US Stock MarketDetailed Quotes

MTC MMTEC Inc

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  • 0.2325
  • +0.0070+3.10%
Close Nov 27 16:00 ET
  • 0.2350
  • +0.0025+1.08%
Post 18:38 ET
46.30MMarket Cap0.49P/E (TTM)

MMTEC Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
10.14%-5.03M
-36.24%-5.59M
-107.07%-4.11M
7.31%-1.98M
-11.92%-2.14M
-98.84%-1.91M
-51.64%-961.23K
-633.91K
Net income from continuing operations
22.46%-4.39M
20.41%-5.66M
-123.70%-7.12M
-41.83%-3.18M
4.50%-2.24M
-155.55%-2.35M
-39.02%-919.2K
---661.21K
Operating gains losses
96.78%-4.72K
-4,990.38%-146.5K
-103.53%-2.88K
55.81%81.57K
150.35%52.35K
--20.91K
----
----
Depreciation and amortization
-31.08%45.78K
65.53%66.43K
-26.47%40.13K
111.22%54.58K
-5.39%25.84K
30.24%27.31K
49.67%20.97K
--14.01K
Other non cash items
290.68%1.09M
-20.34%278.72K
3.53%349.89K
-20.52%337.94K
--425.22K
----
----
----
Change In working capital
-239.93%-775.55K
-149.12%-228.15K
265.69%464.51K
29.80%-280.34K
-202.53%-399.33K
680.15%389.46K
-9,196.34%-67.13K
--738
-Change in receivables
238.41%108.3K
7.68%-78.25K
-179.16%-84.75K
-150.94%-30.36K
--59.6K
--0
----
---15.12K
-Change in prepaid assets
-3,857.19%-241.17K
-98.44%6.42K
61.97%411.06K
236.84%253.79K
-97.11%-185.46K
-13.63%-94.09K
-141.80%-82.81K
---34.25K
-Change in payables and accrued expense
-169.63%-243.84K
-14.58%350.2K
336.75%409.95K
-537.49%-173.16K
-106.77%-27.16K
2,460.95%401.43K
-68.72%15.68K
--50.11K
-Change in other current liabilities
-2.39%-398.84K
1.07%-389.52K
-47.67%-393.74K
-15.19%-266.64K
---231.49K
--0
----
----
-Change in other working capital
----
-195.92%-117K
290.70%121.98K
-331.65%-63.97K
-118.04%-14.82K
--82.12K
----
----
Cash from discontinued investing activities
-3,866.99%-124.84K
-64.97%3.31K
9.46K
Operating cash flow
7.85%-5.15M
-36.47%-5.59M
-106.60%-4.1M
7.31%-1.98M
-11.92%-2.14M
-98.84%-1.91M
-51.64%-961.23K
---633.91K
Investing cash flow
Cash flow from continuing investing activities
-2,319.76%-85.76M
-36.67%-3.54M
-681.21%-2.59M
54.24%-331.94K
-994.02%-725.48K
-117.21%-66.31K
186.53%385.39K
-445.37K
Net PPE purchase and sale
279.35%6.8K
89.77%-3.79K
-101.69%-37.07K
85.84%-18.38K
-443.94%-129.8K
-275.44%-23.86K
86.52%-6.36K
---47.16K
Net business purchase and sale
-8,608.32%-87.08M
---1M
--0
--0
---109.49K
--0
--0
----
Net investment purchase and sale
--439.11K
--0
38.28%-350K
-143.66%-567.06K
-448.22%-232.72K
---42.45K
----
----
Net other investing changes
134.58%878.47K
-15.15%-2.54M
-970.28%-2.21M
200.01%253.49K
---253.46K
----
198.38%391.75K
---398.21K
Cash from discontinued investing activities
Investing cash flow
-2,341.76%-86.54M
-36.67%-3.54M
-681.21%-2.59M
54.24%-331.94K
-994.02%-725.48K
-117.21%-66.31K
186.53%385.39K
---445.37K
Financing cash flow
Cash flow from continuing financing activities
5,023.69%89.67M
-89.37%1.75M
44,118.95%16.47M
-99.42%37.25K
248.22%6.44M
2,674.08%1.85M
-96.34%66.65K
1.82M
Net issuance payments of debt
--89.67M
--0
-495.88%-163.3K
--41.25K
--0
--0
----
----
Net common stock issuance
--0
-89.48%1.75M
--16.64M
--0
--6.85M
--0
----
----
Net other financing activities
----
----
41.53%-2.34K
99.03%-4K
-122.35%-413.19K
2,674.08%1.85M
-96.34%66.65K
--1.82M
Cash from discontinued financing activities
-5K
0
0
Financing cash flow
5,023.40%89.67M
-89.37%1.75M
44,118.95%16.47M
-99.42%37.25K
248.22%6.44M
2,674.08%1.85M
-96.34%66.65K
--1.82M
Net cash flow
Beginning cash position
-65.86%3.83M
685.89%11.21M
-60.85%1.43M
3,790.54%3.64M
-60.59%93.63K
-66.98%237.56K
6,657.16%719.37K
--10.65K
Current changes in cash
72.60%-2.02M
-175.49%-7.38M
529.49%9.78M
-163.73%-2.28M
2,875.88%3.57M
74.72%-128.74K
-168.73%-509.19K
--740.87K
Effect of exchange rate changes
-815.33%-27.1K
339.96%3.79K
-102.59%-1.58K
346.86%60.95K
-62.43%-24.69K
-155.50%-15.2K
185.18%27.39K
---32.15K
End cash Position
-53.60%1.78M
-65.86%3.83M
685.89%11.21M
-60.85%1.43M
3,790.54%3.64M
-60.59%93.63K
-66.98%237.56K
--719.37K
Free cash flow
7.90%-5.15M
-35.34%-5.59M
-106.55%-4.13M
11.80%-2M
-17.25%-2.27M
-100.00%-1.94M
-42.07%-967.59K
---681.07K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
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(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 10.14%-5.03M-36.24%-5.59M-107.07%-4.11M7.31%-1.98M-11.92%-2.14M-98.84%-1.91M-51.64%-961.23K-633.91K
Net income from continuing operations 22.46%-4.39M20.41%-5.66M-123.70%-7.12M-41.83%-3.18M4.50%-2.24M-155.55%-2.35M-39.02%-919.2K---661.21K
Operating gains losses 96.78%-4.72K-4,990.38%-146.5K-103.53%-2.88K55.81%81.57K150.35%52.35K--20.91K--------
Depreciation and amortization -31.08%45.78K65.53%66.43K-26.47%40.13K111.22%54.58K-5.39%25.84K30.24%27.31K49.67%20.97K--14.01K
Other non cash items 290.68%1.09M-20.34%278.72K3.53%349.89K-20.52%337.94K--425.22K------------
Change In working capital -239.93%-775.55K-149.12%-228.15K265.69%464.51K29.80%-280.34K-202.53%-399.33K680.15%389.46K-9,196.34%-67.13K--738
-Change in receivables 238.41%108.3K7.68%-78.25K-179.16%-84.75K-150.94%-30.36K--59.6K--0-------15.12K
-Change in prepaid assets -3,857.19%-241.17K-98.44%6.42K61.97%411.06K236.84%253.79K-97.11%-185.46K-13.63%-94.09K-141.80%-82.81K---34.25K
-Change in payables and accrued expense -169.63%-243.84K-14.58%350.2K336.75%409.95K-537.49%-173.16K-106.77%-27.16K2,460.95%401.43K-68.72%15.68K--50.11K
-Change in other current liabilities -2.39%-398.84K1.07%-389.52K-47.67%-393.74K-15.19%-266.64K---231.49K--0--------
-Change in other working capital -----195.92%-117K290.70%121.98K-331.65%-63.97K-118.04%-14.82K--82.12K--------
Cash from discontinued investing activities -3,866.99%-124.84K-64.97%3.31K9.46K
Operating cash flow 7.85%-5.15M-36.47%-5.59M-106.60%-4.1M7.31%-1.98M-11.92%-2.14M-98.84%-1.91M-51.64%-961.23K---633.91K
Investing cash flow
Cash flow from continuing investing activities -2,319.76%-85.76M-36.67%-3.54M-681.21%-2.59M54.24%-331.94K-994.02%-725.48K-117.21%-66.31K186.53%385.39K-445.37K
Net PPE purchase and sale 279.35%6.8K89.77%-3.79K-101.69%-37.07K85.84%-18.38K-443.94%-129.8K-275.44%-23.86K86.52%-6.36K---47.16K
Net business purchase and sale -8,608.32%-87.08M---1M--0--0---109.49K--0--0----
Net investment purchase and sale --439.11K--038.28%-350K-143.66%-567.06K-448.22%-232.72K---42.45K--------
Net other investing changes 134.58%878.47K-15.15%-2.54M-970.28%-2.21M200.01%253.49K---253.46K----198.38%391.75K---398.21K
Cash from discontinued investing activities
Investing cash flow -2,341.76%-86.54M-36.67%-3.54M-681.21%-2.59M54.24%-331.94K-994.02%-725.48K-117.21%-66.31K186.53%385.39K---445.37K
Financing cash flow
Cash flow from continuing financing activities 5,023.69%89.67M-89.37%1.75M44,118.95%16.47M-99.42%37.25K248.22%6.44M2,674.08%1.85M-96.34%66.65K1.82M
Net issuance payments of debt --89.67M--0-495.88%-163.3K--41.25K--0--0--------
Net common stock issuance --0-89.48%1.75M--16.64M--0--6.85M--0--------
Net other financing activities --------41.53%-2.34K99.03%-4K-122.35%-413.19K2,674.08%1.85M-96.34%66.65K--1.82M
Cash from discontinued financing activities -5K00
Financing cash flow 5,023.40%89.67M-89.37%1.75M44,118.95%16.47M-99.42%37.25K248.22%6.44M2,674.08%1.85M-96.34%66.65K--1.82M
Net cash flow
Beginning cash position -65.86%3.83M685.89%11.21M-60.85%1.43M3,790.54%3.64M-60.59%93.63K-66.98%237.56K6,657.16%719.37K--10.65K
Current changes in cash 72.60%-2.02M-175.49%-7.38M529.49%9.78M-163.73%-2.28M2,875.88%3.57M74.72%-128.74K-168.73%-509.19K--740.87K
Effect of exchange rate changes -815.33%-27.1K339.96%3.79K-102.59%-1.58K346.86%60.95K-62.43%-24.69K-155.50%-15.2K185.18%27.39K---32.15K
End cash Position -53.60%1.78M-65.86%3.83M685.89%11.21M-60.85%1.43M3,790.54%3.64M-60.59%93.63K-66.98%237.56K--719.37K
Free cash flow 7.90%-5.15M-35.34%-5.59M-106.55%-4.13M11.80%-2M-17.25%-2.27M-100.00%-1.94M-42.07%-967.59K---681.07K
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