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NASDAQ:WNW

Meiwu Technology Company Limited

  • Stock

USD

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

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Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
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%
-16.07M
45.11%
depreciation and amortization
59.83K
-
301.37K
403.67%
307.56K
2.06%
388.32K
26.26%
366.93K
5.51%
183.10K
50.10%
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%
744.73K
166.92%
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%
1.03M
125.03%
inventory
-89.59K
-
-787.27K
778.72%
-1.25M
59.17%
1.49M
218.58%
-1.06M
171.52%
606.53K
157.07%
accounts payables
399.94K
-
790.11K
97.56%
4.20M
431.40%
-4.12M
198.22%
3.33M
180.78%
-2.31M
169.24%
other working capital
-399.94K
-
1.05M
362.29%
-4.20M
500.26%
4.12M
198.22%
721.12K
82.51%
1.42M
96.65%
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%
8.76M
39.07%
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%
-7.42M
34.41%
investments in property plant and equipment
-302.08K
-
-80.57K
73.33%
-27.70K
65.62%
-81.20K
193.08%
-25.92K
68.08%
-5.54K
78.63%
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%
-5.54K
78.63%
debt repayment
-817.39K
-
-107.98K
86.79%
-1.01M
831.19%
-294.73K
70.69%
-2.88M
876.30%
-104.92K
96.35%
common stock issued
26.50M
-
171.87K
-
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%
171.87K
94.03%
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%
276.79K
90.38%
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%
-503.14K
103.86%
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%
-7.65M
162.37%
cash at beginning 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%
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%
16.06M
32.28%
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%
-7.42M
34.41%
capital expenditure
-302.08K
-
-80.57K
73.33%
-27.70K
65.62%
-81.20K
193.08%
-25.92K
68.08%
-5.54K
78.63%
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%
-7.43M
33.89%

All numbers in USD (except ratios and percentages)