US Stock MarketDetailed Quotes

ATIF ATIF Holdings

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  • 0.872
  • +0.002+0.28%
Close Nov 1 16:00 ET
10.40MMarket Cap-1646P/E (TTM)

ATIF Holdings Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Apr 30, 2024
(Q2)Jan 31, 2024
(Q1)Oct 31, 2023
(FY)Jul 31, 2023
(Q4)Jul 31, 2023
(Q3)Apr 30, 2023
(Q2)Jan 31, 2023
(Q1)Oct 31, 2022
(FY)Jul 31, 2022
(Q4)Jul 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
88.99%-66.78K
80.98%-212.77K
-46.29%195.35K
-1,488.29%-2.33M
-813.59%-972.79K
0.82%-606.39K
-332.38%-1.12M
337.51%363.71K
94.23%-146.94K
136.32K
Net income from continuing operations
-140.52%-807.59K
-150.26%-407.64K
-455.89%-625.46K
14.50%-2.88M
-135.46%-3.24M
-228.77%-335.77K
159.89%810.98K
87.49%-112.52K
-41.98%-3.37M
---1.38M
Operating gains losses
476.25%309.52K
-106.21%-80.67K
22.86%109.4K
-102.97%-73.36K
-102.06%-41.02K
77.79%-82.27K
-107.31%-39.12K
-71.53%89.05K
855.18%2.47M
--1.99M
Depreciation and amortization
-51.38%71.43K
-3.91%139.84K
1.99%142.79K
-1.73%572.94K
25.33%140.51K
29.94%146.91K
-11.42%145.52K
-27.66%140K
-19.26%583.01K
--112.11K
Other non cash items
--0
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----
----
----
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Change In working capital
207.34%359.87K
107.59%154.5K
119.37%542.23K
-2,084.30%-3.37M
-147.69%-1.24M
45.47%-335.27K
-279.17%-2.04M
64.20%247.18K
114.71%169.73K
---502.26K
-Change in receivables
400.00%300K
112.06%180K
460.82%570K
-11.93%-1.25M
144.77%500K
-751.14%-100K
-12,799.18%-1.49M
---157.97K
---1.12M
---1.12M
-Change in prepaid assets
41.05%98K
122.68%46.82K
23.42%57.03K
111.33%276.64K
-76.85%139.93K
110.79%69.48K
-90.70%21.02K
182.45%46.21K
-10.19%130.91K
--604.52K
-Change in payables and accrued expense
119.00%36.72K
110.16%43.92K
-80.85%83.84K
-207.53%-1.95M
-368.33%-1.76M
32.12%-193.24K
-143.13%-432.45K
-0.38%437.73K
394.83%1.81M
--657.01K
-Change in other current liabilities
32.88%-74.85K
12.18%-116.23K
-70.06%-98.64K
-2.14%-422.89K
-28.51%-121.03K
-34.61%-111.51K
-27.02%-132.35K
56.33%-58K
18.07%-414.04K
---94.18K
-Change in other working capital
--0
--0
-236.78%-70K
91.51%-20.79K
--0
--0
--0
79.22%-20.79K
-36.78%-244.68K
---552.85K
Cash from discontinued investing activities
Operating cash flow
88.99%-66.78K
80.98%-212.77K
-46.29%195.35K
-1,488.29%-2.33M
-813.59%-972.79K
0.82%-606.39K
-332.38%-1.12M
337.51%363.71K
94.49%-146.94K
--136.32K
Investing cash flow
Cash flow from continuing investing activities
-222.66%-300.01K
-112.12%-9.31K
-81.25%-440.15K
128.89%459.82K
-32.63%381.26K
487.33%244.59K
103.04%76.8K
-155.98%-242.84K
-314.09%-1.59M
565.92K
Net PPE purchase and sale
--0
---754
46.78%-4.33K
-61.11%70.56K
192.00%79.56K
77.27%-862
--0
-102.94%-8.14K
270.33%181.41K
---86.48K
Net business purchase and sale
----
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--0
200.00%335K
----
----
----
---91.29K
---335K
----
Net investment purchase and sale
-100.01%-13
40.99%-8.55K
-875.68%-438.11K
106.59%94.8K
-109.24%-91.26K
513.52%245.46K
99.43%-14.49K
-128.61%-44.9K
-269.19%-1.44M
--987.4K
Net other investing changes
---300K
--0
102.32%2.29K
---40.54K
--57.96K
--0
--0
---98.5K
----
----
Cash from discontinued investing activities
Investing cash flow
-222.66%-300.01K
-112.12%-9.31K
-81.25%-440.15K
128.89%459.82K
-32.63%381.26K
487.33%244.59K
103.04%76.8K
-155.98%-242.84K
-284.65%-1.59M
--565.92K
Financing cash flow
Cash flow from continuing financing activities
137.23%729.97K
729.97K
-128.69%-1.96M
0
Net issuance payments of debt
----
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--729.97K
----
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----
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--0
----
Proceeds from stock option exercised by employees
----
----
----
--0
----
----
----
----
--1.07M
--0
Net other financing activities
----
----
----
----
----
----
----
----
-191.79%-3.03M
--0
Cash from discontinued financing activities
Financing cash flow
----
----
----
137.23%729.97K
--729.97K
----
----
----
-128.69%-1.96M
--0
Net cash flow
Beginning cash position
-83.22%139.15K
-80.69%361.23K
-65.37%606.02K
-68.73%1.75M
-64.20%467.59K
-77.70%829.39K
-68.59%1.87M
-68.73%1.75M
1,206.86%5.6M
--1.31M
Current changes in cash
646.43%1.98M
78.68%-222.07K
-302.53%-244.8K
69.07%-1.14M
-80.29%138.44K
86.06%-361.8K
51.66%-1.04M
-65.35%120.87K
-173.55%-3.7M
--702.25K
Effect of exchange rate changes
----
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----
--0
----
----
----
----
-206.18%-147.18K
---258.15K
End cash Position
352.57%2.12M
-83.22%139.15K
-80.69%361.23K
-65.37%606.02K
-65.37%606.02K
-64.20%467.59K
-77.70%829.39K
-68.59%1.87M
-68.73%1.75M
--1.75M
Free cash flow
89.00%-66.78K
80.91%-213.52K
-46.28%191.02K
-838.29%-2.34M
-2,036.55%-965.23K
2.33%-607.26K
-334.89%-1.12M
332.19%355.57K
91.03%-248.89K
--49.84K
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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(Q3)Apr 30, 2024(Q2)Jan 31, 2024(Q1)Oct 31, 2023(FY)Jul 31, 2023(Q4)Jul 31, 2023(Q3)Apr 30, 2023(Q2)Jan 31, 2023(Q1)Oct 31, 2022(FY)Jul 31, 2022(Q4)Jul 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 88.99%-66.78K80.98%-212.77K-46.29%195.35K-1,488.29%-2.33M-813.59%-972.79K0.82%-606.39K-332.38%-1.12M337.51%363.71K94.23%-146.94K136.32K
Net income from continuing operations -140.52%-807.59K-150.26%-407.64K-455.89%-625.46K14.50%-2.88M-135.46%-3.24M-228.77%-335.77K159.89%810.98K87.49%-112.52K-41.98%-3.37M---1.38M
Operating gains losses 476.25%309.52K-106.21%-80.67K22.86%109.4K-102.97%-73.36K-102.06%-41.02K77.79%-82.27K-107.31%-39.12K-71.53%89.05K855.18%2.47M--1.99M
Depreciation and amortization -51.38%71.43K-3.91%139.84K1.99%142.79K-1.73%572.94K25.33%140.51K29.94%146.91K-11.42%145.52K-27.66%140K-19.26%583.01K--112.11K
Other non cash items --0------------------------------------
Change In working capital 207.34%359.87K107.59%154.5K119.37%542.23K-2,084.30%-3.37M-147.69%-1.24M45.47%-335.27K-279.17%-2.04M64.20%247.18K114.71%169.73K---502.26K
-Change in receivables 400.00%300K112.06%180K460.82%570K-11.93%-1.25M144.77%500K-751.14%-100K-12,799.18%-1.49M---157.97K---1.12M---1.12M
-Change in prepaid assets 41.05%98K122.68%46.82K23.42%57.03K111.33%276.64K-76.85%139.93K110.79%69.48K-90.70%21.02K182.45%46.21K-10.19%130.91K--604.52K
-Change in payables and accrued expense 119.00%36.72K110.16%43.92K-80.85%83.84K-207.53%-1.95M-368.33%-1.76M32.12%-193.24K-143.13%-432.45K-0.38%437.73K394.83%1.81M--657.01K
-Change in other current liabilities 32.88%-74.85K12.18%-116.23K-70.06%-98.64K-2.14%-422.89K-28.51%-121.03K-34.61%-111.51K-27.02%-132.35K56.33%-58K18.07%-414.04K---94.18K
-Change in other working capital --0--0-236.78%-70K91.51%-20.79K--0--0--079.22%-20.79K-36.78%-244.68K---552.85K
Cash from discontinued investing activities
Operating cash flow 88.99%-66.78K80.98%-212.77K-46.29%195.35K-1,488.29%-2.33M-813.59%-972.79K0.82%-606.39K-332.38%-1.12M337.51%363.71K94.49%-146.94K--136.32K
Investing cash flow
Cash flow from continuing investing activities -222.66%-300.01K-112.12%-9.31K-81.25%-440.15K128.89%459.82K-32.63%381.26K487.33%244.59K103.04%76.8K-155.98%-242.84K-314.09%-1.59M565.92K
Net PPE purchase and sale --0---75446.78%-4.33K-61.11%70.56K192.00%79.56K77.27%-862--0-102.94%-8.14K270.33%181.41K---86.48K
Net business purchase and sale ----------0200.00%335K---------------91.29K---335K----
Net investment purchase and sale -100.01%-1340.99%-8.55K-875.68%-438.11K106.59%94.8K-109.24%-91.26K513.52%245.46K99.43%-14.49K-128.61%-44.9K-269.19%-1.44M--987.4K
Net other investing changes ---300K--0102.32%2.29K---40.54K--57.96K--0--0---98.5K--------
Cash from discontinued investing activities
Investing cash flow -222.66%-300.01K-112.12%-9.31K-81.25%-440.15K128.89%459.82K-32.63%381.26K487.33%244.59K103.04%76.8K-155.98%-242.84K-284.65%-1.59M--565.92K
Financing cash flow
Cash flow from continuing financing activities 137.23%729.97K729.97K-128.69%-1.96M0
Net issuance payments of debt --------------729.97K------------------0----
Proceeds from stock option exercised by employees --------------0------------------1.07M--0
Net other financing activities ---------------------------------191.79%-3.03M--0
Cash from discontinued financing activities
Financing cash flow ------------137.23%729.97K--729.97K-------------128.69%-1.96M--0
Net cash flow
Beginning cash position -83.22%139.15K-80.69%361.23K-65.37%606.02K-68.73%1.75M-64.20%467.59K-77.70%829.39K-68.59%1.87M-68.73%1.75M1,206.86%5.6M--1.31M
Current changes in cash 646.43%1.98M78.68%-222.07K-302.53%-244.8K69.07%-1.14M-80.29%138.44K86.06%-361.8K51.66%-1.04M-65.35%120.87K-173.55%-3.7M--702.25K
Effect of exchange rate changes --------------0-----------------206.18%-147.18K---258.15K
End cash Position 352.57%2.12M-83.22%139.15K-80.69%361.23K-65.37%606.02K-65.37%606.02K-64.20%467.59K-77.70%829.39K-68.59%1.87M-68.73%1.75M--1.75M
Free cash flow 89.00%-66.78K80.91%-213.52K-46.28%191.02K-838.29%-2.34M-2,036.55%-965.23K2.33%-607.26K-334.89%-1.12M332.19%355.57K91.03%-248.89K--49.84K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

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Price Target

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