35% | -246.81K 132.23% | |
net change in cash | 9.54K - | 89.82K 841.72% | 446.94K 397.58% | 6.48M 1,350.25% | 19.61M 202.49% | -2.92M 114.88% | |
cash at beginning of period | 9.54K - | 99.36K 941.72% | 546.29K 449.82% | 7.03M 1,186.48% | 26.63M 278.98% | ||
cash at end of period | 9.54K - | 99.36K 941.72% | 546.29K 449.82% | 7.03M 1,186.48% | 26.63M 278.98% | 23.72M 10.95% | |
operating cash flow | -13.52K - | -533.22K 3,845.42% | -409.07K 23.28% | 4.85M 1,286.05% | -8.69M 279.14% | -5.52M 36.46% | |
capital expenditure | -302.08K - | -80.57K 73.33% | -27.70K 65.62% | -81.20K 193.08% | -25.92K 68.08% | ||
free cash flow | -13.52K - | -835.31K 6,080.59% | -489.64K 41.38% | 4.82M 1,085.22% | -8.77M 281.85% | -5.55M 36.76% |
All numbers in USD (except ratios and percentages)