US Stock MarketDetailed Quotes

MTC MMTEC Inc

Watchlist
  • 1.3100
  • -0.2200-14.38%
Close Dec 20 16:00 ET
  • 1.3300
  • +0.0200+1.53%
Post 20:01 ET
32.61MMarket Cap0.41P/E (TTM)

MMTEC Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
34.04%3.04M
-53.84%1.76M
-53.84%1.76M
-67.67%2.27M
-65.98%3.81M
-65.98%3.81M
-51.91%7.02M
685.89%11.21M
685.89%11.21M
698.08%14.6M
-Cash and cash equivalents
51.87%3.04M
-53.84%1.76M
-53.84%1.76M
-71.46%2M
-65.98%3.81M
-65.98%3.81M
-51.91%7.02M
685.89%11.21M
685.89%11.21M
698.08%14.6M
-Short-term investments
----
----
----
--266.51K
----
----
----
----
----
----
Receivables
-97.02%90.54K
-79.20%1.02M
-79.20%1.02M
18.50%3.04M
111.75%4.92M
111.75%4.92M
870.37%2.57M
1,289.11%2.33M
1,289.11%2.33M
43.36%264.52K
-Accounts receivable
-96.17%90.54K
-53.98%92.04K
-53.98%92.04K
406.62%2.36M
2.64%200K
2.64%200K
173.38%466.81K
320.04%194.86K
320.04%194.86K
1,037.55%170.76K
-Loans receivable
--0
-86.27%634.58K
-86.27%634.58K
-67.78%676.64K
120.04%4.62M
120.04%4.62M
2,139.71%2.1M
2,162.18%2.1M
2,162.18%2.1M
-44.68%93.76K
-Other receivables
----
188.12%297.35K
188.12%297.35K
----
237.86%103.2K
237.86%103.2K
----
8.39%30.55K
8.39%30.55K
----
Prepaid assets
0.94%8.06K
37.30%23.62K
37.30%23.62K
14.93%7.98K
-91.94%17.2K
-91.94%17.2K
--6.95K
-66.77%213.53K
-66.77%213.53K
--0
Current deferred assets
0.00%112.75K
0.00%112.75K
0.00%112.75K
--112.75K
--112.75K
--112.75K
----
--0
--0
----
Other current assets
-80.16%352.01K
72.16%103.42K
72.16%103.42K
31.38%1.77M
-41.83%60.07K
-41.83%60.07K
686.32%1.35M
497.76%103.28K
497.76%103.28K
-54.41%171.74K
Total current assets
-49.95%3.61M
-66.54%3.02M
-66.54%3.02M
-34.16%7.21M
-34.76%9.04M
-34.76%9.04M
-27.21%10.95M
514.63%13.85M
514.63%13.85M
526.16%15.04M
Non current assets
Net PPE
-47.81%548.23K
-37.52%774.49K
-37.52%774.49K
-20.58%1.05M
74.68%1.24M
74.68%1.24M
120.96%1.32M
-7.30%709.62K
-7.30%709.62K
-33.31%598.6K
-Gross PPE
-47.81%548.23K
-28.99%1.04M
-28.99%1.04M
-20.58%1.05M
65.89%1.46M
65.89%1.46M
120.96%1.32M
-3.11%879.78K
-3.11%879.78K
-33.31%598.6K
-Accumulated depreciation
----
-19.05%-261.87K
-19.05%-261.87K
----
-29.27%-219.96K
-29.27%-219.96K
----
-19.36%-170.16K
-19.36%-170.16K
----
Goodwill and other intangible assets
----
----
----
--112.16M
----
----
----
----
----
----
-Goodwill
----
----
----
--106.94M
----
----
----
----
----
----
-Other intangible assets
----
----
----
--5.22M
----
----
----
----
----
----
Investments and advances
----
----
----
----
----
----
----
----
----
--0
Long-term notes receivables
--128.98M
--153.05M
--153.05M
----
--0
--0
----
----
----
----
Non current deferred assets
----
----
----
--70.68K
----
----
----
----
----
----
Non current prepaid assets
1.09%138.21K
-87.82%138.89K
-87.82%138.89K
-16.41%136.72K
3,772.19%1.14M
3,772.19%1.14M
43.46%163.57K
-73.90%29.46K
-73.90%29.46K
-81.12%114.02K
Other non current assets
----
----
----
--691.97K
----
----
----
----
----
----
Total non current assets
13.63%129.66M
6,368.26%153.96M
6,368.26%153.96M
7,577.66%114.11M
222.06%2.38M
222.06%2.38M
108.56%1.49M
-49.28%739.08K
-49.28%739.08K
-70.67%712.63K
Total assets
9.85%133.27M
1,275.21%156.99M
1,275.21%156.99M
875.73%121.32M
-21.74%11.42M
-21.74%11.42M
-21.07%12.43M
293.17%14.59M
293.17%14.59M
226.02%15.75M
Liabilities
Current liabilities
Payables
-44.53%157.15K
-13.20%408.97K
-13.20%408.97K
21.04%283.28K
32.67%471.14K
32.67%471.14K
84.07%234.04K
165.74%355.12K
165.74%355.12K
-24.39%127.15K
-Due to related parties current
----
----
----
----
----
----
----
----
----
-91.00%720
-Other payable
-44.53%157.15K
-13.20%408.97K
-13.20%408.97K
21.04%283.28K
32.67%471.14K
32.67%471.14K
85.11%234.04K
168.62%355.12K
168.62%355.12K
-21.06%126.43K
Current accrued expenses
60.40%7.18M
255.69%969.37K
255.69%969.37K
539.99%4.48M
-7.11%272.53K
-7.11%272.53K
611.54%699.56K
211.99%293.4K
211.99%293.4K
150.81%98.32K
Current debt and capital lease obligation
-30.13%332.56K
51.78%615.61K
51.78%615.61K
56.07%475.93K
13.84%405.59K
13.84%405.59K
-26.72%304.95K
-17.21%356.27K
-17.21%356.27K
9.78%416.13K
-Current debt
----
--241.75K
--241.75K
----
----
----
----
----
----
----
-Current capital lease obligation
-30.13%332.56K
-7.82%373.86K
-7.82%373.86K
56.07%475.93K
13.84%405.59K
13.84%405.59K
-26.72%304.95K
-17.21%356.27K
-17.21%356.27K
9.78%416.13K
Current deferred liabilities
----
----
----
--288.7K
----
----
--0
--123.43K
--123.43K
----
Other current liabilities
----
----
----
----
--24.66K
--24.66K
----
----
----
----
Current liabilities
38.84%7.67M
69.85%1.99M
69.85%1.99M
346.09%5.52M
4.05%1.17M
4.05%1.17M
93.04%1.24M
71.46%1.13M
71.46%1.13M
6.13%641.6K
Non current liabilities
Long term debt and capital lease obligation
-47.41%30.88M
4,922.53%32.55M
4,922.53%32.55M
7,368.83%58.72M
502.52%647.98K
502.52%647.98K
545.59%786.18K
-69.83%107.55K
-69.83%107.55K
-75.97%121.78K
-Long term debt
-47.23%30.77M
--32.28M
--32.28M
--58.31M
----
----
----
----
----
----
-Long term capital lease obligation
-73.63%107.16K
-58.83%266.76K
-58.83%266.76K
-48.30%406.46K
502.52%647.98K
502.52%647.98K
545.59%786.18K
-65.88%107.55K
-65.88%107.55K
-73.84%121.78K
Non current accrued expenses
-85.71%20.93K
-60.00%83.7K
-60.00%83.7K
--146.48K
--209.25K
--209.25K
----
--0
--0
----
Total non current liabilities
-47.51%30.9M
3,706.30%32.63M
3,706.30%32.63M
7,387.47%58.86M
697.09%857.23K
697.09%857.23K
545.59%786.18K
-69.83%107.55K
-69.83%107.55K
-75.97%121.78K
Total liabilities
-40.10%38.57M
1,604.59%34.62M
1,604.59%34.62M
3,080.18%64.39M
64.36%2.03M
64.36%2.03M
165.23%2.02M
21.82%1.24M
21.82%1.24M
-31.31%763.37K
Shareholders'equity
Share capital
100.86%1.99M
3,770.58%1.99M
3,770.58%1.99M
3,060.51%991.45K
64.01%51.45K
64.01%51.45K
24.88%31.37K
50.67%31.37K
50.67%31.37K
-55.20%25.12K
-common stock
100.86%1.99M
3,770.58%1.99M
3,770.58%1.99M
3,060.51%991.45K
64.01%51.45K
64.01%51.45K
24.88%31.37K
50.67%31.37K
50.67%31.37K
-55.20%25.12K
Retained earnings
86.01%-5.12M
220.01%26.71M
220.01%26.71M
-87.90%-36.63M
-33.99%-22.25M
-33.99%-22.25M
-63.49%-19.49M
-73.78%-16.61M
-73.78%-16.61M
-61.44%-11.92M
Paid-in capital
21.26%94.05M
191.57%92.51M
191.57%92.51M
159.52%77.56M
6.17%31.73M
6.17%31.73M
11.23%29.88M
144.28%29.88M
144.28%29.88M
139.25%26.87M
Gains losses not affecting retained earnings
4.42%-197.54K
-91.62%-271.1K
-91.62%-271.1K
-1,570.43%-206.67K
-425.92%-141.48K
-425.92%-141.48K
-156.20%-12.37K
2,642.94%43.41K
2,642.94%43.41K
115.44%22.01K
Other equity interest
--3.98M
--1.43M
--1.43M
----
----
----
----
----
----
----
Total stockholders'equity
127.03%94.7M
1,203.92%122.36M
1,203.92%122.36M
300.74%41.71M
-29.71%9.38M
-29.71%9.38M
-30.56%10.41M
395.28%13.35M
395.28%13.35M
302.89%14.99M
Noncontrolling interests
--0
--0
--0
--15.22M
--0
--0
----
----
----
----
Total equity
66.35%94.7M
1,203.92%122.36M
1,203.92%122.36M
446.91%56.93M
-29.71%9.38M
-29.71%9.38M
-30.56%10.41M
395.28%13.35M
395.28%13.35M
302.89%14.99M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 34.04%3.04M-53.84%1.76M-53.84%1.76M-67.67%2.27M-65.98%3.81M-65.98%3.81M-51.91%7.02M685.89%11.21M685.89%11.21M698.08%14.6M
-Cash and cash equivalents 51.87%3.04M-53.84%1.76M-53.84%1.76M-71.46%2M-65.98%3.81M-65.98%3.81M-51.91%7.02M685.89%11.21M685.89%11.21M698.08%14.6M
-Short-term investments --------------266.51K------------------------
Receivables -97.02%90.54K-79.20%1.02M-79.20%1.02M18.50%3.04M111.75%4.92M111.75%4.92M870.37%2.57M1,289.11%2.33M1,289.11%2.33M43.36%264.52K
-Accounts receivable -96.17%90.54K-53.98%92.04K-53.98%92.04K406.62%2.36M2.64%200K2.64%200K173.38%466.81K320.04%194.86K320.04%194.86K1,037.55%170.76K
-Loans receivable --0-86.27%634.58K-86.27%634.58K-67.78%676.64K120.04%4.62M120.04%4.62M2,139.71%2.1M2,162.18%2.1M2,162.18%2.1M-44.68%93.76K
-Other receivables ----188.12%297.35K188.12%297.35K----237.86%103.2K237.86%103.2K----8.39%30.55K8.39%30.55K----
Prepaid assets 0.94%8.06K37.30%23.62K37.30%23.62K14.93%7.98K-91.94%17.2K-91.94%17.2K--6.95K-66.77%213.53K-66.77%213.53K--0
Current deferred assets 0.00%112.75K0.00%112.75K0.00%112.75K--112.75K--112.75K--112.75K------0--0----
Other current assets -80.16%352.01K72.16%103.42K72.16%103.42K31.38%1.77M-41.83%60.07K-41.83%60.07K686.32%1.35M497.76%103.28K497.76%103.28K-54.41%171.74K
Total current assets -49.95%3.61M-66.54%3.02M-66.54%3.02M-34.16%7.21M-34.76%9.04M-34.76%9.04M-27.21%10.95M514.63%13.85M514.63%13.85M526.16%15.04M
Non current assets
Net PPE -47.81%548.23K-37.52%774.49K-37.52%774.49K-20.58%1.05M74.68%1.24M74.68%1.24M120.96%1.32M-7.30%709.62K-7.30%709.62K-33.31%598.6K
-Gross PPE -47.81%548.23K-28.99%1.04M-28.99%1.04M-20.58%1.05M65.89%1.46M65.89%1.46M120.96%1.32M-3.11%879.78K-3.11%879.78K-33.31%598.6K
-Accumulated depreciation -----19.05%-261.87K-19.05%-261.87K-----29.27%-219.96K-29.27%-219.96K-----19.36%-170.16K-19.36%-170.16K----
Goodwill and other intangible assets --------------112.16M------------------------
-Goodwill --------------106.94M------------------------
-Other intangible assets --------------5.22M------------------------
Investments and advances --------------------------------------0
Long-term notes receivables --128.98M--153.05M--153.05M------0--0----------------
Non current deferred assets --------------70.68K------------------------
Non current prepaid assets 1.09%138.21K-87.82%138.89K-87.82%138.89K-16.41%136.72K3,772.19%1.14M3,772.19%1.14M43.46%163.57K-73.90%29.46K-73.90%29.46K-81.12%114.02K
Other non current assets --------------691.97K------------------------
Total non current assets 13.63%129.66M6,368.26%153.96M6,368.26%153.96M7,577.66%114.11M222.06%2.38M222.06%2.38M108.56%1.49M-49.28%739.08K-49.28%739.08K-70.67%712.63K
Total assets 9.85%133.27M1,275.21%156.99M1,275.21%156.99M875.73%121.32M-21.74%11.42M-21.74%11.42M-21.07%12.43M293.17%14.59M293.17%14.59M226.02%15.75M
Liabilities
Current liabilities
Payables -44.53%157.15K-13.20%408.97K-13.20%408.97K21.04%283.28K32.67%471.14K32.67%471.14K84.07%234.04K165.74%355.12K165.74%355.12K-24.39%127.15K
-Due to related parties current -------------------------------------91.00%720
-Other payable -44.53%157.15K-13.20%408.97K-13.20%408.97K21.04%283.28K32.67%471.14K32.67%471.14K85.11%234.04K168.62%355.12K168.62%355.12K-21.06%126.43K
Current accrued expenses 60.40%7.18M255.69%969.37K255.69%969.37K539.99%4.48M-7.11%272.53K-7.11%272.53K611.54%699.56K211.99%293.4K211.99%293.4K150.81%98.32K
Current debt and capital lease obligation -30.13%332.56K51.78%615.61K51.78%615.61K56.07%475.93K13.84%405.59K13.84%405.59K-26.72%304.95K-17.21%356.27K-17.21%356.27K9.78%416.13K
-Current debt ------241.75K--241.75K----------------------------
-Current capital lease obligation -30.13%332.56K-7.82%373.86K-7.82%373.86K56.07%475.93K13.84%405.59K13.84%405.59K-26.72%304.95K-17.21%356.27K-17.21%356.27K9.78%416.13K
Current deferred liabilities --------------288.7K----------0--123.43K--123.43K----
Other current liabilities ------------------24.66K--24.66K----------------
Current liabilities 38.84%7.67M69.85%1.99M69.85%1.99M346.09%5.52M4.05%1.17M4.05%1.17M93.04%1.24M71.46%1.13M71.46%1.13M6.13%641.6K
Non current liabilities
Long term debt and capital lease obligation -47.41%30.88M4,922.53%32.55M4,922.53%32.55M7,368.83%58.72M502.52%647.98K502.52%647.98K545.59%786.18K-69.83%107.55K-69.83%107.55K-75.97%121.78K
-Long term debt -47.23%30.77M--32.28M--32.28M--58.31M------------------------
-Long term capital lease obligation -73.63%107.16K-58.83%266.76K-58.83%266.76K-48.30%406.46K502.52%647.98K502.52%647.98K545.59%786.18K-65.88%107.55K-65.88%107.55K-73.84%121.78K
Non current accrued expenses -85.71%20.93K-60.00%83.7K-60.00%83.7K--146.48K--209.25K--209.25K------0--0----
Total non current liabilities -47.51%30.9M3,706.30%32.63M3,706.30%32.63M7,387.47%58.86M697.09%857.23K697.09%857.23K545.59%786.18K-69.83%107.55K-69.83%107.55K-75.97%121.78K
Total liabilities -40.10%38.57M1,604.59%34.62M1,604.59%34.62M3,080.18%64.39M64.36%2.03M64.36%2.03M165.23%2.02M21.82%1.24M21.82%1.24M-31.31%763.37K
Shareholders'equity
Share capital 100.86%1.99M3,770.58%1.99M3,770.58%1.99M3,060.51%991.45K64.01%51.45K64.01%51.45K24.88%31.37K50.67%31.37K50.67%31.37K-55.20%25.12K
-common stock 100.86%1.99M3,770.58%1.99M3,770.58%1.99M3,060.51%991.45K64.01%51.45K64.01%51.45K24.88%31.37K50.67%31.37K50.67%31.37K-55.20%25.12K
Retained earnings 86.01%-5.12M220.01%26.71M220.01%26.71M-87.90%-36.63M-33.99%-22.25M-33.99%-22.25M-63.49%-19.49M-73.78%-16.61M-73.78%-16.61M-61.44%-11.92M
Paid-in capital 21.26%94.05M191.57%92.51M191.57%92.51M159.52%77.56M6.17%31.73M6.17%31.73M11.23%29.88M144.28%29.88M144.28%29.88M139.25%26.87M
Gains losses not affecting retained earnings 4.42%-197.54K-91.62%-271.1K-91.62%-271.1K-1,570.43%-206.67K-425.92%-141.48K-425.92%-141.48K-156.20%-12.37K2,642.94%43.41K2,642.94%43.41K115.44%22.01K
Other equity interest --3.98M--1.43M--1.43M----------------------------
Total stockholders'equity 127.03%94.7M1,203.92%122.36M1,203.92%122.36M300.74%41.71M-29.71%9.38M-29.71%9.38M-30.56%10.41M395.28%13.35M395.28%13.35M302.89%14.99M
Noncontrolling interests --0--0--0--15.22M--0--0----------------
Total equity 66.35%94.7M1,203.92%122.36M1,203.92%122.36M446.91%56.93M-29.71%9.38M-29.71%9.38M-30.56%10.41M395.28%13.35M395.28%13.35M302.89%14.99M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion----Unqualified Opinion----Unqualified Opinion----
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Fed Rate Cut Beneficiaries Fed Rate Cut Beneficiaries

Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.