US Stock MarketDetailed Quotes

AIMD Ainos

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  • 0.6540
  • -0.0250-3.68%
Close Aug 27 16:00 ET
  • 0.6640
  • +0.0100+1.53%
Pre 06:13 ET
5.26MMarket Cap-203P/E (TTM)

Ainos Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-72.23%-1.97M
-4.37%-1.49M
-54.39%-4.69M
-121.40%-1.37M
6.07%-743.3K
-378.81%-1.15M
-3.05%-1.43M
-143.26%-3.04M
8.92%-620.1K
-50.38%-791.36K
Net income from continuing operations
-35.97%-3.2M
-31.52%-3.31M
1.69%-13.77M
-178.01%-5.92M
61.95%-2.98M
-20.25%-2.35M
-20.03%-2.52M
-260.19%-14.01M
-47.50%-2.13M
-574.23%-7.82M
Depreciation and amortization
-1.73%1.2M
-0.29%1.2M
0.78%4.87M
-0.66%1.22M
0.10%1.23M
0.71%1.22M
3.07%1.2M
136.42%4.83M
41.54%1.23M
85.17%1.23M
Other non cash items
--66.84K
--170.56K
--2.38M
--2.12M
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Change In working capital
-179.05%-465.93K
105.97%22.69K
165.59%189.8K
1,344.46%383.98K
228.36%352.81K
-136.21%-166.97K
24.33%-380.02K
-165.51%-289.35K
-71.97%26.58K
-1,583.60%-274.87K
-Change in receivables
-95.91%4.16K
-104.12%-3.72K
199.77%201.09K
-100.15%-293
102.49%9.22K
441.01%101.9K
--90.26K
---201.55K
344.98%198.65K
-489.38%-370.32K
-Change in inventory
-89.17%3.33K
89.66%-2.06K
137.26%221.77K
108.55%214.96K
85.60%-4K
109.25%30.76K
94.09%-19.95K
-19,783.27%-595.22K
58,798.86%103.07K
-15,778.86%-27.79K
-Change in payables and accrued expense
-38.64%-486.87K
74.78%-86.44K
-151.43%-121.88K
252.93%377.22K
154.92%194.87K
-149.80%-351.17K
-357.16%-342.81K
-72.24%237K
-164.38%-246.66K
-252.62%-354.82K
-Change in other current assets
-73.92%13.44K
206.86%114.91K
-182.74%-223.73K
-414.00%-222.98K
-94.93%55.23K
110.78%51.54K
63.88%-107.53K
165.15%270.41K
86.98%-43.38K
11,018.85%1.09M
-Change in other current liabilities
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---4.77K
-Change in other working capital
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--112.56K
--838
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Cash from discontinued investing activities
Operating cash flow
-72.23%-1.97M
-4.37%-1.49M
-54.39%-4.69M
-121.40%-1.37M
6.07%-743.3K
-378.81%-1.15M
-3.05%-1.43M
-143.26%-3.04M
8.92%-620.1K
-50.38%-791.36K
Investing cash flow
Cash flow from continuing investing activities
-797.13%-8.51K
-53.53%-111.28K
83.89%-101.53K
-54.15%16K
80.76%-46.27K
100.42%1.22K
46.66%-72.48K
-249.10%-630.18K
125.44%34.9K
-1,098.77%-240.52K
Net PPE purchase and sale
-734.27%-5.85K
93.87%-4.43K
85.33%-92.98K
-58.62%14.88K
85.07%-36.61K
100.32%922
46.88%-72.18K
-340.79%-633.82K
135.18%35.97K
-1,242.36%-245.24K
Net other investing changes
---2.66K
-35,636.45%-106.85K
-334.32%-8.54K
204.87%1.12K
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---299
109.93%3.65K
96.94%-1.07K
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Cash from discontinued investing activities
Investing cash flow
-797.13%-8.51K
-53.53%-111.28K
83.89%-101.53K
-54.15%16K
80.76%-46.27K
100.42%1.22K
46.66%-72.48K
-249.10%-630.18K
125.44%34.9K
-1,098.77%-240.52K
Financing cash flow
Cash flow from continuing financing activities
549.36%9M
-2.81%777.5K
27.86%4.92M
899.7K
11.34%1.84M
149.67%1.39M
-51.36%800K
22.08%3.85M
0
158.13%1.65M
Net issuance payments of debt
549.36%9M
9.38%875K
156.64%5.31M
--1M
1,744.45%2.13M
149.67%1.39M
-51.36%800K
-32.98%2.07M
--0
-122.51%-129.41K
Net common stock issuance
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-100.02%-301
----
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--1.78M
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Net other financing activities
--0
---97.5K
---390K
---100K
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Cash from discontinued financing activities
Financing cash flow
549.36%9M
-2.81%777.5K
27.86%4.92M
--899.7K
11.34%1.84M
149.67%1.39M
-51.36%800K
22.08%3.85M
--0
158.13%1.65M
Net cash flow
Beginning cash position
-10.05%1.03M
1.74%1.89M
5.82%1.85M
-1.91%2.37M
-22.40%1.36M
-38.75%1.15M
5.82%1.85M
7,773.67%1.75M
241.92%2.42M
189.11%1.75M
Current changes in cash
2,812.11%7.02M
-17.57%-828.53K
-29.13%127.48K
21.87%-457.21K
69.40%1.05M
790.21%240.97K
-691.72%-704.71K
-89.57%179.88K
-155.93%-585.2K
563.75%618.92K
Effect of exchange rate changes
-30.65%-34.14K
-940.59%-26.2K
-22.04%-95.21K
-231.33%-28.12K
-186.67%-38.44K
81.92%-26.13K
-433.95%-2.52K
-1,551.55%-78.02K
1,380.74%21.41K
529.37%44.35K
End cash Position
488.85%8.01M
-10.05%1.03M
1.74%1.89M
1.74%1.89M
-1.91%2.37M
-22.40%1.36M
-38.75%1.15M
5.82%1.85M
5.82%1.85M
241.92%2.42M
Free cash flow
-72.88%-1.98M
0.35%-1.5M
-30.29%-4.79M
-132.49%-1.36M
24.76%-779.91K
-116.89%-1.15M
1.40%-1.5M
-163.64%-3.67M
25.40%-584.13K
-90.38%-1.04M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -72.23%-1.97M-4.37%-1.49M-54.39%-4.69M-121.40%-1.37M6.07%-743.3K-378.81%-1.15M-3.05%-1.43M-143.26%-3.04M8.92%-620.1K-50.38%-791.36K
Net income from continuing operations -35.97%-3.2M-31.52%-3.31M1.69%-13.77M-178.01%-5.92M61.95%-2.98M-20.25%-2.35M-20.03%-2.52M-260.19%-14.01M-47.50%-2.13M-574.23%-7.82M
Depreciation and amortization -1.73%1.2M-0.29%1.2M0.78%4.87M-0.66%1.22M0.10%1.23M0.71%1.22M3.07%1.2M136.42%4.83M41.54%1.23M85.17%1.23M
Other non cash items --66.84K--170.56K--2.38M--2.12M------------------------
Change In working capital -179.05%-465.93K105.97%22.69K165.59%189.8K1,344.46%383.98K228.36%352.81K-136.21%-166.97K24.33%-380.02K-165.51%-289.35K-71.97%26.58K-1,583.60%-274.87K
-Change in receivables -95.91%4.16K-104.12%-3.72K199.77%201.09K-100.15%-293102.49%9.22K441.01%101.9K--90.26K---201.55K344.98%198.65K-489.38%-370.32K
-Change in inventory -89.17%3.33K89.66%-2.06K137.26%221.77K108.55%214.96K85.60%-4K109.25%30.76K94.09%-19.95K-19,783.27%-595.22K58,798.86%103.07K-15,778.86%-27.79K
-Change in payables and accrued expense -38.64%-486.87K74.78%-86.44K-151.43%-121.88K252.93%377.22K154.92%194.87K-149.80%-351.17K-357.16%-342.81K-72.24%237K-164.38%-246.66K-252.62%-354.82K
-Change in other current assets -73.92%13.44K206.86%114.91K-182.74%-223.73K-414.00%-222.98K-94.93%55.23K110.78%51.54K63.88%-107.53K165.15%270.41K86.98%-43.38K11,018.85%1.09M
-Change in other current liabilities ---------------------------------------4.77K
-Change in other working capital ----------112.56K--838------------------------
Cash from discontinued investing activities
Operating cash flow -72.23%-1.97M-4.37%-1.49M-54.39%-4.69M-121.40%-1.37M6.07%-743.3K-378.81%-1.15M-3.05%-1.43M-143.26%-3.04M8.92%-620.1K-50.38%-791.36K
Investing cash flow
Cash flow from continuing investing activities -797.13%-8.51K-53.53%-111.28K83.89%-101.53K-54.15%16K80.76%-46.27K100.42%1.22K46.66%-72.48K-249.10%-630.18K125.44%34.9K-1,098.77%-240.52K
Net PPE purchase and sale -734.27%-5.85K93.87%-4.43K85.33%-92.98K-58.62%14.88K85.07%-36.61K100.32%92246.88%-72.18K-340.79%-633.82K135.18%35.97K-1,242.36%-245.24K
Net other investing changes ---2.66K-35,636.45%-106.85K-334.32%-8.54K204.87%1.12K-----------299109.93%3.65K96.94%-1.07K----
Cash from discontinued investing activities
Investing cash flow -797.13%-8.51K-53.53%-111.28K83.89%-101.53K-54.15%16K80.76%-46.27K100.42%1.22K46.66%-72.48K-249.10%-630.18K125.44%34.9K-1,098.77%-240.52K
Financing cash flow
Cash flow from continuing financing activities 549.36%9M-2.81%777.5K27.86%4.92M899.7K11.34%1.84M149.67%1.39M-51.36%800K22.08%3.85M0158.13%1.65M
Net issuance payments of debt 549.36%9M9.38%875K156.64%5.31M--1M1,744.45%2.13M149.67%1.39M-51.36%800K-32.98%2.07M--0-122.51%-129.41K
Net common stock issuance ---------100.02%-301------------------1.78M--------
Net other financing activities --0---97.5K---390K---100K------------------------
Cash from discontinued financing activities
Financing cash flow 549.36%9M-2.81%777.5K27.86%4.92M--899.7K11.34%1.84M149.67%1.39M-51.36%800K22.08%3.85M--0158.13%1.65M
Net cash flow
Beginning cash position -10.05%1.03M1.74%1.89M5.82%1.85M-1.91%2.37M-22.40%1.36M-38.75%1.15M5.82%1.85M7,773.67%1.75M241.92%2.42M189.11%1.75M
Current changes in cash 2,812.11%7.02M-17.57%-828.53K-29.13%127.48K21.87%-457.21K69.40%1.05M790.21%240.97K-691.72%-704.71K-89.57%179.88K-155.93%-585.2K563.75%618.92K
Effect of exchange rate changes -30.65%-34.14K-940.59%-26.2K-22.04%-95.21K-231.33%-28.12K-186.67%-38.44K81.92%-26.13K-433.95%-2.52K-1,551.55%-78.02K1,380.74%21.41K529.37%44.35K
End cash Position 488.85%8.01M-10.05%1.03M1.74%1.89M1.74%1.89M-1.91%2.37M-22.40%1.36M-38.75%1.15M5.82%1.85M5.82%1.85M241.92%2.42M
Free cash flow -72.88%-1.98M0.35%-1.5M-30.29%-4.79M-132.49%-1.36M24.76%-779.91K-116.89%-1.15M1.40%-1.5M-163.64%-3.67M25.40%-584.13K-90.38%-1.04M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
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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