US Stock MarketDetailed Quotes

ATXG Addentax

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  • 0.7182
  • -0.0120-1.64%
Close Jul 22 16:00 ET
  • 0.7500
  • +0.0318+4.43%
Pre 08:31 ET
4.34MMarket Cap-1011P/E (TTM)

Addentax Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
73.78%-411.47K
2,805.41%1.11M
3,732.49%57.68K
74.03%-468.61K
-499.57%-1.11M
-243.84%-1.57M
-105.80%-41.04K
-100.68%-1.59K
-228.79%-1.8M
122.23%278.02K
Net income from continuing operations
-335.62%-3.11M
-29.25%864.57K
-3,071.64%-2.61M
1,537.17%1.36M
-2,922.69%-2.73M
1,591.91%1.32M
2,840.56%1.22M
-807.62%-82.22K
159.88%83.22K
22.45%96.67K
Operating gains losses
52.90%-1.51M
---1.99M
--0
--587.94K
---109.38K
---3.2M
----
----
----
----
Depreciation and amortization
-4.62%328.95K
-519.52%-335.7K
455.28%518.54K
-47.41%71.32K
108.41%74.78K
118.84%344.9K
90.33%80.02K
111.45%93.38K
262.48%135.61K
5.58%35.88K
Other non cash items
142.11%3.62M
--1.04M
--2.26M
---2.26M
--2.58M
--1.49M
----
----
----
----
Change In working capital
117.14%261.36K
317.39%1.53M
-760.78%-109.78K
88.69%-228.87K
-736.85%-926.39K
-278.30%-1.52M
-48.46%365.7K
-107.18%-12.75K
-251.94%-2.02M
110.67%145.46K
-Change in receivables
50.06%-506.82K
-112.47%-87.32K
66.66%-141.25K
85.57%-126.35K
63.48%-151.9K
-137.57%-1.01M
270.50%700.02K
-243.72%-423.64K
-116.94%-875.38K
82.30%-415.92K
-Change in inventory
1,272.74%222.02K
881.21%240.9K
-634.36%-54.03K
-3.49%15.37K
492.93%19.79K
-593.28%-18.93K
-197.58%-30.84K
-381.88%-7.36K
-85.19%15.92K
102.42%3.34K
-Change in prepaid assets
372.78%271.71K
541.40%998.66K
-13.54%89.52K
-184.69%-194.38K
-780.79%-622.09K
87.94%-99.61K
-166.37%-226.25K
296.57%103.54K
90.66%-68.28K
123.84%91.38K
-Change in payables and accrued expense
141.82%163.65K
595.77%367.35K
-140.26%-125.59K
108.39%91.93K
-136.46%-170.03K
61.77%-391.28K
-109.50%-74.1K
771.00%311.96K
66.47%-1.1M
-69.11%466.35K
-Change in other working capital
49,785.65%110.8K
317.01%6.81K
4,316.24%121.58K
-9,672.15%-15.44K
-770.40%-2.15K
65.90%-223
90.28%-3.14K
113.33%2.75K
-100.29%-158
110.60%321
Cash from discontinued investing activities
Operating cash flow
73.78%-411.47K
2,805.41%1.11M
3,732.49%57.68K
74.03%-468.61K
-499.57%-1.11M
-243.84%-1.57M
-105.80%-41.04K
-100.68%-1.59K
-228.79%-1.8M
122.23%278.02K
Investing cash flow
Cash flow from continuing investing activities
100.43%90.73K
100.00%-132
96.14K
-10,584.40%-21.17M
-16,684.81%-3.67M
0
Net PPE purchase and sale
---135.43K
---132
---130.03K
----
----
--0
--0
--0
----
----
Net business purchase and sale
119.36%226.16K
--0
----
----
----
---1.17M
---1.17M
----
----
----
Net investment purchase and sale
--0
--0
--0
----
----
---17.5M
--0
--0
----
----
Net other investing changes
----
----
----
----
----
---2.5M
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
100.43%90.73K
100.00%-132
--96.14K
----
----
-10,584.40%-21.17M
-16,684.81%-3.67M
--0
----
----
Financing cash flow
Cash flow from continuing financing activities
-97.61%521.7K
-131.13%-810.77K
-234.42%-1.37M
-90.92%1.73M
57.47%969.78K
1,691.33%21.85M
1,425.36%2.6M
-0.85%-408.46K
1,271.65%19.03M
26.73%615.85K
Net issuance payments of debt
-110.17%-1.41M
-92.55%1.11M
-234.42%-1.37M
35.09%-771.35K
-161.74%-380.22K
1,110.62%13.87M
8,598.75%14.85M
-0.85%-408.46K
26.85%-1.19M
26.73%615.85K
Net common stock issuance
--0
--0
--0
----
----
--22.72M
--2.5M
--0
----
----
Net other financing activities
113.10%1.93M
---1.92M
--0
--2.5M
--1.35M
---14.75M
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-97.61%521.7K
-131.13%-810.77K
-234.42%-1.37M
-90.92%1.73M
57.47%969.78K
1,691.33%21.85M
1,425.36%2.6M
-0.85%-408.46K
1,271.65%19.03M
26.73%615.85K
Net cash flow
Beginning cash position
-59.54%562.71K
-68.63%498.25K
-14.26%1.74M
-78.17%487.22K
-59.54%562.71K
-24.63%1.39M
213.70%1.59M
186.27%2.03M
129.63%2.23M
-24.63%1.39M
Current changes in cash
122.54%200.96K
127.11%299.43K
-195.61%-1.21M
563.09%1.25M
-115.78%-141.09K
-85.70%-891.47K
-229.02%-1.1M
-100.00%-410.05K
-3.40%-270.96K
202.87%893.87K
Effect of exchange rate changes
-17.36%52.51K
-76.48%18.5K
5.83%-33.88K
-96.86%2.29K
225.76%65.6K
148.01%63.54K
177.56%78.66K
-5,224.79%-35.98K
13,224.82%73.02K
-1,214.24%-52.16K
End cash Position
45.05%816.19K
45.05%816.19K
-68.63%498.25K
-14.26%1.74M
-78.17%487.22K
-59.54%562.71K
-59.54%562.71K
213.70%1.59M
186.27%2.03M
129.63%2.23M
Free cash flow
65.15%-546.9K
2,805.09%1.11M
-4,455.48%-72.34K
73.74%-473.88K
-499.57%-1.11M
-275.77%-1.57M
-105.99%-41.04K
-100.79%-1.59K
-232.45%-1.8M
120.52%278.02K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
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--
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--
Unqualified Opinion
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(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(Q1)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 73.78%-411.47K2,805.41%1.11M3,732.49%57.68K74.03%-468.61K-499.57%-1.11M-243.84%-1.57M-105.80%-41.04K-100.68%-1.59K-228.79%-1.8M122.23%278.02K
Net income from continuing operations -335.62%-3.11M-29.25%864.57K-3,071.64%-2.61M1,537.17%1.36M-2,922.69%-2.73M1,591.91%1.32M2,840.56%1.22M-807.62%-82.22K159.88%83.22K22.45%96.67K
Operating gains losses 52.90%-1.51M---1.99M--0--587.94K---109.38K---3.2M----------------
Depreciation and amortization -4.62%328.95K-519.52%-335.7K455.28%518.54K-47.41%71.32K108.41%74.78K118.84%344.9K90.33%80.02K111.45%93.38K262.48%135.61K5.58%35.88K
Other non cash items 142.11%3.62M--1.04M--2.26M---2.26M--2.58M--1.49M----------------
Change In working capital 117.14%261.36K317.39%1.53M-760.78%-109.78K88.69%-228.87K-736.85%-926.39K-278.30%-1.52M-48.46%365.7K-107.18%-12.75K-251.94%-2.02M110.67%145.46K
-Change in receivables 50.06%-506.82K-112.47%-87.32K66.66%-141.25K85.57%-126.35K63.48%-151.9K-137.57%-1.01M270.50%700.02K-243.72%-423.64K-116.94%-875.38K82.30%-415.92K
-Change in inventory 1,272.74%222.02K881.21%240.9K-634.36%-54.03K-3.49%15.37K492.93%19.79K-593.28%-18.93K-197.58%-30.84K-381.88%-7.36K-85.19%15.92K102.42%3.34K
-Change in prepaid assets 372.78%271.71K541.40%998.66K-13.54%89.52K-184.69%-194.38K-780.79%-622.09K87.94%-99.61K-166.37%-226.25K296.57%103.54K90.66%-68.28K123.84%91.38K
-Change in payables and accrued expense 141.82%163.65K595.77%367.35K-140.26%-125.59K108.39%91.93K-136.46%-170.03K61.77%-391.28K-109.50%-74.1K771.00%311.96K66.47%-1.1M-69.11%466.35K
-Change in other working capital 49,785.65%110.8K317.01%6.81K4,316.24%121.58K-9,672.15%-15.44K-770.40%-2.15K65.90%-22390.28%-3.14K113.33%2.75K-100.29%-158110.60%321
Cash from discontinued investing activities
Operating cash flow 73.78%-411.47K2,805.41%1.11M3,732.49%57.68K74.03%-468.61K-499.57%-1.11M-243.84%-1.57M-105.80%-41.04K-100.68%-1.59K-228.79%-1.8M122.23%278.02K
Investing cash flow
Cash flow from continuing investing activities 100.43%90.73K100.00%-13296.14K-10,584.40%-21.17M-16,684.81%-3.67M0
Net PPE purchase and sale ---135.43K---132---130.03K----------0--0--0--------
Net business purchase and sale 119.36%226.16K--0---------------1.17M---1.17M------------
Net investment purchase and sale --0--0--0-----------17.5M--0--0--------
Net other investing changes -----------------------2.5M----------------
Cash from discontinued investing activities
Investing cash flow 100.43%90.73K100.00%-132--96.14K---------10,584.40%-21.17M-16,684.81%-3.67M--0--------
Financing cash flow
Cash flow from continuing financing activities -97.61%521.7K-131.13%-810.77K-234.42%-1.37M-90.92%1.73M57.47%969.78K1,691.33%21.85M1,425.36%2.6M-0.85%-408.46K1,271.65%19.03M26.73%615.85K
Net issuance payments of debt -110.17%-1.41M-92.55%1.11M-234.42%-1.37M35.09%-771.35K-161.74%-380.22K1,110.62%13.87M8,598.75%14.85M-0.85%-408.46K26.85%-1.19M26.73%615.85K
Net common stock issuance --0--0--0----------22.72M--2.5M--0--------
Net other financing activities 113.10%1.93M---1.92M--0--2.5M--1.35M---14.75M----------------
Cash from discontinued financing activities
Financing cash flow -97.61%521.7K-131.13%-810.77K-234.42%-1.37M-90.92%1.73M57.47%969.78K1,691.33%21.85M1,425.36%2.6M-0.85%-408.46K1,271.65%19.03M26.73%615.85K
Net cash flow
Beginning cash position -59.54%562.71K-68.63%498.25K-14.26%1.74M-78.17%487.22K-59.54%562.71K-24.63%1.39M213.70%1.59M186.27%2.03M129.63%2.23M-24.63%1.39M
Current changes in cash 122.54%200.96K127.11%299.43K-195.61%-1.21M563.09%1.25M-115.78%-141.09K-85.70%-891.47K-229.02%-1.1M-100.00%-410.05K-3.40%-270.96K202.87%893.87K
Effect of exchange rate changes -17.36%52.51K-76.48%18.5K5.83%-33.88K-96.86%2.29K225.76%65.6K148.01%63.54K177.56%78.66K-5,224.79%-35.98K13,224.82%73.02K-1,214.24%-52.16K
End cash Position 45.05%816.19K45.05%816.19K-68.63%498.25K-14.26%1.74M-78.17%487.22K-59.54%562.71K-59.54%562.71K213.70%1.59M186.27%2.03M129.63%2.23M
Free cash flow 65.15%-546.9K2,805.09%1.11M-4,455.48%-72.34K73.74%-473.88K-499.57%-1.11M-275.77%-1.57M-105.99%-41.04K-100.79%-1.59K-232.45%-1.8M120.52%278.02K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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