US Stock MarketDetailed Quotes

ALBT Avalon GloboCare

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  • 2.940
  • -0.190-6.07%
Close Nov 1 16:00 ET
  • 2.910
  • -0.030-1.02%
Post 20:02 ET
3.13MMarket Cap-146P/E (TTM)

Avalon GloboCare 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
57.15%-1.08M
50.09%-915.71K
7.57%-6.5M
59.46%-796.32K
43.48%-1.35M
-16.06%-2.52M
-258.92%-1.83M
-40.06%-7.04M
-14.41%-1.96M
-234.22%-2.39M
Net income from continuing operations
22.39%-2.13M
53.16%-1.37M
-40.03%-16.71M
-295.22%-9.56M
72.57%-1.49M
-35.42%-2.75M
-41.01%-2.92M
-31.25%-11.93M
-3.57%-2.42M
-167.47%-5.41M
Operating gains losses
208.55%149K
-240.73%-138.68K
1,481.05%7.72M
101,698.60%8.2M
-348.79%-441.67K
81.88%-137.26K
662.97%98.55K
-1,024.34%-558.89K
-34.67%8.05K
1,149.95%177.53K
Depreciation and amortization
-16.68%74.6K
-22.95%73.93K
-29.24%329.95K
-35.98%72.83K
-38.10%71.65K
-23.84%89.52K
-19.53%95.94K
6.27%466.28K
-4.18%113.75K
-2.34%115.76K
Other non cash items
607.62%585.14K
726.94%292.74K
-84.80%554.51K
1,243.81%270.94K
-95.36%165.48K
39.97%82.69K
693.21%35.4K
7,218.85%3.65M
156.16%20.16K
5,664.98%3.56M
Change In working capital
78.52%-175.54K
-96.73%17.28K
-116.95%-35.07K
-38.16%102.38K
115.30%152.07K
-474.76%-817.37K
-35.40%527.85K
-86.21%206.89K
1,460.70%165.54K
-241.90%-993.86K
-Change in receivables
-107.23%-87
2,522.98%113.02K
-5.61%-46.22K
-628.52%-78.07K
212.65%26.34K
-87.84%1.2K
122.02%4.31K
-29.60%-43.77K
26.45%-10.72K
25.29%-23.38K
-Change in prepaid assets
-168.49%-34.1K
95.70%-3.74K
101.74%807
49.20%29.8K
117.99%8.13K
197.74%49.79K
-391.89%-86.92K
-777.84%-46.41K
95,019.05%19.98K
-8.34%-45.22K
-Change in payables and accrued expense
85.21%-125.59K
-112.08%-76.91K
-78.15%89.86K
-5.89%170.82K
114.56%131.89K
-380.92%-849.43K
-23.60%636.58K
-73.14%411.32K
497.10%181.51K
-217.42%-905.83K
-Change in other current liabilities
11.62%-24.12K
31.97%-23.45K
20.23%-112.92K
15.04%-28.53K
18.50%-22.64K
40.63%-27.29K
-0.64%-34.47K
-16.97%-141.56K
0.30%-33.58K
-2.53%-27.77K
-Change in other working capital
0.00%8.35K
0.00%8.35K
22.36%33.4K
0.00%8.35K
-0.01%8.35K
204.78%8.35K
6.29%8.35K
28.75%27.3K
6.31%8.35K
6.30%8.35K
Cash from discontinued investing activities
Operating cash flow
57.15%-1.08M
50.09%-915.71K
7.57%-6.5M
59.46%-796.32K
43.48%-1.35M
-16.06%-2.52M
-258.92%-1.83M
-40.06%-7.04M
-14.41%-1.96M
-234.22%-2.39M
Investing cash flow
Cash flow from continuing investing activities
-4,860.32%-100K
0
99.76%-22.16K
100.00%12
-97.04%30
96.27%-2.02K
-1,054.09%-20.19K
-13,187.55%-9.05M
-5,142,029.71%-9M
105.81%1.01K
Net PPE purchase and sale
--0
--0
-1,166.95%-22.16K
--12
--30
---2.02K
-1,054.09%-20.19K
90.01%-1.75K
--0
--0
Net intangibles purchase and sale
----
----
--0
----
----
----
----
---9M
----
----
Net business purchase and sale
----
----
--0
--0
--0
----
----
-29.03%-52K
915.57%995
--1.01K
Cash from discontinued investing activities
Investing cash flow
-4,860.32%-100K
--0
99.76%-22.16K
100.00%12
-97.04%30
96.27%-2.02K
-1,054.09%-20.19K
-13,187.55%-9.05M
-5,142,029.71%-9M
105.81%1.01K
Financing cash flow
Cash flow from continuing financing activities
-53.24%1.07M
24.90%936.77K
-72.05%4.83M
-91.84%734.01K
-79.65%1.04M
-20.78%2.3M
223.97%750K
233.92%17.26M
351.85%9M
787.87%5.13M
Net issuance payments of debt
-81.44%468.75K
-126.80%-201K
-47.37%4.12M
--365K
-90.10%475K
-13.50%2.53M
650.00%750K
206.59%7.82M
--0
742.10%4.8M
Net common stock issuance
----
----
-13.62%635.39K
--0
----
----
----
-74.28%735.57K
--0
1,508.45%600K
Net preferred stock issuance
----
----
--0
----
----
----
----
--9M
----
----
Net other financing activities
--605.06K
--1.14M
125.80%74.95K
--369.01K
75.37%-65.63K
----
----
-20.83%-290.52K
--0
-815.05%-266.45K
Cash from discontinued financing activities
Financing cash flow
-53.24%1.07M
24.90%936.77K
-72.05%4.83M
-91.84%734.01K
-79.65%1.04M
-20.78%2.3M
223.97%750K
233.92%17.26M
351.85%9M
787.87%5.13M
Net cash flow
Beginning cash position
-65.56%305.47K
-85.66%285.4K
146.54%1.99M
-91.32%341.77K
-44.65%653.19K
68.54%887.03K
146.54%1.99M
11.14%807.54K
639.87%3.94M
72.22%1.18M
Current changes in cash
53.08%-108.1K
101.91%21.06K
-245.02%-1.7M
96.83%-62.29K
-111.06%-303.85K
-134.42%-230.4K
-292.60%-1.1M
1,413.58%1.17M
-814.70%-1.96M
1,893.54%2.75M
Effect of exchange rate changes
193.22%3.21K
-189.16%-995
-139.40%-3.97K
-62.94%5.92K
-180.48%-7.57K
77.82%-3.44K
433.97%1.12K
192.68%10.08K
2,455.20%15.97K
5,037.16%9.4K
End cash Position
-69.29%200.57K
-65.56%305.47K
-85.66%285.4K
-85.66%285.4K
-91.32%341.77K
-44.65%653.19K
68.54%887.03K
146.54%1.99M
146.54%1.99M
639.87%3.94M
Free cash flow
57.19%-1.08M
50.64%-915.71K
59.31%-6.53M
92.74%-796.3K
43.48%-1.35M
-16.15%-2.53M
-261.63%-1.85M
-218.10%-16.04M
-538.55%-10.96M
-226.24%-2.39M
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
--
--
(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 57.15%-1.08M50.09%-915.71K7.57%-6.5M59.46%-796.32K43.48%-1.35M-16.06%-2.52M-258.92%-1.83M-40.06%-7.04M-14.41%-1.96M-234.22%-2.39M
Net income from continuing operations 22.39%-2.13M53.16%-1.37M-40.03%-16.71M-295.22%-9.56M72.57%-1.49M-35.42%-2.75M-41.01%-2.92M-31.25%-11.93M-3.57%-2.42M-167.47%-5.41M
Operating gains losses 208.55%149K-240.73%-138.68K1,481.05%7.72M101,698.60%8.2M-348.79%-441.67K81.88%-137.26K662.97%98.55K-1,024.34%-558.89K-34.67%8.05K1,149.95%177.53K
Depreciation and amortization -16.68%74.6K-22.95%73.93K-29.24%329.95K-35.98%72.83K-38.10%71.65K-23.84%89.52K-19.53%95.94K6.27%466.28K-4.18%113.75K-2.34%115.76K
Other non cash items 607.62%585.14K726.94%292.74K-84.80%554.51K1,243.81%270.94K-95.36%165.48K39.97%82.69K693.21%35.4K7,218.85%3.65M156.16%20.16K5,664.98%3.56M
Change In working capital 78.52%-175.54K-96.73%17.28K-116.95%-35.07K-38.16%102.38K115.30%152.07K-474.76%-817.37K-35.40%527.85K-86.21%206.89K1,460.70%165.54K-241.90%-993.86K
-Change in receivables -107.23%-872,522.98%113.02K-5.61%-46.22K-628.52%-78.07K212.65%26.34K-87.84%1.2K122.02%4.31K-29.60%-43.77K26.45%-10.72K25.29%-23.38K
-Change in prepaid assets -168.49%-34.1K95.70%-3.74K101.74%80749.20%29.8K117.99%8.13K197.74%49.79K-391.89%-86.92K-777.84%-46.41K95,019.05%19.98K-8.34%-45.22K
-Change in payables and accrued expense 85.21%-125.59K-112.08%-76.91K-78.15%89.86K-5.89%170.82K114.56%131.89K-380.92%-849.43K-23.60%636.58K-73.14%411.32K497.10%181.51K-217.42%-905.83K
-Change in other current liabilities 11.62%-24.12K31.97%-23.45K20.23%-112.92K15.04%-28.53K18.50%-22.64K40.63%-27.29K-0.64%-34.47K-16.97%-141.56K0.30%-33.58K-2.53%-27.77K
-Change in other working capital 0.00%8.35K0.00%8.35K22.36%33.4K0.00%8.35K-0.01%8.35K204.78%8.35K6.29%8.35K28.75%27.3K6.31%8.35K6.30%8.35K
Cash from discontinued investing activities
Operating cash flow 57.15%-1.08M50.09%-915.71K7.57%-6.5M59.46%-796.32K43.48%-1.35M-16.06%-2.52M-258.92%-1.83M-40.06%-7.04M-14.41%-1.96M-234.22%-2.39M
Investing cash flow
Cash flow from continuing investing activities -4,860.32%-100K099.76%-22.16K100.00%12-97.04%3096.27%-2.02K-1,054.09%-20.19K-13,187.55%-9.05M-5,142,029.71%-9M105.81%1.01K
Net PPE purchase and sale --0--0-1,166.95%-22.16K--12--30---2.02K-1,054.09%-20.19K90.01%-1.75K--0--0
Net intangibles purchase and sale ----------0-------------------9M--------
Net business purchase and sale ----------0--0--0---------29.03%-52K915.57%995--1.01K
Cash from discontinued investing activities
Investing cash flow -4,860.32%-100K--099.76%-22.16K100.00%12-97.04%3096.27%-2.02K-1,054.09%-20.19K-13,187.55%-9.05M-5,142,029.71%-9M105.81%1.01K
Financing cash flow
Cash flow from continuing financing activities -53.24%1.07M24.90%936.77K-72.05%4.83M-91.84%734.01K-79.65%1.04M-20.78%2.3M223.97%750K233.92%17.26M351.85%9M787.87%5.13M
Net issuance payments of debt -81.44%468.75K-126.80%-201K-47.37%4.12M--365K-90.10%475K-13.50%2.53M650.00%750K206.59%7.82M--0742.10%4.8M
Net common stock issuance ---------13.62%635.39K--0-------------74.28%735.57K--01,508.45%600K
Net preferred stock issuance ----------0------------------9M--------
Net other financing activities --605.06K--1.14M125.80%74.95K--369.01K75.37%-65.63K---------20.83%-290.52K--0-815.05%-266.45K
Cash from discontinued financing activities
Financing cash flow -53.24%1.07M24.90%936.77K-72.05%4.83M-91.84%734.01K-79.65%1.04M-20.78%2.3M223.97%750K233.92%17.26M351.85%9M787.87%5.13M
Net cash flow
Beginning cash position -65.56%305.47K-85.66%285.4K146.54%1.99M-91.32%341.77K-44.65%653.19K68.54%887.03K146.54%1.99M11.14%807.54K639.87%3.94M72.22%1.18M
Current changes in cash 53.08%-108.1K101.91%21.06K-245.02%-1.7M96.83%-62.29K-111.06%-303.85K-134.42%-230.4K-292.60%-1.1M1,413.58%1.17M-814.70%-1.96M1,893.54%2.75M
Effect of exchange rate changes 193.22%3.21K-189.16%-995-139.40%-3.97K-62.94%5.92K-180.48%-7.57K77.82%-3.44K433.97%1.12K192.68%10.08K2,455.20%15.97K5,037.16%9.4K
End cash Position -69.29%200.57K-65.56%305.47K-85.66%285.4K-85.66%285.4K-91.32%341.77K-44.65%653.19K68.54%887.03K146.54%1.99M146.54%1.99M639.87%3.94M
Free cash flow 57.19%-1.08M50.64%-915.71K59.31%-6.53M92.74%-796.3K43.48%-1.35M-16.15%-2.53M-261.63%-1.85M-218.10%-16.04M-538.55%-10.96M-226.24%-2.39M
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

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Price Target

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