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MLGO MicroAlgo

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  • 0.177
  • -0.001-0.56%
Trading Nov 27 14:32 ET
35.26MMarket Cap-25P/E (TTM)

MicroAlgo Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-427.90%-6.41M
-2,938.49%-3.83M
-704.83%-2.76M
-87.20%1.96M
-125.91K
456.6K
3.72%15.27M
14.72M
Net income from continuing operations
-443.13%-37.58M
-446.90%-4.8M
-242.40%-1.26M
-181.56%-6.92M
--1.38M
--888.36K
-39.40%8.48M
--14M
Operating gains losses
-170.88%-17.52K
----
-134.69%-124.1K
77,146.88%24.72K
---199K
--357.8K
-99.34%32
--4.83K
Depreciation and amortization
-82.88%260.29K
-99.44%2.47K
-68.78%107.19K
-5.72%1.52M
--441.15K
--343.36K
109.54%1.61M
--769.49K
Deferred tax
35.08%-376.54K
81.24%-10.58K
117.34%10.58K
-107.38%-580.01K
---56.41K
---61.01K
-74.96%-279.68K
---159.85K
Other non cash items
----
----
----
----
----
---20.25K
-304.02%-285.69K
--140.03K
Change In working capital
-341.36%-1.33M
254.47%2.7M
-188.52%-2.13M
-111.38%-302.37K
---1.75M
---738.95K
460.57%2.66M
---736.8K
-Change in receivables
93.93%-49.5K
-99.15%-2.56M
185.43%951.36K
-116.98%-816.09K
---1.28M
---1.11M
1,254.42%4.8M
---416.22K
-Change in inventory
-81.43%128.35K
-99.39%743
-64.47%130.52K
207.72%691.22K
--122.07K
--367.36K
-403.81%-641.69K
--211.21K
-Change in prepaid assets
-1,263.66%-3.19M
724.12%3.49M
-8,937.76%-6.46M
111.41%273.81K
---558.79K
---71.46K
-88.67%-2.4M
---1.27M
-Change in payables and accrued expense
6,750.35%2.03M
2,958.77%3.95M
154.67%183.86K
194.87%29.62K
--129.3K
---336.34K
-121.67%-31.23K
--144.08K
-Change in other current assets
----
----
15.75%67.23K
----
----
--58.08K
----
----
-Change in other current liabilities
-1.32%-138.93K
-172.77%-147.84K
175.23%38.21K
-10.19%-137.13K
---54.2K
---50.79K
-255.70%-124.45K
---34.99K
-Change in other working capital
65.79%-117.63K
-4,422.73%-1.97M
624.62%2.95M
-132.80%-343.8K
---43.65K
--407.78K
66.20%1.05M
--630.71K
Cash from discontinued investing activities
Operating cash flow
-427.90%-6.41M
-2,938.49%-3.83M
-704.83%-2.76M
-87.20%1.96M
---125.91K
--456.6K
3.72%15.27M
--14.72M
Investing cash flow
Cash flow from continuing investing activities
-185.39%-2.36M
-97.43%481.25K
98.39%-256.94K
142.63%2.76M
18.72M
-16M
-226.39%-6.48M
5.13M
Net PPE purchase and sale
138.42%61.82K
3,830.84%105.74K
70.68%-54.46K
-346.88%-160.92K
--2.69K
---185.73K
41.54%-36.01K
---61.59K
Net business purchase and sale
--0
----
----
100.01%302
----
----
78.96%-3.08M
---14.61M
Net investment purchase and sale
-878.92%-2.42M
-97.59%375.51K
98.72%-202.48K
-166.04%-247.43K
--15.56M
---15.81M
---93K
--0
Net other investing changes
----
----
----
196.71%3.17M
----
----
-116.56%-3.28M
--19.81M
Cash from discontinued investing activities
Investing cash flow
-185.39%-2.36M
-97.43%481.25K
98.39%-256.94K
142.63%2.76M
--18.72M
---16M
-226.39%-6.48M
--5.13M
Financing cash flow
Cash flow from continuing financing activities
546.09%10.81M
-70.98%1.78M
-255.72%-19.61M
37.05%-2.42M
6.13M
-5.51M
-122.26%-3.85M
17.29M
Net issuance payments of debt
--5.52M
---18.56M
--727.62K
--0
--0
--0
---2M
--0
Net other financing activities
318.30%5.29M
----
-268.92%-20.34M
-31.05%-2.42M
--6.13M
---5.51M
-110.69%-1.85M
--17.29M
Cash from discontinued financing activities
Financing cash flow
546.09%10.81M
-70.98%1.78M
-255.72%-19.61M
37.05%-2.42M
--6.13M
---5.51M
-122.26%-3.85M
--17.29M
Net cash flow
Beginning cash position
-1.61%42.03M
-3.67%21.01M
-0.37%42.75M
15.13%42.72M
--21.81M
--42.9M
11,006.10%37.1M
--334.09K
Current changes in cash
-11.32%2.04M
-105.23%-1.29M
-8.78%-22.9M
-53.51%2.3M
--24.73M
---21.05M
-86.70%4.94M
--37.15M
Effect of exchange rate changes
131.58%716.86K
-160.40%-522.46K
2,853.17%1.16M
-435.84%-2.27M
--864.97K
---42.23K
262.22%675.89K
---416.64K
End cash Position
4.77%44.79M
-57.49%19.19M
-3.67%21.01M
0.06%42.75M
--45.14M
--21.81M
15.26%42.72M
--37.06M
Free cash flow
-457.31%-6.41M
-2,960.62%-3.77M
-1,139.68%-2.82M
-88.22%1.79M
---123.22K
--270.86K
3.91%15.24M
--14.66M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
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Unqualified Opinion
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--
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(FY)Dec 31, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -427.90%-6.41M-2,938.49%-3.83M-704.83%-2.76M-87.20%1.96M-125.91K456.6K3.72%15.27M14.72M
Net income from continuing operations -443.13%-37.58M-446.90%-4.8M-242.40%-1.26M-181.56%-6.92M--1.38M--888.36K-39.40%8.48M--14M
Operating gains losses -170.88%-17.52K-----134.69%-124.1K77,146.88%24.72K---199K--357.8K-99.34%32--4.83K
Depreciation and amortization -82.88%260.29K-99.44%2.47K-68.78%107.19K-5.72%1.52M--441.15K--343.36K109.54%1.61M--769.49K
Deferred tax 35.08%-376.54K81.24%-10.58K117.34%10.58K-107.38%-580.01K---56.41K---61.01K-74.96%-279.68K---159.85K
Other non cash items -----------------------20.25K-304.02%-285.69K--140.03K
Change In working capital -341.36%-1.33M254.47%2.7M-188.52%-2.13M-111.38%-302.37K---1.75M---738.95K460.57%2.66M---736.8K
-Change in receivables 93.93%-49.5K-99.15%-2.56M185.43%951.36K-116.98%-816.09K---1.28M---1.11M1,254.42%4.8M---416.22K
-Change in inventory -81.43%128.35K-99.39%743-64.47%130.52K207.72%691.22K--122.07K--367.36K-403.81%-641.69K--211.21K
-Change in prepaid assets -1,263.66%-3.19M724.12%3.49M-8,937.76%-6.46M111.41%273.81K---558.79K---71.46K-88.67%-2.4M---1.27M
-Change in payables and accrued expense 6,750.35%2.03M2,958.77%3.95M154.67%183.86K194.87%29.62K--129.3K---336.34K-121.67%-31.23K--144.08K
-Change in other current assets --------15.75%67.23K----------58.08K--------
-Change in other current liabilities -1.32%-138.93K-172.77%-147.84K175.23%38.21K-10.19%-137.13K---54.2K---50.79K-255.70%-124.45K---34.99K
-Change in other working capital 65.79%-117.63K-4,422.73%-1.97M624.62%2.95M-132.80%-343.8K---43.65K--407.78K66.20%1.05M--630.71K
Cash from discontinued investing activities
Operating cash flow -427.90%-6.41M-2,938.49%-3.83M-704.83%-2.76M-87.20%1.96M---125.91K--456.6K3.72%15.27M--14.72M
Investing cash flow
Cash flow from continuing investing activities -185.39%-2.36M-97.43%481.25K98.39%-256.94K142.63%2.76M18.72M-16M-226.39%-6.48M5.13M
Net PPE purchase and sale 138.42%61.82K3,830.84%105.74K70.68%-54.46K-346.88%-160.92K--2.69K---185.73K41.54%-36.01K---61.59K
Net business purchase and sale --0--------100.01%302--------78.96%-3.08M---14.61M
Net investment purchase and sale -878.92%-2.42M-97.59%375.51K98.72%-202.48K-166.04%-247.43K--15.56M---15.81M---93K--0
Net other investing changes ------------196.71%3.17M---------116.56%-3.28M--19.81M
Cash from discontinued investing activities
Investing cash flow -185.39%-2.36M-97.43%481.25K98.39%-256.94K142.63%2.76M--18.72M---16M-226.39%-6.48M--5.13M
Financing cash flow
Cash flow from continuing financing activities 546.09%10.81M-70.98%1.78M-255.72%-19.61M37.05%-2.42M6.13M-5.51M-122.26%-3.85M17.29M
Net issuance payments of debt --5.52M---18.56M--727.62K--0--0--0---2M--0
Net other financing activities 318.30%5.29M-----268.92%-20.34M-31.05%-2.42M--6.13M---5.51M-110.69%-1.85M--17.29M
Cash from discontinued financing activities
Financing cash flow 546.09%10.81M-70.98%1.78M-255.72%-19.61M37.05%-2.42M--6.13M---5.51M-122.26%-3.85M--17.29M
Net cash flow
Beginning cash position -1.61%42.03M-3.67%21.01M-0.37%42.75M15.13%42.72M--21.81M--42.9M11,006.10%37.1M--334.09K
Current changes in cash -11.32%2.04M-105.23%-1.29M-8.78%-22.9M-53.51%2.3M--24.73M---21.05M-86.70%4.94M--37.15M
Effect of exchange rate changes 131.58%716.86K-160.40%-522.46K2,853.17%1.16M-435.84%-2.27M--864.97K---42.23K262.22%675.89K---416.64K
End cash Position 4.77%44.79M-57.49%19.19M-3.67%21.01M0.06%42.75M--45.14M--21.81M15.26%42.72M--37.06M
Free cash flow -457.31%-6.41M-2,960.62%-3.77M-1,139.68%-2.82M-88.22%1.79M---123.22K--270.86K3.91%15.24M--14.66M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion----Unqualified Opinion--------

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