US Stock MarketDetailed Quotes

AIHS Senmiao Technology

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  • 0.8355
  • -0.0265-3.07%
Close Nov 15 16:00 ET
  • 0.8355
  • 0.00000.00%
Post 20:01 ET
8.79MMarket Cap-2258P/E (TTM)

Senmiao Technology Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-91.82%16.76K
-98.70%7.24K
-180.22%-247.51K
163.37%166.62K
-5,936.04%-116.74K
-60.15%204.87K
106.17%557.84K
114.28%308.55K
85.05%-262.92K
99.93%-1.93K
Net income from continuing operations
-81.04%-762.82K
-11.70%-4.23M
8.41%-1.71M
9.36%-893.93K
-2.34%-1.21M
-272.74%-421.35K
32.38%-3.79M
-366.88%-1.87M
-444.57%-986.27K
-162.81%-1.18M
Operating gains losses
101.75%5.73K
88.55%-247.75K
162.84%193.98K
81.62%-50.77K
81.29%-64.13K
79.82%-326.84K
68.86%-2.16M
104.18%73.8K
92.19%-276.15K
88.64%-342.69K
Depreciation and amortization
-7.15%352.3K
-24.50%1.5M
-15.01%348.57K
-14.72%394.98K
-32.68%380.58K
-31.35%379.43K
-3.92%1.99M
-34.70%410.14K
-15.79%463.19K
10.81%565.33K
Deferred tax
----
---29.22K
----
----
----
----
--0
----
----
----
Other non cash items
----
---18.27K
----
----
----
----
----
----
----
----
Change In working capital
-44.44%248.11K
-71.52%863.1K
-111.30%-76.43K
-33.61%272.03K
-62.49%220.94K
-67.06%446.55K
752.16%3.03M
185.33%676.24K
175.56%409.77K
149.76%588.94K
-Change in receivables
-41.71%44.3K
-71.86%134.3K
-136.02%-44.01K
8.60%72.22K
-78.12%30.1K
-49.68%76K
-25.26%477.28K
65.46%122.19K
-23.58%66.5K
-60.31%137.55K
-Change in inventory
--0
-97.84%6.83K
-776.82%-57.43K
80.57%-282
-79.04%58K
-86.23%6.54K
221.38%316.14K
96.08%-6.55K
-103.53%-1.45K
3,491.71%276.66K
-Change in prepaid assets
109.31%15.29K
-79.55%213.99K
384.48%196.85K
-12.85%304.54K
-181.11%-123.18K
-126.73%-164.21K
3,603.78%1.05M
89.44%-69.2K
28.91%349.43K
-83.41%151.86K
-Change in payables and accrued expense
-63.39%191.04K
-40.40%799.36K
-98.28%11.21K
-140.78%-57.33K
46,137.55%323.64K
-4.76%521.83K
427.61%1.34M
265.93%653.45K
117.31%140.58K
99.97%-703
-Change in other current liabilities
83.56%-4.21K
-45.55%-272.76K
-232.60%-167.99K
71.79%-31.6K
-1,447.32%-47.58K
-17.27%-25.59K
59.99%-187.4K
78.13%-50.51K
12.94%-112K
95.19%-3.08K
-Change in other working capital
-94.73%1.69K
-150.46%-18.63K
-156.02%-15.05K
53.39%-15.51K
-175.21%-20.04K
91.67%31.98K
452.73%36.91K
216.41%26.86K
-5,502.69%-33.28K
346.02%26.65K
Cash from discontinued investing activities
Operating cash flow
-91.82%16.76K
-98.70%7.24K
-180.22%-247.51K
163.37%166.62K
-5,936.04%-116.74K
-60.15%204.87K
106.09%557.84K
111.43%308.55K
42.13%-262.92K
99.92%-1.93K
Investing cash flow
Cash flow from continuing investing activities
102.20%7.25K
-277.71%-569.61K
-185.09%-28.4K
-108.12%-264.55K
-86.30%53.41K
-1,456.51%-330.07K
109.52%320.53K
-82.86%33.38K
90.91%-127.12K
1,817.34%389.93K
Net PPE purchase and sale
102.20%7.25K
-264.18%-569.61K
-185.06%-28.4K
-107.32%-264.55K
-87.16%53.41K
-1,407.61%-330.07K
110.76%346.95K
-87.16%33.39K
90.34%-127.6K
1,945.10%415.91K
Net intangibles purchase and sale
----
--0
--0
--0
----
----
81.36%-26.42K
99.98%-12
100.63%485
---25.98K
Cash from discontinued investing activities
Investing cash flow
102.20%7.25K
-277.71%-569.61K
-185.09%-28.4K
-108.12%-264.55K
-86.30%53.41K
-1,456.51%-330.07K
109.22%320.53K
-45.25%33.38K
90.90%-127.12K
683.54%389.93K
Financing cash flow
Cash flow from continuing financing activities
78.28%-53.71K
54.97%-168.34K
109.61%26.18K
-28.59%-171.6K
261.44%224.4K
-244.57%-247.32K
-103.83%-373.83K
-297.14%-272.46K
-101.74%-133.45K
96.30%-139K
Net issuance payments of debt
71.95%-24.25K
2.05%-507.39K
24.90%-312.87K
-120.63%-294.42K
234.08%186.37K
-150.55%-86.47K
-78.72%-517.99K
-253.44%-416.61K
-104.05%-133.45K
96.30%-139K
Net other financing activities
81.69%-29.45K
135.20%339.05K
----
----
--38.03K
---160.85K
222.41%144.15K
----
----
----
Cash from discontinued financing activities
Financing cash flow
78.28%-53.71K
54.97%-168.34K
109.61%26.18K
-28.59%-171.6K
261.44%224.4K
-244.57%-247.32K
-103.83%-373.83K
-117.26%-272.46K
-104.87%-133.45K
-218.47%-139K
Net cash flow
Beginning cash position
-50.65%794.64K
35.85%1.61M
-30.59%1.07M
-33.50%1.31M
-36.70%1.17M
35.85%1.61M
-73.35%1.19M
-45.12%1.54M
11.29%1.97M
-54.07%1.85M
Current changes in cash
92.03%-29.7K
-244.83%-730.71K
-459.48%-249.73K
48.51%-269.55K
-35.30%161.1K
-152.50%-372.52K
117.51%504.53K
106.55%69.47K
-159.06%-523.48K
110.74%249K
Effect of exchange rate changes
78.86%-13.48K
-6.38%-84.75K
-858.29%-22.83K
-69.02%29.61K
79.86%-27.75K
-57.75%-63.77K
79.14%-79.66K
100.54%3.01K
-35.97%95.56K
-390.22%-137.8K
End cash Position
-35.98%751.46K
-50.65%794.64K
-50.65%794.64K
-30.59%1.07M
-33.50%1.31M
-36.70%1.17M
35.85%1.61M
35.85%1.61M
-45.12%1.54M
11.29%1.97M
Free cash flow
108.91%15.58K
-7.23%-664.44K
-174.25%-275.81K
91.94%-118.85K
-223.97%-94.99K
-134.09%-174.79K
95.05%-619.66K
114.83%371.46K
20.39%-1.47M
98.75%-29.32K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -91.82%16.76K-98.70%7.24K-180.22%-247.51K163.37%166.62K-5,936.04%-116.74K-60.15%204.87K106.17%557.84K114.28%308.55K85.05%-262.92K99.93%-1.93K
Net income from continuing operations -81.04%-762.82K-11.70%-4.23M8.41%-1.71M9.36%-893.93K-2.34%-1.21M-272.74%-421.35K32.38%-3.79M-366.88%-1.87M-444.57%-986.27K-162.81%-1.18M
Operating gains losses 101.75%5.73K88.55%-247.75K162.84%193.98K81.62%-50.77K81.29%-64.13K79.82%-326.84K68.86%-2.16M104.18%73.8K92.19%-276.15K88.64%-342.69K
Depreciation and amortization -7.15%352.3K-24.50%1.5M-15.01%348.57K-14.72%394.98K-32.68%380.58K-31.35%379.43K-3.92%1.99M-34.70%410.14K-15.79%463.19K10.81%565.33K
Deferred tax -------29.22K------------------0------------
Other non cash items -------18.27K--------------------------------
Change In working capital -44.44%248.11K-71.52%863.1K-111.30%-76.43K-33.61%272.03K-62.49%220.94K-67.06%446.55K752.16%3.03M185.33%676.24K175.56%409.77K149.76%588.94K
-Change in receivables -41.71%44.3K-71.86%134.3K-136.02%-44.01K8.60%72.22K-78.12%30.1K-49.68%76K-25.26%477.28K65.46%122.19K-23.58%66.5K-60.31%137.55K
-Change in inventory --0-97.84%6.83K-776.82%-57.43K80.57%-282-79.04%58K-86.23%6.54K221.38%316.14K96.08%-6.55K-103.53%-1.45K3,491.71%276.66K
-Change in prepaid assets 109.31%15.29K-79.55%213.99K384.48%196.85K-12.85%304.54K-181.11%-123.18K-126.73%-164.21K3,603.78%1.05M89.44%-69.2K28.91%349.43K-83.41%151.86K
-Change in payables and accrued expense -63.39%191.04K-40.40%799.36K-98.28%11.21K-140.78%-57.33K46,137.55%323.64K-4.76%521.83K427.61%1.34M265.93%653.45K117.31%140.58K99.97%-703
-Change in other current liabilities 83.56%-4.21K-45.55%-272.76K-232.60%-167.99K71.79%-31.6K-1,447.32%-47.58K-17.27%-25.59K59.99%-187.4K78.13%-50.51K12.94%-112K95.19%-3.08K
-Change in other working capital -94.73%1.69K-150.46%-18.63K-156.02%-15.05K53.39%-15.51K-175.21%-20.04K91.67%31.98K452.73%36.91K216.41%26.86K-5,502.69%-33.28K346.02%26.65K
Cash from discontinued investing activities
Operating cash flow -91.82%16.76K-98.70%7.24K-180.22%-247.51K163.37%166.62K-5,936.04%-116.74K-60.15%204.87K106.09%557.84K111.43%308.55K42.13%-262.92K99.92%-1.93K
Investing cash flow
Cash flow from continuing investing activities 102.20%7.25K-277.71%-569.61K-185.09%-28.4K-108.12%-264.55K-86.30%53.41K-1,456.51%-330.07K109.52%320.53K-82.86%33.38K90.91%-127.12K1,817.34%389.93K
Net PPE purchase and sale 102.20%7.25K-264.18%-569.61K-185.06%-28.4K-107.32%-264.55K-87.16%53.41K-1,407.61%-330.07K110.76%346.95K-87.16%33.39K90.34%-127.6K1,945.10%415.91K
Net intangibles purchase and sale ------0--0--0--------81.36%-26.42K99.98%-12100.63%485---25.98K
Cash from discontinued investing activities
Investing cash flow 102.20%7.25K-277.71%-569.61K-185.09%-28.4K-108.12%-264.55K-86.30%53.41K-1,456.51%-330.07K109.22%320.53K-45.25%33.38K90.90%-127.12K683.54%389.93K
Financing cash flow
Cash flow from continuing financing activities 78.28%-53.71K54.97%-168.34K109.61%26.18K-28.59%-171.6K261.44%224.4K-244.57%-247.32K-103.83%-373.83K-297.14%-272.46K-101.74%-133.45K96.30%-139K
Net issuance payments of debt 71.95%-24.25K2.05%-507.39K24.90%-312.87K-120.63%-294.42K234.08%186.37K-150.55%-86.47K-78.72%-517.99K-253.44%-416.61K-104.05%-133.45K96.30%-139K
Net other financing activities 81.69%-29.45K135.20%339.05K----------38.03K---160.85K222.41%144.15K------------
Cash from discontinued financing activities
Financing cash flow 78.28%-53.71K54.97%-168.34K109.61%26.18K-28.59%-171.6K261.44%224.4K-244.57%-247.32K-103.83%-373.83K-117.26%-272.46K-104.87%-133.45K-218.47%-139K
Net cash flow
Beginning cash position -50.65%794.64K35.85%1.61M-30.59%1.07M-33.50%1.31M-36.70%1.17M35.85%1.61M-73.35%1.19M-45.12%1.54M11.29%1.97M-54.07%1.85M
Current changes in cash 92.03%-29.7K-244.83%-730.71K-459.48%-249.73K48.51%-269.55K-35.30%161.1K-152.50%-372.52K117.51%504.53K106.55%69.47K-159.06%-523.48K110.74%249K
Effect of exchange rate changes 78.86%-13.48K-6.38%-84.75K-858.29%-22.83K-69.02%29.61K79.86%-27.75K-57.75%-63.77K79.14%-79.66K100.54%3.01K-35.97%95.56K-390.22%-137.8K
End cash Position -35.98%751.46K-50.65%794.64K-50.65%794.64K-30.59%1.07M-33.50%1.31M-36.70%1.17M35.85%1.61M35.85%1.61M-45.12%1.54M11.29%1.97M
Free cash flow 108.91%15.58K-7.23%-664.44K-174.25%-275.81K91.94%-118.85K-223.97%-94.99K-134.09%-174.79K95.05%-619.66K114.83%371.46K20.39%-1.47M98.75%-29.32K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

Analysis

Analyst Rating

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Price Target

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