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EFSH 1847 Holdings

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  • 2.2650
  • +0.1050+4.86%
Trading Aug 29 15:29 ET
1.55MMarket Cap-32P/E (TTM)

1847 Holdings 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
42.94%-368.3K
-97.97%-3.53M
-82.51%-7.54M
-1,095.25%-1.84M
2.76%-3.27M
-715.07%-645.42K
-232.44%-1.78M
-360.30%-4.13M
70.13%-154.19K
-948.05%-3.36M
Net income from continuing operations
-77.49%-5.97M
-976.36%-10.1M
-192.61%-31.61M
-334.42%-22.83M
-46.94%-6.57M
-2,176.59%-3.36M
224.25%1.15M
-210.33%-10.8M
-7.70%-5.25M
-359.52%-4.47M
Operating gains losses
---518.45K
--1.88M
-119.01%-375.26K
330.38%40.84K
----
----
----
154.03%1.97M
---17.73K
18,696.24%2.02M
Depreciation and amortization
-9.31%680.67K
-4.64%679.47K
17.99%3.1M
-5.87%653.11K
41.40%987.24K
19.37%750.57K
16.92%712.52K
141.30%2.63M
53.49%693.83K
105.92%698.21K
Deferred tax
----
----
----
----
31.40%-675K
----
----
----
----
---984K
Other non cash items
256.88%2.93M
790.73%3.68M
113.09%4.39M
1,453.57%3.15M
99.13%2.69M
-835.37%-1.87M
65.47%412.65K
-56.76%2.06M
-95.20%202.62K
9,727.78%1.35M
Change In working capital
181.43%1.37M
120.05%290.76K
4,103.21%1.25M
-40.81%1.59M
131.36%621.1K
224.90%488.24K
-319.01%-1.45M
-110.06%-31.21K
737.29%2.69M
-737.71%-1.98M
-Change in receivables
-16.95%-1.5M
467.64%1.35M
74.63%-466.26K
-3.00%154.56K
514.02%1.03M
-4.89%-1.29M
29.39%-367.92K
-3,855.73%-1.84M
171.62%159.34K
-307.01%-249.6K
-Change in inventory
6.27%945.1K
-80.52%-118.77K
-37.33%755.37K
21.81%651.2K
-401.23%-719.34K
9.78%889.32K
82.60%-65.79K
209.75%1.21M
0.74%534.58K
-10.43%238.81K
-Change in prepaid assets
132.83%348.96K
-1,717.61%-653.78K
-371.15%-548.19K
-44.80%266.24K
134.04%208.14K
-5,465.35%-1.06M
-87.03%40.42K
10.86%202.17K
762.76%482.3K
-283.11%-611.45K
-Change in payables and accrued expense
190.17%2.41M
613.45%559.54K
-29.36%2.11M
-131.66%-412.48K
816.56%1.8M
-14.95%830.43K
-111.30%-108.98K
313.58%2.99M
365.05%1.3M
-667.41%-251.86K
-Change in other current assets
----
----
-6.64%3.26K
--0
----
----
----
--3.49K
--369
---21.3K
-Change in other current liabilities
-46.73%-253.36K
-38.42%-248.95K
-53.47%-806.3K
-18.54%-208.6K
-40.41%-245.17K
-89.62%-172.67K
-114.81%-179.86K
-196.35%-525.37K
-94.63%-175.97K
-383.26%-174.61K
-Change in other working capital
-144.33%-572.07K
21.88%-599.93K
109.54%197.64K
197.46%1.14M
-60.75%-1.46M
242.70%1.29M
-20.15%-767.99K
-141.87%-2.07M
139.26%382.95K
-284.45%-910.7K
Cash from discontinued investing activities
0
80.50%-13.46K
-50.78K
-69.05K
Operating cash flow
47.10%-368.3K
-91.31%-3.54M
-82.51%-7.54M
-1,095.25%-1.84M
6.32%-3.15M
-779.20%-696.2K
-245.31%-1.85M
-286.79%-4.13M
70.13%-154.19K
-948.05%-3.36M
Investing cash flow
Cash flow from continuing investing activities
0
0
-2,327.35%-3.89M
-58.78%7.64K
72.17%-5.88K
-27.26%-161.34K
-11,924.89%-3.73M
98.98%-160.42K
100.18%18.53K
-143.94%-21.11K
Net PPE purchase and sale
--0
--0
-50.96%-240.84K
-156.58%-10.68K
74.57%-5.37K
-27.53%-161.34K
-106.03%-63.44K
-4.63%-159.54K
107.88%18.88K
-107.13%-21.11K
Net business purchase and sale
--0
--0
---3.65M
--19.03K
--0
--0
---3.67M
--0
--0
--0
Net investment purchase and sale
----
----
-37.46%-1.21K
-99.15%-705
----
----
----
---881
---354
--0
Cash from discontinued investing activities
Investing cash flow
--0
--0
-2,327.35%-3.89M
-58.78%7.64K
74.09%-5.47K
-27.35%-161.44K
-11,925.86%-3.73M
98.93%-160.42K
100.18%18.53K
-143.94%-21.11K
Financing cash flow
Cash flow from continuing financing activities
167.72%591.69K
-50.46%3.37M
178.89%11.12M
247.51%545K
27.39%4.64M
-722.48%-873.69K
728.02%6.81M
-75.96%3.99M
-103.26%-369.48K
1,671.75%3.64M
Net issuance payments of debt
172.00%591.69K
-128.99%-960.11K
748.47%3.1M
425.19%545K
135.16%67.06K
-1,233.04%-821.77K
5,778.23%3.31M
-102.19%-478.31K
-100.95%-167.59K
-865.76%-190.75K
Net common stock issuance
--0
22.13%4.34M
57.71%8.12M
--0
-11.23%4.57M
--0
--3.55M
--5.15M
--0
--5.15M
Net preferred stock issuance
----
----
--0
--0
----
----
----
138.08%1.16M
--0
---266.59K
Cash dividends paid
--0
--0
94.28%-105.67K
--0
--0
72.64%-56.99K
87.35%-48.68K
-78.72%-1.85M
43.36%-201.89K
-238.17%-1.05M
Proceeds from stock option exercised by employees
----
----
--5.06K
--0
--0
----
----
--0
--0
--0
Cash from discontinued financing activities
0
33.21%-4.84K
-6.94K
-7.24K
Financing cash flow
167.19%591.69K
-50.48%3.37M
178.89%11.12M
247.51%545K
27.77%4.65M
-729.01%-880.63K
727.14%6.8M
-75.65%3.99M
-103.26%-369.48K
1,671.75%3.64M
Net cash flow
Beginning cash position
-73.31%577.61K
-15.77%731.94K
-21.99%1.08M
29.80%2.06M
-63.55%483.65K
32.04%2.16M
-37.19%868.94K
0.23%1.38M
62.82%1.58M
-10.21%1.33M
Current changes in cash
113.29%223.38K
-111.92%-154.34K
-2.88%-312.94K
-155.44%-1.29M
428.66%1.36M
-438.28%-1.68M
407.13%1.3M
-9,653.33%-304.18K
-223.10%-505.14K
151.11%257.76K
End cash Position
65.61%800.99K
-73.31%577.61K
-28.99%766.41K
-28.99%766.41K
29.80%2.06M
-63.55%483.65K
32.04%2.16M
-21.99%1.08M
-21.99%1.08M
62.82%1.58M
Free cash flow
57.05%-368.3K
-84.98%-3.54M
-77.32%-7.78M
-1,096.39%-1.85M
7.77%-3.15M
-307.97%-857.54K
-217.85%-1.92M
-252.29%-4.39M
64.04%-154.94K
-812.50%-3.42M
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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(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 42.94%-368.3K-97.97%-3.53M-82.51%-7.54M-1,095.25%-1.84M2.76%-3.27M-715.07%-645.42K-232.44%-1.78M-360.30%-4.13M70.13%-154.19K-948.05%-3.36M
Net income from continuing operations -77.49%-5.97M-976.36%-10.1M-192.61%-31.61M-334.42%-22.83M-46.94%-6.57M-2,176.59%-3.36M224.25%1.15M-210.33%-10.8M-7.70%-5.25M-359.52%-4.47M
Operating gains losses ---518.45K--1.88M-119.01%-375.26K330.38%40.84K------------154.03%1.97M---17.73K18,696.24%2.02M
Depreciation and amortization -9.31%680.67K-4.64%679.47K17.99%3.1M-5.87%653.11K41.40%987.24K19.37%750.57K16.92%712.52K141.30%2.63M53.49%693.83K105.92%698.21K
Deferred tax ----------------31.40%-675K-------------------984K
Other non cash items 256.88%2.93M790.73%3.68M113.09%4.39M1,453.57%3.15M99.13%2.69M-835.37%-1.87M65.47%412.65K-56.76%2.06M-95.20%202.62K9,727.78%1.35M
Change In working capital 181.43%1.37M120.05%290.76K4,103.21%1.25M-40.81%1.59M131.36%621.1K224.90%488.24K-319.01%-1.45M-110.06%-31.21K737.29%2.69M-737.71%-1.98M
-Change in receivables -16.95%-1.5M467.64%1.35M74.63%-466.26K-3.00%154.56K514.02%1.03M-4.89%-1.29M29.39%-367.92K-3,855.73%-1.84M171.62%159.34K-307.01%-249.6K
-Change in inventory 6.27%945.1K-80.52%-118.77K-37.33%755.37K21.81%651.2K-401.23%-719.34K9.78%889.32K82.60%-65.79K209.75%1.21M0.74%534.58K-10.43%238.81K
-Change in prepaid assets 132.83%348.96K-1,717.61%-653.78K-371.15%-548.19K-44.80%266.24K134.04%208.14K-5,465.35%-1.06M-87.03%40.42K10.86%202.17K762.76%482.3K-283.11%-611.45K
-Change in payables and accrued expense 190.17%2.41M613.45%559.54K-29.36%2.11M-131.66%-412.48K816.56%1.8M-14.95%830.43K-111.30%-108.98K313.58%2.99M365.05%1.3M-667.41%-251.86K
-Change in other current assets ---------6.64%3.26K--0--------------3.49K--369---21.3K
-Change in other current liabilities -46.73%-253.36K-38.42%-248.95K-53.47%-806.3K-18.54%-208.6K-40.41%-245.17K-89.62%-172.67K-114.81%-179.86K-196.35%-525.37K-94.63%-175.97K-383.26%-174.61K
-Change in other working capital -144.33%-572.07K21.88%-599.93K109.54%197.64K197.46%1.14M-60.75%-1.46M242.70%1.29M-20.15%-767.99K-141.87%-2.07M139.26%382.95K-284.45%-910.7K
Cash from discontinued investing activities 080.50%-13.46K-50.78K-69.05K
Operating cash flow 47.10%-368.3K-91.31%-3.54M-82.51%-7.54M-1,095.25%-1.84M6.32%-3.15M-779.20%-696.2K-245.31%-1.85M-286.79%-4.13M70.13%-154.19K-948.05%-3.36M
Investing cash flow
Cash flow from continuing investing activities 00-2,327.35%-3.89M-58.78%7.64K72.17%-5.88K-27.26%-161.34K-11,924.89%-3.73M98.98%-160.42K100.18%18.53K-143.94%-21.11K
Net PPE purchase and sale --0--0-50.96%-240.84K-156.58%-10.68K74.57%-5.37K-27.53%-161.34K-106.03%-63.44K-4.63%-159.54K107.88%18.88K-107.13%-21.11K
Net business purchase and sale --0--0---3.65M--19.03K--0--0---3.67M--0--0--0
Net investment purchase and sale ---------37.46%-1.21K-99.15%-705---------------881---354--0
Cash from discontinued investing activities
Investing cash flow --0--0-2,327.35%-3.89M-58.78%7.64K74.09%-5.47K-27.35%-161.44K-11,925.86%-3.73M98.93%-160.42K100.18%18.53K-143.94%-21.11K
Financing cash flow
Cash flow from continuing financing activities 167.72%591.69K-50.46%3.37M178.89%11.12M247.51%545K27.39%4.64M-722.48%-873.69K728.02%6.81M-75.96%3.99M-103.26%-369.48K1,671.75%3.64M
Net issuance payments of debt 172.00%591.69K-128.99%-960.11K748.47%3.1M425.19%545K135.16%67.06K-1,233.04%-821.77K5,778.23%3.31M-102.19%-478.31K-100.95%-167.59K-865.76%-190.75K
Net common stock issuance --022.13%4.34M57.71%8.12M--0-11.23%4.57M--0--3.55M--5.15M--0--5.15M
Net preferred stock issuance ----------0--0------------138.08%1.16M--0---266.59K
Cash dividends paid --0--094.28%-105.67K--0--072.64%-56.99K87.35%-48.68K-78.72%-1.85M43.36%-201.89K-238.17%-1.05M
Proceeds from stock option exercised by employees ----------5.06K--0--0----------0--0--0
Cash from discontinued financing activities 033.21%-4.84K-6.94K-7.24K
Financing cash flow 167.19%591.69K-50.48%3.37M178.89%11.12M247.51%545K27.77%4.65M-729.01%-880.63K727.14%6.8M-75.65%3.99M-103.26%-369.48K1,671.75%3.64M
Net cash flow
Beginning cash position -73.31%577.61K-15.77%731.94K-21.99%1.08M29.80%2.06M-63.55%483.65K32.04%2.16M-37.19%868.94K0.23%1.38M62.82%1.58M-10.21%1.33M
Current changes in cash 113.29%223.38K-111.92%-154.34K-2.88%-312.94K-155.44%-1.29M428.66%1.36M-438.28%-1.68M407.13%1.3M-9,653.33%-304.18K-223.10%-505.14K151.11%257.76K
End cash Position 65.61%800.99K-73.31%577.61K-28.99%766.41K-28.99%766.41K29.80%2.06M-63.55%483.65K32.04%2.16M-21.99%1.08M-21.99%1.08M62.82%1.58M
Free cash flow 57.05%-368.3K-84.98%-3.54M-77.32%-7.78M-1,096.39%-1.85M7.77%-3.15M-307.97%-857.54K-217.85%-1.92M-252.29%-4.39M64.04%-154.94K-812.50%-3.42M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --------------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

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Price Target

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