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AMCF Andatee China Marine Fuel Services

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  • 0.000001
  • 0.0000000.00%
15min DelayClose Aug 9 16:00 ET
10.26Market Cap0.00P/E (TTM)

Andatee China Marine Fuel Services Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2014
(Q2)Jun 30, 2014
(Q1)Mar 31, 2014
(FY)Dec 31, 2013
(Q4)Dec 31, 2013
(Q3)Sep 30, 2013
(Q2)Jun 30, 2013
(Q1)Mar 31, 2013
(FY)Dec 31, 2012
(Q4)Dec 31, 2012
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-74.13%735.65K
283.08%43.62M
111.09%1.37M
-1,994.30%-34.25M
-109.29%-927.34K
142.98%2.84M
-539.02%-23.83M
-76.66%-12.34M
-48.27%1.81M
794.25%9.98M
Net income from continuing operations
122.28%120.68K
2,335.55%3.03M
-1,294.99%-3.56M
-186.62%-1.22M
-119.75%-841.92K
82.29%-541.7K
-201.29%-135.68K
318.08%298.05K
-70.26%1.41M
503.34%4.26M
Operating gains losses
529.53%53.34K
-160.00%-5.14K
74.89%-6.26K
---41.64K
---12.87K
---12.42K
--8.57K
---24.92K
----
----
Depreciation and amortization
68.77%1.47M
2.54%745.71K
15.75%701.44K
12.54%2.6M
-44.18%392.91K
51.91%873.56K
50.23%727.27K
10.79%606K
122.56%2.31M
567.65%703.88K
Deferred tax
--0
--0
--0
213.36%855.56K
379.57%667.66K
176.28%393.55K
--47.7K
---253.35K
---754.72K
---238.82K
Change In working capital
-20,564.53%-3.29M
249.76%38.38M
97.20%-378.52K
-914.66%-40.34M
-143.50%-1.19M
99.59%-15.91K
-632.85%-25.62M
-77.72%-13.51M
-58.75%-3.98M
43.52%2.74M
-Change in receivables
-179.83%-4.99M
210.79%30.34M
71.52%-748.97K
-1,781.63%-27.08M
-51.56%-3.31M
309.27%6.25M
-710.53%-27.39M
-214.48%-2.63M
111.69%1.61M
87.16%-2.19M
-Change in inventory
74.11%-4.33M
-94.04%-13.28M
-344.75%-19.25M
-25.05%5.66M
50.96%33.57M
-258.61%-16.74M
65.64%-6.84M
18.61%-4.33M
280.20%7.55M
579.51%22.23M
-Change in prepaid assets
-65.74%1.23M
653.10%12.47M
219.61%6.64M
-340.40%-9M
1.54%-4.78M
-11.01%3.58M
-155.38%-2.25M
-1,207.74%-5.55M
368.00%3.75M
39.92%-4.85M
-Change in payables and accrued expense
-39.68%5.09M
-25.87%8.38M
1,463.09%14.28M
69.37%-3.17M
-927.54%-23.83M
166.57%8.44M
512.05%11.3M
-58.00%913.76K
-194.79%-10.36M
-85.23%2.88M
-Change in other working capital
81.68%-282.66K
205.50%465.43K
31.65%-1.31M
-3.38%-6.74M
81.47%-2.84M
26.72%-1.54M
---441.15K
---1.91M
---6.52M
---15.34M
Cash from discontinued investing activities
Operating cash flow
-74.13%735.65K
283.08%43.62M
111.09%1.37M
-1,994.30%-34.25M
-109.29%-927.34K
142.98%2.84M
-539.02%-23.83M
-76.66%-12.34M
-48.27%1.81M
794.25%9.98M
Investing cash flow
Cash flow from continuing investing activities
75.52%-1.13M
-2,264.05%-38.13M
-1,171.03%-17.05M
-69,921.90%-28.84M
-162,068.69%-21.28M
-5,228.20%-4.6M
-4,480.54%-1.61M
-1.34M
100.17%41.3K
99.93%-13.13K
Net PPE purchase and sale
-7,153.09%-1.41M
-14,971.08%-366.38K
63.42%-24.37K
-2,060.71%-18.56M
-6,737.23%-18.48M
-122.51%-19.5K
99.64%-2.43K
---66.62K
95.07%-859.16K
97.35%-270.22K
Net intangibles purchase and sale
--0
97.71%-36.78K
---978
-1,895.44%-8.62M
-865.22%-4.17M
---2.85M
---1.6M
--0
89.62%-432.15K
---432.15K
Net business purchase and sale
100.11%1.86K
----
----
---1.73M
---6.32K
---1.72M
----
----
--0
--0
Net investment purchase and sale
5,395.74%287.4K
-468,718.78%-35.82M
-1,235.48%-17.02M
-93.94%80.77K
2.68%1.37M
---5.43K
---7.64K
---1.27M
--1.33M
--1.33M
Cash from discontinued investing activities
Investing cash flow
75.52%-1.13M
-2,264.05%-38.13M
-1,171.03%-17.05M
-69,921.90%-28.84M
-162,068.69%-21.28M
-5,228.20%-4.6M
-4,480.54%-1.61M
---1.34M
100.17%41.3K
99.93%-13.13K
Financing cash flow
Cash flow from continuing financing activities
-101.87%-175.44K
-128.68%-8.22M
-127.11%-3.34M
2,333.32%83.77M
279.78%33.42M
67,420.73%9.4M
212.93%28.66M
117.21%12.3M
-134.14%-3.75M
-241.72%-18.59M
Net issuance payments of debt
-124.94%-8.18M
-182.80%-54.27M
-76.84%2.04M
1,462.60%177.25M
397.33%70.08M
181.13%32.8M
694.05%65.54M
-11.07%8.83M
-190.09%-13.01M
-242.26%-23.57M
Net other financing activities
134.21%8.01M
224.85%46.05M
-254.71%-5.38M
-1,109.77%-93.47M
-835.92%-36.66M
-100.85%-23.41M
-282.67%-36.88M
181.63%3.48M
368.16%9.26M
--4.98M
Cash from discontinued financing activities
Financing cash flow
-101.87%-175.44K
-128.68%-8.22M
-127.11%-3.34M
2,333.32%83.77M
279.78%33.42M
67,420.73%9.4M
212.93%28.66M
117.21%12.3M
-134.14%-3.75M
-241.72%-18.59M
Net cash flow
Beginning cash position
-77.62%788.24K
1,293.86%3.58M
1,292.55%22.64M
-53.46%1.63M
10.08%11.27M
-79.38%3.52M
-88.01%256.71K
-53.46%1.63M
-67.70%3.49M
62.35%10.24M
Current changes in cash
-107.39%-564.95K
-184.69%-2.73M
-1,282.18%-19.01M
1,187.95%20.69M
230.00%11.21M
217.36%7.64M
-77.88%3.22M
-4.25%-1.38M
80.41%-1.9M
-149.56%-8.62M
Effect of exchange rate changes
-118.62%-20.27K
-236.34%-63.66K
-792.35%-46.26K
831.85%321.94K
4,498.73%159.67K
132.88%108.89K
-88.18%46.7K
120.32%6.68K
-98.55%34.55K
-99.46%3.47K
End cash Position
-98.20%203.02K
-77.62%788.24K
1,293.86%3.58M
1,292.55%22.64M
1,292.55%22.64M
10.08%11.27M
-79.38%3.52M
-88.01%256.71K
-53.46%1.63M
-53.46%1.63M
Free cash flow
-2,590.12%-678.77K
269.94%43.22M
110.82%1.34M
-11,991.55%-61.44M
-354.07%-23.57M
99.61%-25.23K
-635.22%-25.43M
-77.62%-12.41M
102.85%516.63K
169.96%9.28M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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Unqualified Opinion
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(Q3)Sep 30, 2014(Q2)Jun 30, 2014(Q1)Mar 31, 2014(FY)Dec 31, 2013(Q4)Dec 31, 2013(Q3)Sep 30, 2013(Q2)Jun 30, 2013(Q1)Mar 31, 2013(FY)Dec 31, 2012(Q4)Dec 31, 2012
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -74.13%735.65K283.08%43.62M111.09%1.37M-1,994.30%-34.25M-109.29%-927.34K142.98%2.84M-539.02%-23.83M-76.66%-12.34M-48.27%1.81M794.25%9.98M
Net income from continuing operations 122.28%120.68K2,335.55%3.03M-1,294.99%-3.56M-186.62%-1.22M-119.75%-841.92K82.29%-541.7K-201.29%-135.68K318.08%298.05K-70.26%1.41M503.34%4.26M
Operating gains losses 529.53%53.34K-160.00%-5.14K74.89%-6.26K---41.64K---12.87K---12.42K--8.57K---24.92K--------
Depreciation and amortization 68.77%1.47M2.54%745.71K15.75%701.44K12.54%2.6M-44.18%392.91K51.91%873.56K50.23%727.27K10.79%606K122.56%2.31M567.65%703.88K
Deferred tax --0--0--0213.36%855.56K379.57%667.66K176.28%393.55K--47.7K---253.35K---754.72K---238.82K
Change In working capital -20,564.53%-3.29M249.76%38.38M97.20%-378.52K-914.66%-40.34M-143.50%-1.19M99.59%-15.91K-632.85%-25.62M-77.72%-13.51M-58.75%-3.98M43.52%2.74M
-Change in receivables -179.83%-4.99M210.79%30.34M71.52%-748.97K-1,781.63%-27.08M-51.56%-3.31M309.27%6.25M-710.53%-27.39M-214.48%-2.63M111.69%1.61M87.16%-2.19M
-Change in inventory 74.11%-4.33M-94.04%-13.28M-344.75%-19.25M-25.05%5.66M50.96%33.57M-258.61%-16.74M65.64%-6.84M18.61%-4.33M280.20%7.55M579.51%22.23M
-Change in prepaid assets -65.74%1.23M653.10%12.47M219.61%6.64M-340.40%-9M1.54%-4.78M-11.01%3.58M-155.38%-2.25M-1,207.74%-5.55M368.00%3.75M39.92%-4.85M
-Change in payables and accrued expense -39.68%5.09M-25.87%8.38M1,463.09%14.28M69.37%-3.17M-927.54%-23.83M166.57%8.44M512.05%11.3M-58.00%913.76K-194.79%-10.36M-85.23%2.88M
-Change in other working capital 81.68%-282.66K205.50%465.43K31.65%-1.31M-3.38%-6.74M81.47%-2.84M26.72%-1.54M---441.15K---1.91M---6.52M---15.34M
Cash from discontinued investing activities
Operating cash flow -74.13%735.65K283.08%43.62M111.09%1.37M-1,994.30%-34.25M-109.29%-927.34K142.98%2.84M-539.02%-23.83M-76.66%-12.34M-48.27%1.81M794.25%9.98M
Investing cash flow
Cash flow from continuing investing activities 75.52%-1.13M-2,264.05%-38.13M-1,171.03%-17.05M-69,921.90%-28.84M-162,068.69%-21.28M-5,228.20%-4.6M-4,480.54%-1.61M-1.34M100.17%41.3K99.93%-13.13K
Net PPE purchase and sale -7,153.09%-1.41M-14,971.08%-366.38K63.42%-24.37K-2,060.71%-18.56M-6,737.23%-18.48M-122.51%-19.5K99.64%-2.43K---66.62K95.07%-859.16K97.35%-270.22K
Net intangibles purchase and sale --097.71%-36.78K---978-1,895.44%-8.62M-865.22%-4.17M---2.85M---1.6M--089.62%-432.15K---432.15K
Net business purchase and sale 100.11%1.86K-----------1.73M---6.32K---1.72M----------0--0
Net investment purchase and sale 5,395.74%287.4K-468,718.78%-35.82M-1,235.48%-17.02M-93.94%80.77K2.68%1.37M---5.43K---7.64K---1.27M--1.33M--1.33M
Cash from discontinued investing activities
Investing cash flow 75.52%-1.13M-2,264.05%-38.13M-1,171.03%-17.05M-69,921.90%-28.84M-162,068.69%-21.28M-5,228.20%-4.6M-4,480.54%-1.61M---1.34M100.17%41.3K99.93%-13.13K
Financing cash flow
Cash flow from continuing financing activities -101.87%-175.44K-128.68%-8.22M-127.11%-3.34M2,333.32%83.77M279.78%33.42M67,420.73%9.4M212.93%28.66M117.21%12.3M-134.14%-3.75M-241.72%-18.59M
Net issuance payments of debt -124.94%-8.18M-182.80%-54.27M-76.84%2.04M1,462.60%177.25M397.33%70.08M181.13%32.8M694.05%65.54M-11.07%8.83M-190.09%-13.01M-242.26%-23.57M
Net other financing activities 134.21%8.01M224.85%46.05M-254.71%-5.38M-1,109.77%-93.47M-835.92%-36.66M-100.85%-23.41M-282.67%-36.88M181.63%3.48M368.16%9.26M--4.98M
Cash from discontinued financing activities
Financing cash flow -101.87%-175.44K-128.68%-8.22M-127.11%-3.34M2,333.32%83.77M279.78%33.42M67,420.73%9.4M212.93%28.66M117.21%12.3M-134.14%-3.75M-241.72%-18.59M
Net cash flow
Beginning cash position -77.62%788.24K1,293.86%3.58M1,292.55%22.64M-53.46%1.63M10.08%11.27M-79.38%3.52M-88.01%256.71K-53.46%1.63M-67.70%3.49M62.35%10.24M
Current changes in cash -107.39%-564.95K-184.69%-2.73M-1,282.18%-19.01M1,187.95%20.69M230.00%11.21M217.36%7.64M-77.88%3.22M-4.25%-1.38M80.41%-1.9M-149.56%-8.62M
Effect of exchange rate changes -118.62%-20.27K-236.34%-63.66K-792.35%-46.26K831.85%321.94K4,498.73%159.67K132.88%108.89K-88.18%46.7K120.32%6.68K-98.55%34.55K-99.46%3.47K
End cash Position -98.20%203.02K-77.62%788.24K1,293.86%3.58M1,292.55%22.64M1,292.55%22.64M10.08%11.27M-79.38%3.52M-88.01%256.71K-53.46%1.63M-53.46%1.63M
Free cash flow -2,590.12%-678.77K269.94%43.22M110.82%1.34M-11,991.55%-61.44M-354.07%-23.57M99.61%-25.23K-635.22%-25.43M-77.62%-12.41M102.85%516.63K169.96%9.28M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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