US Stock MarketDetailed Quotes

CENN Cenntro Electric

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  • 1.6900
  • +0.1100+6.96%
Close Jul 3 13:00 ET
  • 1.6900
  • 0.00000.00%
Post 16:57 ET
52.10MMarket Cap-982P/E (TTM)

Cenntro Electric Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-73.39%24.44M
-78.17%33.6M
-78.17%33.6M
--44.65M
-66.99%60.39M
--91.85M
-41.02%153.97M
--153.97M
9,210.57%182.97M
5,639.01%261.07M
-Cash and cash equivalents
-77.95%20.26M
-80.92%29.38M
-80.92%29.38M
--44.65M
-66.99%60.39M
--91.85M
-41.02%153.97M
--153.97M
9,210.57%182.97M
5,639.01%261.07M
-Short-term investments
--4.18M
--4.23M
--4.23M
----
----
----
--0
--0
----
----
Receivables
38.25%11.38M
108.16%14.06M
108.16%14.06M
--10.9M
-0.71%9.89M
--8.23M
-7.67%6.75M
--6.75M
112.10%9.96M
-29.57%7.31M
-Accounts receivable
67.48%4.58M
1,055.08%6.53M
1,055.08%6.53M
--4.65M
5.18%2.65M
--2.73M
-72.39%565.4K
--565.4K
55.93%2.52M
341.92%2.05M
-Loans receivable
----
--0
--0
--790K
-97.92%100K
--100K
--1.04M
--1.04M
--4.8M
--0
-Taxes receivable
49.37%6.54M
52.25%6.24M
52.25%6.24M
--4.62M
320.10%6.29M
--4.38M
11.19%4.1M
--4.1M
82.66%1.5M
307.73%3.68M
-Related party accounts receivable
-21.29%270.26K
-21.67%287.44K
-21.67%287.44K
--210.34K
-63.55%212.32K
--343.35K
-70.23%366.94K
--366.94K
42.94%582.56K
11.94%1.23M
-Other receivables
----
47.30%1M
47.30%1M
--641.78K
14.14%645.74K
--681.81K
94.65%678.89K
--678.89K
-77.14%565.76K
-95.91%348.77K
Inventory
19.76%43.77M
37.89%43.91M
37.89%43.91M
--43.08M
99.80%41.8M
--36.55M
291.21%31.84M
--31.84M
631.85%20.92M
93.44%8.14M
Prepaid assets
43.49%13.93M
27.36%12.58M
27.36%12.58M
--10.79M
30.15%10.47M
--9.71M
167.92%9.88M
--9.88M
623.21%8.04M
352.73%3.69M
Restricted cash
256.03%329.19K
50.87%196.17K
50.87%196.17K
--198.04K
-83.88%92.46K
--92.46K
-78.17%130.02K
--130.02K
--573.6K
--595.55K
Current deferred assets
----
----
----
--14.28K
--10.27K
--20.03K
----
----
----
----
Other current assets
19.15%869.12K
30.13%573.56K
30.13%573.56K
--523.72K
212.89%840.55K
--729.46K
63.60%440.76K
--440.76K
132.53%268.64K
51.20%269.41K
Total current assets
-35.63%94.73M
-48.31%104.93M
-48.31%104.93M
--110.16M
-44.56%123.49M
--147.18M
-27.77%203.01M
--203.01M
1,972.29%222.73M
1,296.06%281.07M
Non current assets
Net PPE
24.98%38.91M
74.69%40.44M
74.69%40.44M
--40.81M
275.11%38.24M
--31.13M
679.29%23.15M
--23.15M
155.62%10.2M
103.12%2.97M
-Gross PPE
44.15%44.88M
69.90%45.12M
69.90%45.12M
--45.14M
214.67%42.21M
--31.13M
361.29%26.56M
--26.56M
108.86%13.42M
33.46%5.76M
-Accumulated depreciation
---5.97M
-37.34%-4.68M
-37.34%-4.68M
---4.32M
-23.30%-3.97M
----
-22.24%-3.41M
---3.41M
-32.25%-3.22M
2.28%-2.79M
Goodwill and other intangible assets
50.52%6.86M
55.51%7.1M
55.51%7.1M
--6.38M
-52.82%6.44M
--4.56M
137,654.06%4.56M
--4.56M
55,805.49%13.65M
-92.71%3.31K
-Goodwill
--218.02K
--223.49K
--223.49K
----
----
----
--0
--0
--10.87M
----
-Other intangible assets
45.74%6.64M
50.62%6.87M
50.62%6.87M
--6.38M
132.02%6.44M
--4.56M
137,654.06%4.56M
--4.56M
11,267.18%2.78M
-92.71%3.31K
Investments and advances
-14.73%30.4M
-12.09%30.84M
-12.09%30.84M
--32.15M
8,170.20%35.43M
--35.65M
10,557.73%35.08M
--35.08M
--428.44K
--329.2K
Non current accounts receivable
----
----
----
----
----
----
----
----
--5.64M
--4.83M
Related parties assets
-21.29%270.26K
-21.67%287.44K
-21.67%287.44K
--210.34K
-63.55%212.32K
--343.35K
-70.23%366.94K
--366.94K
42.94%582.56K
11.94%1.23M
Non current deferred assets
----
--203.08K
--203.08K
--206.7K
--207.97K
--243.25K
--0
--0
----
----
Non current prepaid assets
----
-0.71%2.02M
-0.71%2.02M
----
----
----
-5.24%2.04M
--2.04M
2,753.97%11.1M
1,792.12%2.15M
Other non current assets
-7.49%2.13M
----
----
--2.15M
--2.23M
--2.31M
----
----
----
----
Total non current assets
5.97%78.3M
24.33%80.61M
24.33%80.61M
--81.71M
101.28%82.56M
--73.89M
530.11%64.84M
--64.84M
531.25%41.02M
291.91%10.29M
Total assets
-21.73%173.04M
-30.73%185.54M
-30.73%185.54M
--191.86M
-21.88%206.05M
--221.07M
-8.07%267.85M
--267.85M
1,429.35%263.75M
1,180.22%291.36M
Liabilities
Current liabilities
Payables
122.61%6.56M
55.20%8.16M
55.20%8.16M
--4.88M
-59.08%3.41M
--2.95M
-71.26%5.26M
--5.26M
239.58%8.32M
241.59%18.3M
-accounts payable
126.21%6.56M
100.94%6.8M
100.94%6.8M
--4.84M
22.80%3.36M
--2.9M
-8.04%3.38M
--3.38M
83.05%2.74M
-1.18%3.68M
-Total tax payable
----
518.46%732.69K
518.46%732.69K
----
----
----
143.40%118.47K
--118.47K
--0
640.15%48.67K
-Due to related parties current
--0
-98.54%10.47K
-98.54%10.47K
--37.95K
-99.16%41.3K
--46.9K
-94.89%716.37K
--716.37K
9,214.20%4.91M
2,041.27%14.01M
-Other payable
----
-40.32%621.61K
-40.32%621.61K
----
----
----
85.50%1.04M
--1.04M
-24.76%673.9K
-42.33%561.47K
Current accrued expenses
-5.87%3.45M
-52.47%998.42K
-52.47%998.42K
--3.66M
28.39%3.54M
--3.67M
-13.54%2.1M
--2.1M
129.57%2.76M
555.73%2.43M
Current debt and capital lease obligation
-30.24%14.43M
-74.78%14.8M
-74.78%14.8M
--14.5M
1,036.27%16.21M
--20.68M
1,570.63%58.71M
--58.71M
-75.25%1.43M
-48.32%3.51M
-Current debt
-44.38%9.96M
-82.47%10.06M
-82.47%10.06M
--9.95M
--11.9M
--17.9M
2,045.75%57.4M
--57.4M
----
-59.89%2.67M
-Current capital lease obligation
60.87%4.47M
261.04%4.74M
261.04%4.74M
--4.55M
201.73%4.3M
--2.78M
56.47%1.31M
--1.31M
217.43%1.43M
540.64%839.33K
Current deferred liabilities
2.17%2.77M
45.04%3.5M
45.04%3.5M
--3.14M
23.29%3.37M
--2.71M
24.25%2.42M
--2.42M
78.83%2.73M
14.95%1.94M
Other current liabilities
--26.02K
-66.65%58.19K
-66.65%58.19K
----
----
----
-18.27%174.49K
--174.49K
108.41%738.72K
-33.01%213.49K
Current liabilities
-9.24%27.24M
-58.29%29.3M
-58.29%29.3M
--26.18M
66.01%26.53M
--30.01M
166.08%70.25M
--70.25M
41.41%15.98M
81.62%26.4M
Non current liabilities
Long term debt and capital lease obligation
31.50%15.31M
120.16%16.34M
120.16%16.34M
--17.07M
126.04%16M
--11.64M
1,414.62%7.42M
--7.42M
213.12%7.08M
37.58%490K
-Long term capital lease obligation
31.50%15.31M
120.16%16.34M
120.16%16.34M
--17.07M
126.04%16M
--11.64M
1,414.62%7.42M
--7.42M
213.12%7.08M
37.58%490K
Non current deferred liabilities
100.87%2.08M
333.75%2.16M
333.75%2.16M
--948.97K
16.27%968.08K
--1.04M
--497.48K
--497.48K
--832.59K
----
Derivative product liabilities
-1.29%15.64M
-12.05%15.65M
-12.05%15.65M
--15.65M
--15.66M
--15.85M
--17.79M
--17.79M
----
--0
Other non current liabilities
--224.43K
--230.06K
--230.06K
----
----
----
----
----
--100K
--700K
Total non current liabilities
16.59%33.26M
33.70%34.37M
33.70%34.37M
--33.67M
307.31%32.63M
--28.53M
2,060.47%25.71M
--25.71M
254.37%8.01M
234.13%1.19M
Total liabilities
3.35%60.5M
-33.65%63.67M
-33.65%63.67M
--59.85M
146.59%59.16M
--58.54M
247.79%95.96M
--95.96M
76.92%23.99M
85.26%27.59M
Shareholders'equity
Share capital
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-common stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-22.74%-283.25M
-24.66%-274.02M
-24.66%-274.02M
---260.96M
-85.33%-244.86M
---230.78M
-100.32%-219.82M
---219.82M
-35.01%-132.12M
-17.60%-109.74M
Paid-in capital
1.25%403.24M
1.22%402.34M
1.22%402.34M
--401.67M
6.19%399.52M
--398.26M
6.03%397.5M
--397.5M
264.29%376.21M
263.58%374.9M
Gains losses not affecting retained earnings
-50.57%-7.45M
-21.43%-6.44M
-21.43%-6.44M
---8.7M
-45.30%-7.77M
---4.95M
-281.06%-5.31M
---5.31M
-215.27%-5.35M
26.89%-1.39M
Total stockholders'equity
-30.76%112.54M
-29.30%121.87M
-29.30%121.87M
--132.01M
-38.47%146.89M
--162.53M
-34.65%172.37M
--172.37M
6,317.59%238.74M
3,241.09%263.77M
Noncontrolling interests
---4.38K
99.11%-4.24K
99.11%-4.24K
---2.06K
-100.15%-1.52K
--0
---477.14K
---477.14K
3,055.44%1.01M
--0
Total equity
-30.76%112.54M
-29.10%121.87M
-29.10%121.87M
--132.01M
-38.73%146.89M
--162.53M
-34.83%171.89M
--171.89M
6,404.88%239.76M
3,253.25%263.77M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
Unqualified Opinion
(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(Q2)Jun 30, 2022(FY)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -73.39%24.44M-78.17%33.6M-78.17%33.6M--44.65M-66.99%60.39M--91.85M-41.02%153.97M--153.97M9,210.57%182.97M5,639.01%261.07M
-Cash and cash equivalents -77.95%20.26M-80.92%29.38M-80.92%29.38M--44.65M-66.99%60.39M--91.85M-41.02%153.97M--153.97M9,210.57%182.97M5,639.01%261.07M
-Short-term investments --4.18M--4.23M--4.23M--------------0--0--------
Receivables 38.25%11.38M108.16%14.06M108.16%14.06M--10.9M-0.71%9.89M--8.23M-7.67%6.75M--6.75M112.10%9.96M-29.57%7.31M
-Accounts receivable 67.48%4.58M1,055.08%6.53M1,055.08%6.53M--4.65M5.18%2.65M--2.73M-72.39%565.4K--565.4K55.93%2.52M341.92%2.05M
-Loans receivable ------0--0--790K-97.92%100K--100K--1.04M--1.04M--4.8M--0
-Taxes receivable 49.37%6.54M52.25%6.24M52.25%6.24M--4.62M320.10%6.29M--4.38M11.19%4.1M--4.1M82.66%1.5M307.73%3.68M
-Related party accounts receivable -21.29%270.26K-21.67%287.44K-21.67%287.44K--210.34K-63.55%212.32K--343.35K-70.23%366.94K--366.94K42.94%582.56K11.94%1.23M
-Other receivables ----47.30%1M47.30%1M--641.78K14.14%645.74K--681.81K94.65%678.89K--678.89K-77.14%565.76K-95.91%348.77K
Inventory 19.76%43.77M37.89%43.91M37.89%43.91M--43.08M99.80%41.8M--36.55M291.21%31.84M--31.84M631.85%20.92M93.44%8.14M
Prepaid assets 43.49%13.93M27.36%12.58M27.36%12.58M--10.79M30.15%10.47M--9.71M167.92%9.88M--9.88M623.21%8.04M352.73%3.69M
Restricted cash 256.03%329.19K50.87%196.17K50.87%196.17K--198.04K-83.88%92.46K--92.46K-78.17%130.02K--130.02K--573.6K--595.55K
Current deferred assets --------------14.28K--10.27K--20.03K----------------
Other current assets 19.15%869.12K30.13%573.56K30.13%573.56K--523.72K212.89%840.55K--729.46K63.60%440.76K--440.76K132.53%268.64K51.20%269.41K
Total current assets -35.63%94.73M-48.31%104.93M-48.31%104.93M--110.16M-44.56%123.49M--147.18M-27.77%203.01M--203.01M1,972.29%222.73M1,296.06%281.07M
Non current assets
Net PPE 24.98%38.91M74.69%40.44M74.69%40.44M--40.81M275.11%38.24M--31.13M679.29%23.15M--23.15M155.62%10.2M103.12%2.97M
-Gross PPE 44.15%44.88M69.90%45.12M69.90%45.12M--45.14M214.67%42.21M--31.13M361.29%26.56M--26.56M108.86%13.42M33.46%5.76M
-Accumulated depreciation ---5.97M-37.34%-4.68M-37.34%-4.68M---4.32M-23.30%-3.97M-----22.24%-3.41M---3.41M-32.25%-3.22M2.28%-2.79M
Goodwill and other intangible assets 50.52%6.86M55.51%7.1M55.51%7.1M--6.38M-52.82%6.44M--4.56M137,654.06%4.56M--4.56M55,805.49%13.65M-92.71%3.31K
-Goodwill --218.02K--223.49K--223.49K--------------0--0--10.87M----
-Other intangible assets 45.74%6.64M50.62%6.87M50.62%6.87M--6.38M132.02%6.44M--4.56M137,654.06%4.56M--4.56M11,267.18%2.78M-92.71%3.31K
Investments and advances -14.73%30.4M-12.09%30.84M-12.09%30.84M--32.15M8,170.20%35.43M--35.65M10,557.73%35.08M--35.08M--428.44K--329.2K
Non current accounts receivable ----------------------------------5.64M--4.83M
Related parties assets -21.29%270.26K-21.67%287.44K-21.67%287.44K--210.34K-63.55%212.32K--343.35K-70.23%366.94K--366.94K42.94%582.56K11.94%1.23M
Non current deferred assets ------203.08K--203.08K--206.7K--207.97K--243.25K--0--0--------
Non current prepaid assets -----0.71%2.02M-0.71%2.02M-------------5.24%2.04M--2.04M2,753.97%11.1M1,792.12%2.15M
Other non current assets -7.49%2.13M----------2.15M--2.23M--2.31M----------------
Total non current assets 5.97%78.3M24.33%80.61M24.33%80.61M--81.71M101.28%82.56M--73.89M530.11%64.84M--64.84M531.25%41.02M291.91%10.29M
Total assets -21.73%173.04M-30.73%185.54M-30.73%185.54M--191.86M-21.88%206.05M--221.07M-8.07%267.85M--267.85M1,429.35%263.75M1,180.22%291.36M
Liabilities
Current liabilities
Payables 122.61%6.56M55.20%8.16M55.20%8.16M--4.88M-59.08%3.41M--2.95M-71.26%5.26M--5.26M239.58%8.32M241.59%18.3M
-accounts payable 126.21%6.56M100.94%6.8M100.94%6.8M--4.84M22.80%3.36M--2.9M-8.04%3.38M--3.38M83.05%2.74M-1.18%3.68M
-Total tax payable ----518.46%732.69K518.46%732.69K------------143.40%118.47K--118.47K--0640.15%48.67K
-Due to related parties current --0-98.54%10.47K-98.54%10.47K--37.95K-99.16%41.3K--46.9K-94.89%716.37K--716.37K9,214.20%4.91M2,041.27%14.01M
-Other payable -----40.32%621.61K-40.32%621.61K------------85.50%1.04M--1.04M-24.76%673.9K-42.33%561.47K
Current accrued expenses -5.87%3.45M-52.47%998.42K-52.47%998.42K--3.66M28.39%3.54M--3.67M-13.54%2.1M--2.1M129.57%2.76M555.73%2.43M
Current debt and capital lease obligation -30.24%14.43M-74.78%14.8M-74.78%14.8M--14.5M1,036.27%16.21M--20.68M1,570.63%58.71M--58.71M-75.25%1.43M-48.32%3.51M
-Current debt -44.38%9.96M-82.47%10.06M-82.47%10.06M--9.95M--11.9M--17.9M2,045.75%57.4M--57.4M-----59.89%2.67M
-Current capital lease obligation 60.87%4.47M261.04%4.74M261.04%4.74M--4.55M201.73%4.3M--2.78M56.47%1.31M--1.31M217.43%1.43M540.64%839.33K
Current deferred liabilities 2.17%2.77M45.04%3.5M45.04%3.5M--3.14M23.29%3.37M--2.71M24.25%2.42M--2.42M78.83%2.73M14.95%1.94M
Other current liabilities --26.02K-66.65%58.19K-66.65%58.19K-------------18.27%174.49K--174.49K108.41%738.72K-33.01%213.49K
Current liabilities -9.24%27.24M-58.29%29.3M-58.29%29.3M--26.18M66.01%26.53M--30.01M166.08%70.25M--70.25M41.41%15.98M81.62%26.4M
Non current liabilities
Long term debt and capital lease obligation 31.50%15.31M120.16%16.34M120.16%16.34M--17.07M126.04%16M--11.64M1,414.62%7.42M--7.42M213.12%7.08M37.58%490K
-Long term capital lease obligation 31.50%15.31M120.16%16.34M120.16%16.34M--17.07M126.04%16M--11.64M1,414.62%7.42M--7.42M213.12%7.08M37.58%490K
Non current deferred liabilities 100.87%2.08M333.75%2.16M333.75%2.16M--948.97K16.27%968.08K--1.04M--497.48K--497.48K--832.59K----
Derivative product liabilities -1.29%15.64M-12.05%15.65M-12.05%15.65M--15.65M--15.66M--15.85M--17.79M--17.79M------0
Other non current liabilities --224.43K--230.06K--230.06K----------------------100K--700K
Total non current liabilities 16.59%33.26M33.70%34.37M33.70%34.37M--33.67M307.31%32.63M--28.53M2,060.47%25.71M--25.71M254.37%8.01M234.13%1.19M
Total liabilities 3.35%60.5M-33.65%63.67M-33.65%63.67M--59.85M146.59%59.16M--58.54M247.79%95.96M--95.96M76.92%23.99M85.26%27.59M
Shareholders'equity
Share capital --0--0--0--0--0--0--0--0--0--0
-common stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -22.74%-283.25M-24.66%-274.02M-24.66%-274.02M---260.96M-85.33%-244.86M---230.78M-100.32%-219.82M---219.82M-35.01%-132.12M-17.60%-109.74M
Paid-in capital 1.25%403.24M1.22%402.34M1.22%402.34M--401.67M6.19%399.52M--398.26M6.03%397.5M--397.5M264.29%376.21M263.58%374.9M
Gains losses not affecting retained earnings -50.57%-7.45M-21.43%-6.44M-21.43%-6.44M---8.7M-45.30%-7.77M---4.95M-281.06%-5.31M---5.31M-215.27%-5.35M26.89%-1.39M
Total stockholders'equity -30.76%112.54M-29.30%121.87M-29.30%121.87M--132.01M-38.47%146.89M--162.53M-34.65%172.37M--172.37M6,317.59%238.74M3,241.09%263.77M
Noncontrolling interests ---4.38K99.11%-4.24K99.11%-4.24K---2.06K-100.15%-1.52K--0---477.14K---477.14K3,055.44%1.01M--0
Total equity -30.76%112.54M-29.10%121.87M-29.10%121.87M--132.01M-38.73%146.89M--162.53M-34.83%171.89M--171.89M6,404.88%239.76M3,253.25%263.77M
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