US Stock MarketDetailed Quotes

REBN Reborn Coffee

Watchlist
  • 2.5300
  • +0.0900+3.69%
Close Oct 11 16:00 ET
  • 2.6000
  • +0.0700+2.77%
Post 20:01 ET
8.88MMarket Cap-988P/E (TTM)

Reborn Coffee 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
-55.18%-961.8K
-16.27%-1.93M
3.58%-3.18M
85.53%-188.21K
11.17%-707.69K
13.22%-619.79K
-242.42%-1.66M
-69.10%-3.3M
-1,177.76%-1.3M
48.00%-796.72K
Net income from continuing operations
-1.78%-1.32M
-2.74%-990.54K
-32.92%-4.73M
-51.73%-1.72M
18.60%-748.9K
-38.04%-1.29M
-70.61%-964.16K
-3.33%-3.55M
-31.05%-1.13M
52.60%-920.06K
Depreciation and amortization
37.93%109.38K
12.89%63.33K
24.41%262.02K
-1.16%63.37K
30.20%63.26K
62.54%79.3K
14.17%56.1K
20.56%210.62K
42.09%64.11K
1.96%48.58K
Other non cash items
211.01%12.82K
-101.97%-456
1,118.28%256.62K
3,533.44%225.89K
-36.84%3.51K
-77.82%4.12K
561.10%23.1K
-67.86%21.06K
-133.02%-6.58K
-77.83%5.56K
Change In working capital
-31.67%232.61K
-29.28%-1.01M
278.98%742.48K
381.20%1.24M
-187.51%-60.56K
590.14%340.42K
-3,012.18%-778.34K
-148.34%-414.84K
-1,076.52%-441.31K
155.87%69.2K
-Change in receivables
8,775.46%125.5K
-4,551.80%-135.79K
-7,099.74%-56.16K
-9,929.07%-43.13K
-1,322.48%-11.53K
6,833.33%1.41K
-129.48%-2.92K
-120.24%-780
-105.20%-430
122.73%943
-Change in inventory
-11.86%-1.24K
-1,048.61%-81.64K
-21.29%-52.72K
36.04%-18.78K
---41.44K
96.28%-1.11K
-44.78%8.61K
40.94%-43.47K
55.90%-29.36K
--0
-Change in prepaid assets
212.32%228.9K
9.30%-797.96K
86.22%-71.82K
216.74%533.3K
658.09%201.36K
149,469.39%73.29K
-3,006.07%-879.76K
-294.65%-521.18K
-1,206.89%-456.82K
-12.67%-36.08K
-Change in payables and accrued expense
-145.18%-120.55K
-90.45%9.14K
513.08%923.18K
1,598.81%769.56K
-300.26%-208.94K
770.55%266.83K
135.01%95.74K
333.19%150.58K
-18.74%45.3K
218.68%104.34K
Cash from discontinued investing activities
Operating cash flow
-55.18%-961.8K
-16.27%-1.93M
3.58%-3.18M
85.53%-188.21K
11.17%-707.69K
13.22%-619.79K
-242.42%-1.66M
-69.10%-3.3M
-1,177.76%-1.3M
48.00%-796.72K
Investing cash flow
Cash flow from continuing investing activities
108.76%345.92K
-109.62%-986.98K
-254.09%-2.41M
-378.50%-1.67M
2,327.87%3.67M
-21,233.61%-3.95M
-214.12%-470.85K
-36.79%-681.53K
-307.17%-348.34K
-72.52%-164.79K
Net PPE purchase and sale
108.76%345.92K
-109.62%-986.98K
-254.09%-2.41M
-378.50%-1.67M
2,327.87%3.67M
-21,233.61%-3.95M
-214.12%-470.85K
-36.79%-681.53K
-307.17%-348.34K
-72.52%-164.79K
Cash from discontinued investing activities
Investing cash flow
108.76%345.92K
-109.62%-986.98K
-254.09%-2.41M
-378.50%-1.67M
2,327.87%3.67M
-21,233.61%-3.95M
-214.12%-470.85K
-36.79%-681.53K
-307.17%-348.34K
-72.52%-164.79K
Financing cash flow
Cash flow from continuing financing activities
-71.16%1.16M
24,105.10%2.83M
-55.07%2.74M
2,754.49%1.66M
-153.00%-2.94M
476.40%4.03M
86.34%-11.78K
88.94%6.09M
-1,181.06%-62.36K
134.54%5.54M
Net issuance payments of debt
-4.18%3.86M
1,177.11%126.84K
2,598.72%2.74M
2,754.49%1.66M
-344.80%-2.94M
476.40%4.03M
86.34%-11.78K
-120.45%-109.56K
64.56%-62.36K
-265.69%-660.34K
Net common stock issuance
----
--2.7M
--0
--0
----
----
--0
167.77%7.2M
--0
----
Net other financing activities
----
----
----
----
----
----
----
---997.87K
--0
----
Cash from discontinued financing activities
Financing cash flow
-71.16%1.16M
24,105.10%2.83M
-55.07%2.74M
2,754.49%1.66M
-153.00%-2.94M
476.40%4.03M
86.34%-11.78K
88.94%6.09M
-1,181.06%-62.36K
134.54%5.54M
Net cash flow
Beginning cash position
-91.95%70.25K
-94.56%164.3K
233.58%3.02M
-92.31%363.95K
125.26%337.49K
376.61%873.1K
233.58%3.02M
603.95%905.05K
440.70%4.73M
7.29%149.82K
Current changes in cash
202.09%546.8K
95.62%-94.05K
-235.04%-2.85M
88.33%-199.65K
-99.42%26.46K
-1,505.21%-535.61K
-197.28%-2.15M
172.25%2.11M
-5,759.21%-1.71M
523.02%4.58M
End cash Position
82.83%617.05K
-91.95%70.25K
-94.56%164.3K
-94.56%164.3K
-92.31%363.95K
125.26%337.49K
376.61%873.1K
233.58%3.02M
233.58%3.02M
440.70%4.73M
Free cash flow
86.51%-615.88K
-36.86%-2.92M
-40.56%-5.59M
-12.52%-1.86M
408.23%2.96M
-523.25%-4.57M
-235.74%-2.13M
-62.52%-3.98M
-4,796.75%-1.65M
40.93%-961.51K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(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 -55.18%-961.8K-16.27%-1.93M3.58%-3.18M85.53%-188.21K11.17%-707.69K13.22%-619.79K-242.42%-1.66M-69.10%-3.3M-1,177.76%-1.3M48.00%-796.72K
Net income from continuing operations -1.78%-1.32M-2.74%-990.54K-32.92%-4.73M-51.73%-1.72M18.60%-748.9K-38.04%-1.29M-70.61%-964.16K-3.33%-3.55M-31.05%-1.13M52.60%-920.06K
Depreciation and amortization 37.93%109.38K12.89%63.33K24.41%262.02K-1.16%63.37K30.20%63.26K62.54%79.3K14.17%56.1K20.56%210.62K42.09%64.11K1.96%48.58K
Other non cash items 211.01%12.82K-101.97%-4561,118.28%256.62K3,533.44%225.89K-36.84%3.51K-77.82%4.12K561.10%23.1K-67.86%21.06K-133.02%-6.58K-77.83%5.56K
Change In working capital -31.67%232.61K-29.28%-1.01M278.98%742.48K381.20%1.24M-187.51%-60.56K590.14%340.42K-3,012.18%-778.34K-148.34%-414.84K-1,076.52%-441.31K155.87%69.2K
-Change in receivables 8,775.46%125.5K-4,551.80%-135.79K-7,099.74%-56.16K-9,929.07%-43.13K-1,322.48%-11.53K6,833.33%1.41K-129.48%-2.92K-120.24%-780-105.20%-430122.73%943
-Change in inventory -11.86%-1.24K-1,048.61%-81.64K-21.29%-52.72K36.04%-18.78K---41.44K96.28%-1.11K-44.78%8.61K40.94%-43.47K55.90%-29.36K--0
-Change in prepaid assets 212.32%228.9K9.30%-797.96K86.22%-71.82K216.74%533.3K658.09%201.36K149,469.39%73.29K-3,006.07%-879.76K-294.65%-521.18K-1,206.89%-456.82K-12.67%-36.08K
-Change in payables and accrued expense -145.18%-120.55K-90.45%9.14K513.08%923.18K1,598.81%769.56K-300.26%-208.94K770.55%266.83K135.01%95.74K333.19%150.58K-18.74%45.3K218.68%104.34K
Cash from discontinued investing activities
Operating cash flow -55.18%-961.8K-16.27%-1.93M3.58%-3.18M85.53%-188.21K11.17%-707.69K13.22%-619.79K-242.42%-1.66M-69.10%-3.3M-1,177.76%-1.3M48.00%-796.72K
Investing cash flow
Cash flow from continuing investing activities 108.76%345.92K-109.62%-986.98K-254.09%-2.41M-378.50%-1.67M2,327.87%3.67M-21,233.61%-3.95M-214.12%-470.85K-36.79%-681.53K-307.17%-348.34K-72.52%-164.79K
Net PPE purchase and sale 108.76%345.92K-109.62%-986.98K-254.09%-2.41M-378.50%-1.67M2,327.87%3.67M-21,233.61%-3.95M-214.12%-470.85K-36.79%-681.53K-307.17%-348.34K-72.52%-164.79K
Cash from discontinued investing activities
Investing cash flow 108.76%345.92K-109.62%-986.98K-254.09%-2.41M-378.50%-1.67M2,327.87%3.67M-21,233.61%-3.95M-214.12%-470.85K-36.79%-681.53K-307.17%-348.34K-72.52%-164.79K
Financing cash flow
Cash flow from continuing financing activities -71.16%1.16M24,105.10%2.83M-55.07%2.74M2,754.49%1.66M-153.00%-2.94M476.40%4.03M86.34%-11.78K88.94%6.09M-1,181.06%-62.36K134.54%5.54M
Net issuance payments of debt -4.18%3.86M1,177.11%126.84K2,598.72%2.74M2,754.49%1.66M-344.80%-2.94M476.40%4.03M86.34%-11.78K-120.45%-109.56K64.56%-62.36K-265.69%-660.34K
Net common stock issuance ------2.7M--0--0----------0167.77%7.2M--0----
Net other financing activities -------------------------------997.87K--0----
Cash from discontinued financing activities
Financing cash flow -71.16%1.16M24,105.10%2.83M-55.07%2.74M2,754.49%1.66M-153.00%-2.94M476.40%4.03M86.34%-11.78K88.94%6.09M-1,181.06%-62.36K134.54%5.54M
Net cash flow
Beginning cash position -91.95%70.25K-94.56%164.3K233.58%3.02M-92.31%363.95K125.26%337.49K376.61%873.1K233.58%3.02M603.95%905.05K440.70%4.73M7.29%149.82K
Current changes in cash 202.09%546.8K95.62%-94.05K-235.04%-2.85M88.33%-199.65K-99.42%26.46K-1,505.21%-535.61K-197.28%-2.15M172.25%2.11M-5,759.21%-1.71M523.02%4.58M
End cash Position 82.83%617.05K-91.95%70.25K-94.56%164.3K-94.56%164.3K-92.31%363.95K125.26%337.49K376.61%873.1K233.58%3.02M233.58%3.02M440.70%4.73M
Free cash flow 86.51%-615.88K-36.86%-2.92M-40.56%-5.59M-12.52%-1.86M408.23%2.96M-523.25%-4.57M-235.74%-2.13M-62.52%-3.98M-4,796.75%-1.65M40.93%-961.51K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
% Chg

No Data