US Stock MarketDetailed Quotes

EJH E-Home Household Service

Watchlist
  • 0.9180
  • -0.0820-8.20%
Close Nov 12 16:00 ET
  • 0.9026
  • -0.0154-1.68%
Post 20:01 ET
7.98MMarket Cap-38P/E (TTM)

E-Home Household Service Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q2)Dec 31, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q2)Dec 31, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(Q2)Dec 31, 2021
(FY)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
41.28%100.67M
41.28%100.67M
18.98%74.33M
29.92%71.25M
29.92%71.25M
5.31%62.47M
4.64%54.84M
--54.84M
36.31%59.32M
109.46%52.41M
-Cash and cash equivalents
41.28%100.67M
41.28%100.67M
18.98%74.33M
29.92%71.25M
29.92%71.25M
5.31%62.47M
4.64%54.84M
--54.84M
36.31%59.32M
109.46%52.41M
Receivables
-71.96%1.88M
-71.96%1.88M
52.07%17.1M
664.11%6.71M
664.11%6.71M
1,175.33%11.24M
6.20%877.93K
--877.93K
-41.35%881.53K
-53.42%826.68K
-Accounts receivable
-54.41%464.42K
-54.41%464.42K
-66.78%697.36K
16.03%1.02M
16.03%1.02M
138.14%2.1M
6.20%877.93K
--877.93K
-41.35%881.53K
-53.42%826.68K
-Loans receivable
----
----
----
----
----
--5.18M
----
----
----
----
-Taxes receivable
1.88%574.77K
1.88%574.77K
--568.82K
--564.16K
--564.16K
----
--0
--0
----
----
-Related party accounts receivable
--0
--0
383.33%14.98M
--4.3M
--4.3M
--3.1M
--0
--0
----
----
-Other receivables
1.39%841.89K
1.39%841.89K
-1.67%847.14K
--830.36K
--830.36K
--861.5K
----
----
----
----
Inventory
-45.31%18.75K
-45.31%18.75K
-92.74%12.42K
210.06%34.29K
210.06%34.29K
384.34%170.95K
-95.52%11.06K
--11.06K
--35.3K
2,010.66%246.78K
Prepaid assets
1.24%5.5M
1.24%5.5M
-15.94%1.51M
-48.35%5.43M
-48.35%5.43M
-84.51%1.8M
-14.33%10.52M
--10.52M
44,140.25%11.59M
619.51%12.28M
Restricted cash
--144.86K
--144.86K
----
--0
--0
----
----
----
----
----
Other current assets
-7.31%557.72K
-7.31%557.72K
-25.14%466.1K
-19.06%601.69K
-19.06%601.69K
18.91%622.62K
2,477,873.33%743.39K
--743.39K
-57.72%523.61K
-99.98%30
Total current assets
29.44%108.77M
29.44%108.77M
22.42%93.41M
25.43%84.03M
25.43%84.03M
5.46%76.3M
1.87%67M
--67M
56.30%72.35M
129.15%65.77M
Non current assets
Net PPE
-3.20%69.95M
-3.20%69.95M
427.32%70.84M
495.40%72.26M
495.40%72.26M
119.07%13.43M
54.63%12.14M
--12.14M
-36.29%6.13M
-14.41%7.85M
-Gross PPE
-3.61%72.84M
-3.61%72.84M
352.25%73.65M
436.56%75.57M
436.56%75.57M
112.80%16.28M
55.13%14.08M
--14.08M
-32.32%7.65M
-11.61%9.08M
-Accumulated depreciation
12.58%-2.89M
12.58%-2.89M
1.55%-2.81M
-69.97%-3.31M
-69.97%-3.31M
-87.50%-2.85M
-58.33%-1.95M
---1.95M
9.61%-1.52M
-11.66%-1.23M
Goodwill and other intangible assets
-92.41%2.38K
-92.41%2.38K
-99.92%13.94K
30.75%31.33K
30.75%31.33K
29,711.67%18.55M
-33.49%23.96K
--23.96K
51.11%62.24K
-16.29%36.03K
-Goodwill
----
----
----
----
----
35,678.81%11.22M
----
----
--31.37K
----
-Other intangible assets
-92.41%2.38K
-92.41%2.38K
-99.81%13.94K
30.75%31.33K
30.75%31.33K
23,647.49%7.33M
-33.49%23.96K
--23.96K
-25.06%30.87K
-16.29%36.03K
Investments and advances
----
----
----
----
----
--0
--894K
--894K
--941.07K
--0
Related parties assets
--0
--0
383.33%14.98M
--4.3M
--4.3M
--3.1M
--0
--0
----
----
Non current deferred assets
----
----
----
----
----
--0
-37.19%442.32K
--442.32K
-25.31%524.54K
99.45%704.26K
Non current prepaid assets
--0
--0
--0
--1.94M
--1.94M
--2.01M
--0
--0
----
----
Other non current assets
----
----
----
----
----
--1
----
----
----
----
Total non current assets
-5.76%69.95M
-5.76%69.95M
108.41%70.85M
449.98%74.22M
449.98%74.22M
343.82%34M
57.14%13.5M
--13.5M
-42.32%7.66M
-29.88%8.59M
Total assets
12.93%178.72M
12.93%178.72M
48.93%164.26M
96.61%158.26M
96.61%158.26M
37.86%110.3M
8.25%80.49M
--80.49M
34.31%80.01M
81.58%74.35M
Liabilities
Current liabilities
Payables
19.03%7.16M
19.03%7.16M
-7.96%6.75M
36.54%6.01M
36.54%6.01M
43.30%7.34M
3.05%4.4M
--4.4M
-34.33%5.12M
48.55%4.27M
-accounts payable
-10.08%3.44M
-10.08%3.44M
-26.65%3.33M
9.69%3.82M
9.69%3.82M
31.72%4.54M
-4.68%3.49M
--3.49M
-34.20%3.45M
39.10%3.66M
-Total tax payable
--38.57K
--38.57K
----
--0
--0
100.40%479.32K
22,678.11%505.67K
--505.67K
-86.77%239.19K
-72.34%2.22K
-Due to related parties current
86.42%3.15M
86.42%3.15M
--1.74M
--1.69M
--1.69M
----
--0
--0
----
----
-Other payable
5.74%525.83K
5.74%525.83K
-27.32%1.68M
20.57%497.27K
20.57%497.27K
61.59%2.32M
-32.87%412.44K
--412.44K
91.17%1.43M
156.27%614.36K
Current accrued expenses
11.71%3.32M
11.71%3.32M
-87.16%309.85K
324.66%2.97M
324.66%2.97M
243.42%2.41M
717.60%699.03K
--699.03K
504.09%702.59K
-17.62%85.5K
Current debt and capital lease obligation
-16.13%1.45M
-16.13%1.45M
0.25%1.74M
106.42%1.73M
106.42%1.73M
1,903.80%1.74M
473.51%838.48K
--838.48K
-69.24%86.7K
-41.60%146.2K
-Current debt
1.39%1.38M
1.39%1.38M
-1.67%1.38M
--1.36M
--1.36M
--1.41M
----
----
----
----
-Current capital lease obligation
-79.60%76.42K
-79.60%76.42K
8.40%357.86K
-55.33%374.52K
-55.33%374.52K
280.79%330.14K
473.51%838.48K
--838.48K
-69.24%86.7K
-41.60%146.2K
Current deferred liabilities
-76.37%501.89K
-76.37%501.89K
-30.77%1.53M
-5.67%2.12M
-5.67%2.12M
-25.39%2.21M
-24.81%2.25M
--2.25M
0.01%2.97M
111.66%2.99M
Current liabilities
-3.19%12.43M
-3.19%12.43M
-24.55%10.34M
56.67%12.84M
56.67%12.84M
54.35%13.7M
9.25%8.19M
--8.19M
-20.47%8.88M
61.43%7.5M
Non current liabilities
Long term debt and capital lease obligation
-77.32%1.31M
-77.32%1.31M
-55.96%3M
-25.47%5.79M
-25.47%5.79M
11.35%6.8M
199.98%7.77M
--7.77M
65.33%6.11M
-27.55%2.59M
-Long term debt
----
----
-68.53%1.46M
-34.70%3.87M
-34.70%3.87M
32.14%4.63M
--5.93M
--5.93M
--3.5M
----
-Long term capital lease obligation
-31.55%1.31M
-31.55%1.31M
-29.20%1.54M
4.30%1.92M
4.30%1.92M
-16.58%2.17M
-28.98%1.84M
--1.84M
-29.48%2.61M
-27.55%2.59M
Non current deferred liabilities
0.00%1.82M
0.00%1.82M
36.07%1.82M
--1.82M
--1.82M
--1.34M
--0
--0
----
----
Total non current liabilities
-58.83%3.13M
-58.83%3.13M
-40.84%4.81M
-2.05%7.61M
-2.05%7.61M
33.25%8.14M
199.98%7.77M
--7.77M
65.33%6.11M
-27.55%2.59M
Total liabilities
-23.90%15.56M
-23.90%15.56M
-30.62%15.15M
28.09%20.45M
28.09%20.45M
45.75%21.84M
58.21%15.96M
--15.96M
0.87%14.98M
22.73%10.09M
Shareholders'equity
Share capital
3,651.26%20.44M
3,651.26%20.44M
9,975.68%3.08M
12,215.95%544.98K
12,215.95%544.98K
809.53%30.55K
31.74%4.43K
--4.43K
19.96%3.36K
19.96%3.36K
-common stock
3,651.26%20.44M
3,651.26%20.44M
9,975.68%3.08M
12,215.95%544.98K
12,215.95%544.98K
809.53%30.55K
31.74%4.43K
--4.43K
19.96%3.36K
19.96%3.36K
Retained earnings
-533.67%-23.02M
-533.67%-23.02M
-131.25%-8.8M
-111.58%-3.63M
-111.58%-3.63M
-22.17%28.17M
-14.75%31.37M
--31.37M
-7.90%36.2M
21.09%36.8M
Paid-in capital
17.06%171.44M
17.06%171.44M
163.96%159.74M
337.82%146.46M
337.82%146.46M
131.10%60.52M
30.97%33.45M
--33.45M
613.91%26.19M
596.37%25.54M
Gains losses not affecting retained earnings
-0.91%-6.5M
-0.91%-6.5M
-141.14%-5.75M
-2,193.71%-6.45M
-2,193.71%-6.45M
-189.72%-2.38M
-114.32%-280.99K
---280.99K
49.56%2.66M
250.55%1.96M
Total stockholders'equity
18.57%162.36M
18.57%162.36M
71.73%148.26M
112.13%136.93M
112.13%136.93M
32.73%86.33M
0.37%64.55M
--64.55M
45.35%65.05M
96.30%64.31M
Noncontrolling interests
-9.63%795.87K
-9.63%795.87K
-59.97%851.17K
4,513.99%880.72K
4,513.99%880.72K
10,757.97%2.13M
57.58%-19.95K
---19.95K
44.20%-19.95K
-36.37%-47.04K
Total equity
18.39%163.16M
18.39%163.16M
68.57%149.11M
113.56%137.81M
113.56%137.81M
36.04%88.46M
0.41%64.53M
--64.53M
45.43%65.03M
96.36%64.27M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q2)Dec 31, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q2)Dec 31, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022(Q2)Dec 31, 2021(FY)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 41.28%100.67M41.28%100.67M18.98%74.33M29.92%71.25M29.92%71.25M5.31%62.47M4.64%54.84M--54.84M36.31%59.32M109.46%52.41M
-Cash and cash equivalents 41.28%100.67M41.28%100.67M18.98%74.33M29.92%71.25M29.92%71.25M5.31%62.47M4.64%54.84M--54.84M36.31%59.32M109.46%52.41M
Receivables -71.96%1.88M-71.96%1.88M52.07%17.1M664.11%6.71M664.11%6.71M1,175.33%11.24M6.20%877.93K--877.93K-41.35%881.53K-53.42%826.68K
-Accounts receivable -54.41%464.42K-54.41%464.42K-66.78%697.36K16.03%1.02M16.03%1.02M138.14%2.1M6.20%877.93K--877.93K-41.35%881.53K-53.42%826.68K
-Loans receivable ----------------------5.18M----------------
-Taxes receivable 1.88%574.77K1.88%574.77K--568.82K--564.16K--564.16K------0--0--------
-Related party accounts receivable --0--0383.33%14.98M--4.3M--4.3M--3.1M--0--0--------
-Other receivables 1.39%841.89K1.39%841.89K-1.67%847.14K--830.36K--830.36K--861.5K----------------
Inventory -45.31%18.75K-45.31%18.75K-92.74%12.42K210.06%34.29K210.06%34.29K384.34%170.95K-95.52%11.06K--11.06K--35.3K2,010.66%246.78K
Prepaid assets 1.24%5.5M1.24%5.5M-15.94%1.51M-48.35%5.43M-48.35%5.43M-84.51%1.8M-14.33%10.52M--10.52M44,140.25%11.59M619.51%12.28M
Restricted cash --144.86K--144.86K------0--0--------------------
Other current assets -7.31%557.72K-7.31%557.72K-25.14%466.1K-19.06%601.69K-19.06%601.69K18.91%622.62K2,477,873.33%743.39K--743.39K-57.72%523.61K-99.98%30
Total current assets 29.44%108.77M29.44%108.77M22.42%93.41M25.43%84.03M25.43%84.03M5.46%76.3M1.87%67M--67M56.30%72.35M129.15%65.77M
Non current assets
Net PPE -3.20%69.95M-3.20%69.95M427.32%70.84M495.40%72.26M495.40%72.26M119.07%13.43M54.63%12.14M--12.14M-36.29%6.13M-14.41%7.85M
-Gross PPE -3.61%72.84M-3.61%72.84M352.25%73.65M436.56%75.57M436.56%75.57M112.80%16.28M55.13%14.08M--14.08M-32.32%7.65M-11.61%9.08M
-Accumulated depreciation 12.58%-2.89M12.58%-2.89M1.55%-2.81M-69.97%-3.31M-69.97%-3.31M-87.50%-2.85M-58.33%-1.95M---1.95M9.61%-1.52M-11.66%-1.23M
Goodwill and other intangible assets -92.41%2.38K-92.41%2.38K-99.92%13.94K30.75%31.33K30.75%31.33K29,711.67%18.55M-33.49%23.96K--23.96K51.11%62.24K-16.29%36.03K
-Goodwill --------------------35,678.81%11.22M----------31.37K----
-Other intangible assets -92.41%2.38K-92.41%2.38K-99.81%13.94K30.75%31.33K30.75%31.33K23,647.49%7.33M-33.49%23.96K--23.96K-25.06%30.87K-16.29%36.03K
Investments and advances ----------------------0--894K--894K--941.07K--0
Related parties assets --0--0383.33%14.98M--4.3M--4.3M--3.1M--0--0--------
Non current deferred assets ----------------------0-37.19%442.32K--442.32K-25.31%524.54K99.45%704.26K
Non current prepaid assets --0--0--0--1.94M--1.94M--2.01M--0--0--------
Other non current assets ----------------------1----------------
Total non current assets -5.76%69.95M-5.76%69.95M108.41%70.85M449.98%74.22M449.98%74.22M343.82%34M57.14%13.5M--13.5M-42.32%7.66M-29.88%8.59M
Total assets 12.93%178.72M12.93%178.72M48.93%164.26M96.61%158.26M96.61%158.26M37.86%110.3M8.25%80.49M--80.49M34.31%80.01M81.58%74.35M
Liabilities
Current liabilities
Payables 19.03%7.16M19.03%7.16M-7.96%6.75M36.54%6.01M36.54%6.01M43.30%7.34M3.05%4.4M--4.4M-34.33%5.12M48.55%4.27M
-accounts payable -10.08%3.44M-10.08%3.44M-26.65%3.33M9.69%3.82M9.69%3.82M31.72%4.54M-4.68%3.49M--3.49M-34.20%3.45M39.10%3.66M
-Total tax payable --38.57K--38.57K------0--0100.40%479.32K22,678.11%505.67K--505.67K-86.77%239.19K-72.34%2.22K
-Due to related parties current 86.42%3.15M86.42%3.15M--1.74M--1.69M--1.69M------0--0--------
-Other payable 5.74%525.83K5.74%525.83K-27.32%1.68M20.57%497.27K20.57%497.27K61.59%2.32M-32.87%412.44K--412.44K91.17%1.43M156.27%614.36K
Current accrued expenses 11.71%3.32M11.71%3.32M-87.16%309.85K324.66%2.97M324.66%2.97M243.42%2.41M717.60%699.03K--699.03K504.09%702.59K-17.62%85.5K
Current debt and capital lease obligation -16.13%1.45M-16.13%1.45M0.25%1.74M106.42%1.73M106.42%1.73M1,903.80%1.74M473.51%838.48K--838.48K-69.24%86.7K-41.60%146.2K
-Current debt 1.39%1.38M1.39%1.38M-1.67%1.38M--1.36M--1.36M--1.41M----------------
-Current capital lease obligation -79.60%76.42K-79.60%76.42K8.40%357.86K-55.33%374.52K-55.33%374.52K280.79%330.14K473.51%838.48K--838.48K-69.24%86.7K-41.60%146.2K
Current deferred liabilities -76.37%501.89K-76.37%501.89K-30.77%1.53M-5.67%2.12M-5.67%2.12M-25.39%2.21M-24.81%2.25M--2.25M0.01%2.97M111.66%2.99M
Current liabilities -3.19%12.43M-3.19%12.43M-24.55%10.34M56.67%12.84M56.67%12.84M54.35%13.7M9.25%8.19M--8.19M-20.47%8.88M61.43%7.5M
Non current liabilities
Long term debt and capital lease obligation -77.32%1.31M-77.32%1.31M-55.96%3M-25.47%5.79M-25.47%5.79M11.35%6.8M199.98%7.77M--7.77M65.33%6.11M-27.55%2.59M
-Long term debt ---------68.53%1.46M-34.70%3.87M-34.70%3.87M32.14%4.63M--5.93M--5.93M--3.5M----
-Long term capital lease obligation -31.55%1.31M-31.55%1.31M-29.20%1.54M4.30%1.92M4.30%1.92M-16.58%2.17M-28.98%1.84M--1.84M-29.48%2.61M-27.55%2.59M
Non current deferred liabilities 0.00%1.82M0.00%1.82M36.07%1.82M--1.82M--1.82M--1.34M--0--0--------
Total non current liabilities -58.83%3.13M-58.83%3.13M-40.84%4.81M-2.05%7.61M-2.05%7.61M33.25%8.14M199.98%7.77M--7.77M65.33%6.11M-27.55%2.59M
Total liabilities -23.90%15.56M-23.90%15.56M-30.62%15.15M28.09%20.45M28.09%20.45M45.75%21.84M58.21%15.96M--15.96M0.87%14.98M22.73%10.09M
Shareholders'equity
Share capital 3,651.26%20.44M3,651.26%20.44M9,975.68%3.08M12,215.95%544.98K12,215.95%544.98K809.53%30.55K31.74%4.43K--4.43K19.96%3.36K19.96%3.36K
-common stock 3,651.26%20.44M3,651.26%20.44M9,975.68%3.08M12,215.95%544.98K12,215.95%544.98K809.53%30.55K31.74%4.43K--4.43K19.96%3.36K19.96%3.36K
Retained earnings -533.67%-23.02M-533.67%-23.02M-131.25%-8.8M-111.58%-3.63M-111.58%-3.63M-22.17%28.17M-14.75%31.37M--31.37M-7.90%36.2M21.09%36.8M
Paid-in capital 17.06%171.44M17.06%171.44M163.96%159.74M337.82%146.46M337.82%146.46M131.10%60.52M30.97%33.45M--33.45M613.91%26.19M596.37%25.54M
Gains losses not affecting retained earnings -0.91%-6.5M-0.91%-6.5M-141.14%-5.75M-2,193.71%-6.45M-2,193.71%-6.45M-189.72%-2.38M-114.32%-280.99K---280.99K49.56%2.66M250.55%1.96M
Total stockholders'equity 18.57%162.36M18.57%162.36M71.73%148.26M112.13%136.93M112.13%136.93M32.73%86.33M0.37%64.55M--64.55M45.35%65.05M96.30%64.31M
Noncontrolling interests -9.63%795.87K-9.63%795.87K-59.97%851.17K4,513.99%880.72K4,513.99%880.72K10,757.97%2.13M57.58%-19.95K---19.95K44.20%-19.95K-36.37%-47.04K
Total equity 18.39%163.16M18.39%163.16M68.57%149.11M113.56%137.81M113.56%137.81M36.04%88.46M0.41%64.53M--64.53M45.43%65.03M96.36%64.27M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion----Unqualified Opinion----Unqualified Opinion----Unqualified Opinion

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