US Stock MarketDetailed Quotes

NMHI Nature's Miracle

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  • 0.146
  • -0.002-1.35%
Close Sep 27 16:00 ET
  • 0.140
  • -0.006-4.04%
Post 19:52 ET
4.62MMarket Cap-442P/E (TTM)

Nature's Miracle Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-1,427.19%-969.09K
-78.28%-773.42K
31.50%-1.68M
62.87%-862.59K
-171.60%-320.27K
-63.46K
-433.82K
-218.45%-2.45M
-696.93%-2.32M
-53.23%447.3K
Net income from continuing operations
-334.94%-1.77M
-306.57%-2.31M
-198.16%-7.34M
-301.08%-5.96M
77.43%-403.97K
---406.57K
---567.38K
-316.71%-2.46M
-3.91%-1.49M
-327.59%-1.79M
Operating gains losses
----
----
590.50%284.09K
63,485.71%8.87K
-67.53%8.35K
----
----
--41.14K
---14
--25.7K
Depreciation and amortization
0.31%135.08K
-34.88%99.94K
26.34%536.68K
-18.19%124.07K
-19.69%124.5K
--134.65K
--153.47K
234.88%424.79K
80.58%151.64K
1,447.94%155.03K
Deferred tax
--0
--0
249.20%215.94K
380.80%605.09K
-877.05%-146.25K
---112.54K
---130.37K
-654.12%-144.73K
---215.49K
---14.97K
Other non cash items
--0
1,585.49%1M
38.17%72.81K
-120.45%-9.43K
--8.46K
--14.45K
--59.33K
--52.69K
--46.12K
----
Change In working capital
587.46%433.64K
908.62%271.76K
296.00%1.35M
260.17%1.51M
-112.41%-248.53K
--63.08K
--26.94K
-189.79%-688K
-147.62%-940.88K
82,704.45%2M
-Change in receivables
-1,524.02%-1.68M
292.64%430.91K
106.94%245.01K
8.13%451.76K
-108.18%-101.39K
--118.32K
---223.68K
-1,682.91%-3.53M
-82.71%417.79K
321.02%1.24M
-Change in inventory
-14.08%481.33K
-76.49%395.42K
-19.65%2.49M
78.98%-299.32K
-89.93%543.72K
--560.2K
--1.68M
174.29%3.09M
59.51%-1.42M
447.78%5.4M
-Change in prepaid assets
-193.57%-194.94K
110.50%7.21K
-86.30%26.31K
-119.06%-30.66K
11.90%-82.66K
--208.34K
---68.7K
1,086.91%192.03K
187.72%160.88K
-1,368.54%-93.83K
-Change in payables and accrued expense
530.60%2.06M
52.23%-633.48K
-503.25%-291.23K
5,506.13%1.55M
99.27%-33.98K
---478.86K
---1.33M
-98.11%72.22K
-101.55%-28.63K
-309.78%-4.65M
-Change in other current liabilities
72.01%-71.49K
-526.67%-31.79K
-49.99%-428.88K
23.73%-84.88K
23.46%-83.52K
---255.41K
---5.07K
-213.77%-285.95K
-176.31%-111.29K
-10.53%-109.12K
-Change in other working capital
-76.90%-158.34K
428.55%103.5K
-196.32%-689.21K
-274.92%-77.51K
-326.57%-490.69K
---89.51K
---31.5K
-123.31%-232.59K
-95.69%44.31K
--216.58K
Cash from discontinued investing activities
Operating cash flow
-1,427.19%-969.09K
-78.28%-773.42K
31.50%-1.68M
62.87%-862.59K
-171.60%-320.27K
---63.46K
---433.82K
-218.45%-2.45M
-696.93%-2.32M
-53.23%447.3K
Investing cash flow
Cash flow from continuing investing activities
0
-175.17%-39.8K
-62.02%-437.09K
-224.09%-180K
-346.20%-240K
-70.04K
52.95K
77.38%-269.78K
281.31%145.06K
108.25%97.48K
Net PPE purchase and sale
----
----
--0
--0
----
----
----
-187.22%-52.89K
--0
----
Net business purchase and sale
--0
---1.04M
--0
--0
--0
--0
--0
--97.65K
--0
--0
Net investment purchase and sale
----
----
--0
--0
----
----
----
---41.15K
--8.44K
--150.38K
Net other investing changes
--0
1,798.39%1.01M
-59.88%-437.09K
-231.76%-180K
---240K
---70.04K
--52.95K
76.71%-273.39K
950.65%136.61K
--0
Cash from discontinued investing activities
Investing cash flow
--0
-175.17%-39.8K
-62.02%-437.09K
-224.09%-180K
-346.20%-240K
---70.04K
--52.95K
77.38%-269.78K
281.31%145.06K
108.25%97.48K
Financing cash flow
Cash flow from continuing financing activities
-40.59%699.59K
891.13%891.54K
-31.25%1.53M
-40.61%541.37K
-110.90%-78.42K
1.18M
-112.69K
5,209.52%2.22M
6,732.11%911.54K
6,362.72%719.46K
Net issuance payments of debt
-55.79%699.59K
7,502.95%1.16M
-1.56%1.99M
-52.80%454.87K
-105.38%-58.98K
--1.58M
--15.24K
9,323.11%2.03M
9,303.08%963.65K
9,637.37%1.1M
Net common stock issuance
----
----
--0
--0
----
----
----
885.00%394K
--0
--0
Net other financing activities
--0
-108.65%-266.93K
-136.42%-465.88K
265.98%86.5K
94.83%-19.44K
---405K
---127.93K
-927.51%-197.06K
---52.11K
---376.19K
Cash from discontinued financing activities
Financing cash flow
-40.59%699.59K
891.13%891.54K
-31.25%1.53M
-40.61%541.37K
-110.90%-78.42K
--1.18M
---112.69K
5,209.52%2.22M
6,732.11%911.54K
6,362.72%719.46K
Net cash flow
Beginning cash position
-5.52%300.12K
-72.63%221.76K
-38.26%810.37K
-65.17%723.07K
67.20%1.36M
--317.67K
--810.37K
234.47%1.31M
114.14%2.08M
-32.49%814.4K
Current changes in cash
-125.81%-269.5K
115.87%78.31K
-17.79%-589.4K
60.42%-501.22K
-150.52%-638.69K
--1.04M
---493.56K
-154.38%-500.37K
-387.47%-1.27M
633.61%1.26M
Effect of exchange rate changes
-34.38%-86
-94.16%50
142.36%787
-112.21%-89
103.25%84
---64
--856
---1.86K
--729
---2.59K
End cash Position
-97.76%30.53K
-5.52%300.12K
-72.63%221.76K
-72.63%221.76K
-65.17%723.07K
--1.36M
--317.67K
-38.26%810.37K
-38.26%810.37K
114.14%2.08M
Free cash flow
-1,427.19%-969.09K
-78.28%-773.42K
32.95%-1.68M
62.87%-862.59K
-181.20%-320.27K
---63.46K
---433.82K
-222.09%-2.51M
-624.07%-2.32M
-57.71%394.41K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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--
Unqualified Opinion
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--
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(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -1,427.19%-969.09K-78.28%-773.42K31.50%-1.68M62.87%-862.59K-171.60%-320.27K-63.46K-433.82K-218.45%-2.45M-696.93%-2.32M-53.23%447.3K
Net income from continuing operations -334.94%-1.77M-306.57%-2.31M-198.16%-7.34M-301.08%-5.96M77.43%-403.97K---406.57K---567.38K-316.71%-2.46M-3.91%-1.49M-327.59%-1.79M
Operating gains losses --------590.50%284.09K63,485.71%8.87K-67.53%8.35K----------41.14K---14--25.7K
Depreciation and amortization 0.31%135.08K-34.88%99.94K26.34%536.68K-18.19%124.07K-19.69%124.5K--134.65K--153.47K234.88%424.79K80.58%151.64K1,447.94%155.03K
Deferred tax --0--0249.20%215.94K380.80%605.09K-877.05%-146.25K---112.54K---130.37K-654.12%-144.73K---215.49K---14.97K
Other non cash items --01,585.49%1M38.17%72.81K-120.45%-9.43K--8.46K--14.45K--59.33K--52.69K--46.12K----
Change In working capital 587.46%433.64K908.62%271.76K296.00%1.35M260.17%1.51M-112.41%-248.53K--63.08K--26.94K-189.79%-688K-147.62%-940.88K82,704.45%2M
-Change in receivables -1,524.02%-1.68M292.64%430.91K106.94%245.01K8.13%451.76K-108.18%-101.39K--118.32K---223.68K-1,682.91%-3.53M-82.71%417.79K321.02%1.24M
-Change in inventory -14.08%481.33K-76.49%395.42K-19.65%2.49M78.98%-299.32K-89.93%543.72K--560.2K--1.68M174.29%3.09M59.51%-1.42M447.78%5.4M
-Change in prepaid assets -193.57%-194.94K110.50%7.21K-86.30%26.31K-119.06%-30.66K11.90%-82.66K--208.34K---68.7K1,086.91%192.03K187.72%160.88K-1,368.54%-93.83K
-Change in payables and accrued expense 530.60%2.06M52.23%-633.48K-503.25%-291.23K5,506.13%1.55M99.27%-33.98K---478.86K---1.33M-98.11%72.22K-101.55%-28.63K-309.78%-4.65M
-Change in other current liabilities 72.01%-71.49K-526.67%-31.79K-49.99%-428.88K23.73%-84.88K23.46%-83.52K---255.41K---5.07K-213.77%-285.95K-176.31%-111.29K-10.53%-109.12K
-Change in other working capital -76.90%-158.34K428.55%103.5K-196.32%-689.21K-274.92%-77.51K-326.57%-490.69K---89.51K---31.5K-123.31%-232.59K-95.69%44.31K--216.58K
Cash from discontinued investing activities
Operating cash flow -1,427.19%-969.09K-78.28%-773.42K31.50%-1.68M62.87%-862.59K-171.60%-320.27K---63.46K---433.82K-218.45%-2.45M-696.93%-2.32M-53.23%447.3K
Investing cash flow
Cash flow from continuing investing activities 0-175.17%-39.8K-62.02%-437.09K-224.09%-180K-346.20%-240K-70.04K52.95K77.38%-269.78K281.31%145.06K108.25%97.48K
Net PPE purchase and sale ----------0--0-------------187.22%-52.89K--0----
Net business purchase and sale --0---1.04M--0--0--0--0--0--97.65K--0--0
Net investment purchase and sale ----------0--0---------------41.15K--8.44K--150.38K
Net other investing changes --01,798.39%1.01M-59.88%-437.09K-231.76%-180K---240K---70.04K--52.95K76.71%-273.39K950.65%136.61K--0
Cash from discontinued investing activities
Investing cash flow --0-175.17%-39.8K-62.02%-437.09K-224.09%-180K-346.20%-240K---70.04K--52.95K77.38%-269.78K281.31%145.06K108.25%97.48K
Financing cash flow
Cash flow from continuing financing activities -40.59%699.59K891.13%891.54K-31.25%1.53M-40.61%541.37K-110.90%-78.42K1.18M-112.69K5,209.52%2.22M6,732.11%911.54K6,362.72%719.46K
Net issuance payments of debt -55.79%699.59K7,502.95%1.16M-1.56%1.99M-52.80%454.87K-105.38%-58.98K--1.58M--15.24K9,323.11%2.03M9,303.08%963.65K9,637.37%1.1M
Net common stock issuance ----------0--0------------885.00%394K--0--0
Net other financing activities --0-108.65%-266.93K-136.42%-465.88K265.98%86.5K94.83%-19.44K---405K---127.93K-927.51%-197.06K---52.11K---376.19K
Cash from discontinued financing activities
Financing cash flow -40.59%699.59K891.13%891.54K-31.25%1.53M-40.61%541.37K-110.90%-78.42K--1.18M---112.69K5,209.52%2.22M6,732.11%911.54K6,362.72%719.46K
Net cash flow
Beginning cash position -5.52%300.12K-72.63%221.76K-38.26%810.37K-65.17%723.07K67.20%1.36M--317.67K--810.37K234.47%1.31M114.14%2.08M-32.49%814.4K
Current changes in cash -125.81%-269.5K115.87%78.31K-17.79%-589.4K60.42%-501.22K-150.52%-638.69K--1.04M---493.56K-154.38%-500.37K-387.47%-1.27M633.61%1.26M
Effect of exchange rate changes -34.38%-86-94.16%50142.36%787-112.21%-89103.25%84---64--856---1.86K--729---2.59K
End cash Position -97.76%30.53K-5.52%300.12K-72.63%221.76K-72.63%221.76K-65.17%723.07K--1.36M--317.67K-38.26%810.37K-38.26%810.37K114.14%2.08M
Free cash flow -1,427.19%-969.09K-78.28%-773.42K32.95%-1.68M62.87%-862.59K-181.20%-320.27K---63.46K---433.82K-222.09%-2.51M-624.07%-2.32M-57.71%394.41K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------------

Analysis

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Price Target

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