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ENW EnWave Corp

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  • 0.215
  • -0.005-2.27%
15min DelayMarket Closed Nov 29 16:00 ET
23.83MMarket Cap-10750P/E (TTM)

EnWave Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
(Q1)Dec 31, 2022
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
99.65%575K
13.15%-284K
47.78%-683K
-569.42%-1.62M
-122.49%-273K
125.40%288K
-110.71%-327K
61.23%-1.31M
-111.88%-242K
171.12%1.21M
Net income from continuing operations
74.40%-235K
-326.93%-1.56M
-53.97%-1.14M
40.23%-1.58M
-34.15%-605K
-13.75%-918K
160.74%687K
-193.68%-743K
35.95%-2.64M
60.37%-451K
Operating gains losses
-116.67%-9K
-410.00%-51K
-42.86%24K
128.13%27K
48.25%-59K
212.50%54K
-121.28%-10K
121.05%42K
-966.67%-96K
-442.86%-114K
Depreciation and amortization
8.33%299K
4.35%288K
-4.84%275K
1.73%1.12M
-16.11%276K
-14.55%276K
27,700.00%276K
-35.35%289K
-56.31%1.1M
-46.07%329K
Asset impairment expenditure
----
----
----
--315K
--0
----
----
----
--0
--0
Remuneration paid in stock
-68.93%32K
-63.96%71K
-31.55%115K
-50.88%556K
-58.49%88K
-66.56%103K
-47.88%197K
-28.21%168K
37.38%1.13M
13.37%212K
Other non cashItems
90.91%-2K
---17K
-136.36%-26K
-119.23%-57K
-700.00%-24K
---22K
--0
-1,200.00%-11K
-271.43%-26K
62.50%-3K
Change In working capital
2.08%490K
166.62%984K
106.93%73K
-784.59%-2M
-95.89%51K
152.75%480K
-139.04%-1.48M
72.45%-1.05M
-90.67%292K
168.22%1.24M
-Change in receivables
-100.00%-246K
78.31%-208K
-107.14%-2K
-244.05%-690K
-75.97%364K
91.54%-123K
-137.34%-959K
101.30%28K
-93.37%479K
189.12%1.52M
-Change in inventory
24.34%613K
-98.37%7K
101.31%8K
143.34%332K
102.18%22K
-41.31%493K
268.24%429K
-78.95%-612K
-218.39%-766K
-169.59%-1.01M
-Change in prepaid assets
150.42%121K
363.16%150K
-16.00%63K
-158.92%-360K
-94.37%-138K
-124.79%-240K
83.99%-57K
7.14%75K
300.99%611K
82.77%-71K
-Change in payables and accrued expense
142.81%143K
128.17%80K
-415.83%-717K
-73.16%-587K
-51.01%170K
67.45%-334K
-119.71%-284K
87.38%-139K
88.46%-339K
-45.09%347K
-Change in other working capital
-120.61%-141K
257.59%955K
278.02%721K
-326.06%-694K
-179.96%-367K
387.39%684K
-257.40%-606K
-35.45%-405K
120.45%307K
125.66%459K
Cash from discontinued investing activities
144.83%39K
38.55%-255K
278.10%675K
55.76%-894K
99.04%-13K
-1,142.86%-87K
-415K
-379K
-2.02M
-1.35M
Operating cash flow
205.47%614K
27.36%-539K
99.53%-8K
-11.09%-2.51M
-110.29%-286K
117.62%201K
-131.07%-742K
50.00%-1.69M
-211.09%-2.26M
92.03%-136K
Investing cash flow
Cash flow from continuing investing activities
686.11%211K
-1,955.56%-185K
-343.33%-146K
102.02%35K
109.95%20K
94.42%-36K
98.00%-9K
113.82%60K
5.10%-1.73M
-59.52%-201K
Net PPE purchase and sale
362.90%163K
-1,421.43%-185K
-1,292.86%-167K
97.45%-46K
93.06%-12K
90.90%-62K
102.89%14K
103.02%14K
5.85%-1.8M
-20.98%-173K
Net intangibles purchas and sale
--0
--0
---3K
--0
--0
--0
--0
--0
94.37%-4K
96.49%-2K
Interest received (cash flow from investment activities)
84.62%48K
--0
-47.83%24K
6.58%81K
223.08%32K
-31.58%26K
-171.88%-23K
43.75%46K
-53.09%76K
-135.14%-26K
Cash from discontinued investing activities
0
0
0
267.26%1.32M
98.13%-2K
523.28%982K
513K
-170K
-791K
-107K
Investing cash flow
-77.70%211K
-136.71%-185K
-32.73%-146K
153.85%1.36M
105.84%18K
207.87%946K
155.81%504K
74.65%-110K
-38.27%-2.52M
-144.44%-308K
Financing cash flow
Cash flow from continuing financing activities
-190.98%-387K
91.73%-11K
-26.42%-134K
28.11%-381K
93.18%-9K
26.92%-133K
79.28%-133K
-124.88%-106K
81.94%-530K
92.74%-132K
Net issuance payments of debt
7.77%-95K
0.00%-100K
-63.64%-108K
-29.41%-374K
-64.06%-105K
-21.18%-103K
83.97%-100K
-113.64%-66K
75.69%-289K
44.35%-64K
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Interest paid (cash flow from financing activities)
-32.26%-41K
-9.09%-36K
25.71%-26K
-14.29%-128K
19.44%-29K
18.42%-31K
-175.00%-33K
-34.62%-35K
17.04%-112K
-24.14%-36K
Net other financing activities
-25,200.00%-251K
----
----
193.80%121K
490.63%125K
101.69%1K
--0
84.38%-5K
3.01%-129K
50.00%-32K
Cash from discontinued financing activities
0
0
0
-26.89%-519K
65.71%-36K
65.69%-35K
-335K
-113K
-409K
-105K
Financing cash flow
-130.36%-387K
97.65%-11K
38.81%-134K
4.15%-900K
81.01%-45K
40.85%-168K
44.55%-468K
-151.41%-219K
68.00%-939K
86.97%-237K
Net cash flow
Beginning cash position
-9.32%3.16M
-8.22%3.85M
-32.71%4.17M
-47.42%6.2M
-33.80%4.47M
-61.41%3.49M
-50.22%4.2M
-47.42%6.2M
-19.86%11.79M
-56.09%6.75M
Current changes in cash
-55.26%438K
-4.11%-735K
85.71%-288K
64.08%-2.06M
54.11%-313K
142.55%979K
-210.14%-706K
40.39%-2.02M
-110.36%-5.72M
81.33%-682K
Effect of exchange rate changes
240.00%17K
816.67%43K
-281.25%-29K
-78.95%28K
-89.76%13K
-72.22%5K
84.62%-6K
-40.74%16K
166.17%133K
108.20%127K
End cash Position
-19.10%3.62M
-9.32%3.16M
-8.22%3.85M
-32.71%4.17M
-32.71%4.17M
-33.80%4.47M
-61.41%3.49M
-50.22%4.2M
-47.42%6.2M
-47.42%6.2M
Free cash from
365.27%777K
2.43%-724K
89.45%-178K
37.10%-2.56M
4.18%-298K
109.16%167K
-138.93%-742K
56.08%-1.69M
-16,858.33%-4.07M
83.71%-311K
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)Jun 30, 2024(Q2)Mar 31, 2024(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023(Q1)Dec 31, 2022(FY)Sep 30, 2022(Q4)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 99.65%575K13.15%-284K47.78%-683K-569.42%-1.62M-122.49%-273K125.40%288K-110.71%-327K61.23%-1.31M-111.88%-242K171.12%1.21M
Net income from continuing operations 74.40%-235K-326.93%-1.56M-53.97%-1.14M40.23%-1.58M-34.15%-605K-13.75%-918K160.74%687K-193.68%-743K35.95%-2.64M60.37%-451K
Operating gains losses -116.67%-9K-410.00%-51K-42.86%24K128.13%27K48.25%-59K212.50%54K-121.28%-10K121.05%42K-966.67%-96K-442.86%-114K
Depreciation and amortization 8.33%299K4.35%288K-4.84%275K1.73%1.12M-16.11%276K-14.55%276K27,700.00%276K-35.35%289K-56.31%1.1M-46.07%329K
Asset impairment expenditure --------------315K--0--------------0--0
Remuneration paid in stock -68.93%32K-63.96%71K-31.55%115K-50.88%556K-58.49%88K-66.56%103K-47.88%197K-28.21%168K37.38%1.13M13.37%212K
Other non cashItems 90.91%-2K---17K-136.36%-26K-119.23%-57K-700.00%-24K---22K--0-1,200.00%-11K-271.43%-26K62.50%-3K
Change In working capital 2.08%490K166.62%984K106.93%73K-784.59%-2M-95.89%51K152.75%480K-139.04%-1.48M72.45%-1.05M-90.67%292K168.22%1.24M
-Change in receivables -100.00%-246K78.31%-208K-107.14%-2K-244.05%-690K-75.97%364K91.54%-123K-137.34%-959K101.30%28K-93.37%479K189.12%1.52M
-Change in inventory 24.34%613K-98.37%7K101.31%8K143.34%332K102.18%22K-41.31%493K268.24%429K-78.95%-612K-218.39%-766K-169.59%-1.01M
-Change in prepaid assets 150.42%121K363.16%150K-16.00%63K-158.92%-360K-94.37%-138K-124.79%-240K83.99%-57K7.14%75K300.99%611K82.77%-71K
-Change in payables and accrued expense 142.81%143K128.17%80K-415.83%-717K-73.16%-587K-51.01%170K67.45%-334K-119.71%-284K87.38%-139K88.46%-339K-45.09%347K
-Change in other working capital -120.61%-141K257.59%955K278.02%721K-326.06%-694K-179.96%-367K387.39%684K-257.40%-606K-35.45%-405K120.45%307K125.66%459K
Cash from discontinued investing activities 144.83%39K38.55%-255K278.10%675K55.76%-894K99.04%-13K-1,142.86%-87K-415K-379K-2.02M-1.35M
Operating cash flow 205.47%614K27.36%-539K99.53%-8K-11.09%-2.51M-110.29%-286K117.62%201K-131.07%-742K50.00%-1.69M-211.09%-2.26M92.03%-136K
Investing cash flow
Cash flow from continuing investing activities 686.11%211K-1,955.56%-185K-343.33%-146K102.02%35K109.95%20K94.42%-36K98.00%-9K113.82%60K5.10%-1.73M-59.52%-201K
Net PPE purchase and sale 362.90%163K-1,421.43%-185K-1,292.86%-167K97.45%-46K93.06%-12K90.90%-62K102.89%14K103.02%14K5.85%-1.8M-20.98%-173K
Net intangibles purchas and sale --0--0---3K--0--0--0--0--094.37%-4K96.49%-2K
Interest received (cash flow from investment activities) 84.62%48K--0-47.83%24K6.58%81K223.08%32K-31.58%26K-171.88%-23K43.75%46K-53.09%76K-135.14%-26K
Cash from discontinued investing activities 000267.26%1.32M98.13%-2K523.28%982K513K-170K-791K-107K
Investing cash flow -77.70%211K-136.71%-185K-32.73%-146K153.85%1.36M105.84%18K207.87%946K155.81%504K74.65%-110K-38.27%-2.52M-144.44%-308K
Financing cash flow
Cash flow from continuing financing activities -190.98%-387K91.73%-11K-26.42%-134K28.11%-381K93.18%-9K26.92%-133K79.28%-133K-124.88%-106K81.94%-530K92.74%-132K
Net issuance payments of debt 7.77%-95K0.00%-100K-63.64%-108K-29.41%-374K-64.06%-105K-21.18%-103K83.97%-100K-113.64%-66K75.69%-289K44.35%-64K
Cash dividends paid --0--0--0--0--0--0--0--0--0--0
Interest paid (cash flow from financing activities) -32.26%-41K-9.09%-36K25.71%-26K-14.29%-128K19.44%-29K18.42%-31K-175.00%-33K-34.62%-35K17.04%-112K-24.14%-36K
Net other financing activities -25,200.00%-251K--------193.80%121K490.63%125K101.69%1K--084.38%-5K3.01%-129K50.00%-32K
Cash from discontinued financing activities 000-26.89%-519K65.71%-36K65.69%-35K-335K-113K-409K-105K
Financing cash flow -130.36%-387K97.65%-11K38.81%-134K4.15%-900K81.01%-45K40.85%-168K44.55%-468K-151.41%-219K68.00%-939K86.97%-237K
Net cash flow
Beginning cash position -9.32%3.16M-8.22%3.85M-32.71%4.17M-47.42%6.2M-33.80%4.47M-61.41%3.49M-50.22%4.2M-47.42%6.2M-19.86%11.79M-56.09%6.75M
Current changes in cash -55.26%438K-4.11%-735K85.71%-288K64.08%-2.06M54.11%-313K142.55%979K-210.14%-706K40.39%-2.02M-110.36%-5.72M81.33%-682K
Effect of exchange rate changes 240.00%17K816.67%43K-281.25%-29K-78.95%28K-89.76%13K-72.22%5K84.62%-6K-40.74%16K166.17%133K108.20%127K
End cash Position -19.10%3.62M-9.32%3.16M-8.22%3.85M-32.71%4.17M-32.71%4.17M-33.80%4.47M-61.41%3.49M-50.22%4.2M-47.42%6.2M-47.42%6.2M
Free cash from 365.27%777K2.43%-724K89.45%-178K37.10%-2.56M4.18%-298K109.16%167K-138.93%-742K56.08%-1.69M-16,858.33%-4.07M83.71%-311K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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