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SVMB Savmobi Technology

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  • 2.630
  • 0.0000.00%
15min DelayClose Dec 20 16:00 ET
13.98MMarket Cap0.00P/E (TTM)

Savmobi Technology Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Nov 30, 2023
(Q1)Aug 31, 2023
(FY)May 31, 2023
(Q4)May 31, 2023
(Q3)Feb 28, 2023
(Q2)Nov 30, 2022
(Q1)Aug 31, 2022
(FY)May 31, 2022
(Q4)May 31, 2022
(Q3)Feb 28, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-84.93%45.21K
191.64%1.14M
100.60%102.13K
103.24%129.93K
107.05%919.71K
1,410.73%299.94K
-9,456.07%-1.25M
-57,891.62%-17.09M
-45,958.51%-4.01M
-62,712.20%-13.05M
Net income from continuing operations
12.04%-1.14M
32.12%-1.53M
1.62%-6.78M
-67.38%-2.79M
91.63%-435.48K
-22,333.32%-1.3M
-11,220.80%-2.26M
-16,523.39%-6.89M
-6,515.74%-1.67M
-62,614.36%-5.2M
Depreciation and amortization
-49.87%222.54K
-54.00%231.49K
-28.52%1.56M
-47.52%277.3K
--334.79K
--443.92K
--503.2K
--2.18M
--528.43K
----
Change In working capital
-5.73%1.09M
375.36%2.41M
135.57%4.4M
160.16%1.72M
110.73%1.02M
6,846.34%1.15M
7,257.51%506.49K
-103,272.52%-12.38M
-17,430.86%-2.86M
-76,012.55%-9.51M
-Change in receivables
205.46%97.18K
-49.62%-56.49K
-316.65%-972.01K
-429.09%-579.05K
---263.07K
---92.14K
---37.75K
---233.29K
---109.44K
----
-Change in inventory
-136.87%-31K
-149.00%-35.26K
-410.58%-110.37K
-302.98%-48.9K
---34.22K
---13.09K
---14.16K
---21.62K
--24.09K
----
-Change in prepaid assets
80.48%-157.64K
-303.14%-444.57K
176.57%3.99M
161.60%1.83M
222.47%2.75M
---807.57K
--218.85K
---5.21M
---2.96M
---2.25M
-Change in payables and accrued expense
-49.06%1.07M
2,371.07%2.83M
114.49%1.07M
110.89%811.62K
-2,798.83%-1.95M
12,490.99%2.09M
1,564.69%114.6K
-61,703.59%-7.39M
-114,258.88%-7.45M
2,998.51%72.14K
-Change in other current assets
539.67%113.18K
-50.13%112.18K
-11.96%423.01K
112.90%553.08K
---329.28K
---25.74K
--224.96K
--480.49K
--259.78K
----
Cash from discontinued investing activities
Operating cash flow
-84.93%45.21K
191.64%1.14M
100.60%102.13K
103.24%129.93K
107.05%919.71K
1,410.73%299.94K
-9,456.07%-1.25M
-57,891.62%-17.09M
-45,958.51%-4.01M
-62,712.20%-13.05M
Investing cash flow
Cash flow from continuing investing activities
55.57%-135.68K
105.88%40.12K
-1,063.26%-1.61M
-101.06%-20.97K
-605.31K
-305.35K
-682.88K
167.61K
1.98M
Net PPE purchase and sale
53.47%-135.68K
105.88%40.12K
15.80%-1.6M
78.19%-20.98K
---605.28K
---291.57K
---682.88K
---1.9M
---96.15K
----
Net intangibles purchase and sale
----
----
-165.18%-13.81K
-99.97%2
---29
----
----
--21.19K
--7.39K
----
Net investment purchase and sale
----
----
--0
--0
----
----
----
---20K
--0
----
Net other investing changes
----
----
----
----
----
----
----
--2.07M
----
----
Cash from discontinued investing activities
Investing cash flow
55.57%-135.68K
105.88%40.12K
-1,063.26%-1.61M
-101.06%-20.97K
---605.31K
---305.35K
---682.88K
--167.61K
--1.98M
----
Financing cash flow
Cash flow from continuing financing activities
-233.67%-131.7K
-172.97%-1.39M
-88.68%1.91M
-96.66%64.83K
-101.02%-152.38K
334.45%98.53K
14,701.81%1.9M
55,705.89%16.9M
24,194.08%1.94M
66,855.25%14.93M
Net issuance payments of debt
-719.93%-211.18K
-201.39%-1.87M
-87.82%1.22M
-100.01%-159
---664.19K
--34.07K
--1.85M
--9.98M
--1.9M
----
Net common stock issuance
----
----
--0
--0
----
----
----
--7.02M
--75.43K
----
Net other financing activities
23.30%79.48K
765.17%483.96K
832.67%697.2K
278.19%64.99K
643.24%511.81K
184.25%64.46K
335.32%55.94K
-414.14%-95.16K
-555.91%-36.47K
---94.22K
Cash from discontinued financing activities
Financing cash flow
-233.67%-131.7K
-172.97%-1.39M
-88.68%1.91M
-96.66%64.83K
-101.02%-152.38K
334.45%98.53K
14,701.81%1.9M
55,705.89%16.9M
24,194.08%1.94M
66,855.25%14.93M
Net cash flow
Beginning cash position
255.39%282.13K
354.08%493.98K
-19.95%108.79K
66.22%331.07K
40,600.98%165.65K
12,892.64%79.39K
13,248.10%108.79K
--135.9K
13,082.06%199.18K
--407
Current changes in cash
-338.61%-222.17K
-622.98%-204.55K
1,932.70%400.63K
309.61%173.79K
163.62%162.02K
45,742.65%93.11K
-13,769.12%-28.29K
-2,782.21%-21.86K
-11,812.64%-82.91K
--61.46K
Effect of exchange rate changes
140.84%2.8K
-557.80%-7.3K
-193.72%-15.44K
-45.51%-10.89K
--3.4K
---6.84K
---1.11K
---5.26K
---7.48K
----
End cash Position
-62.12%62.75K
255.39%282.13K
354.08%493.98K
354.08%493.98K
66.22%331.07K
40,600.98%165.65K
12,892.64%79.39K
13,248.10%108.79K
13,248.10%108.79K
13,082.06%199.18K
Free cash flow
-10.85%-70.53K
151.78%1.03M
78.12%-4.36M
41.54%-2.4M
100.59%92.93K
-178.03%-63.62K
-15,119.41%-1.99M
-67,525.02%-19.93M
-47,187.91%-4.11M
-75,862.34%-15.79M
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)Nov 30, 2023(Q1)Aug 31, 2023(FY)May 31, 2023(Q4)May 31, 2023(Q3)Feb 28, 2023(Q2)Nov 30, 2022(Q1)Aug 31, 2022(FY)May 31, 2022(Q4)May 31, 2022(Q3)Feb 28, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -84.93%45.21K191.64%1.14M100.60%102.13K103.24%129.93K107.05%919.71K1,410.73%299.94K-9,456.07%-1.25M-57,891.62%-17.09M-45,958.51%-4.01M-62,712.20%-13.05M
Net income from continuing operations 12.04%-1.14M32.12%-1.53M1.62%-6.78M-67.38%-2.79M91.63%-435.48K-22,333.32%-1.3M-11,220.80%-2.26M-16,523.39%-6.89M-6,515.74%-1.67M-62,614.36%-5.2M
Depreciation and amortization -49.87%222.54K-54.00%231.49K-28.52%1.56M-47.52%277.3K--334.79K--443.92K--503.2K--2.18M--528.43K----
Change In working capital -5.73%1.09M375.36%2.41M135.57%4.4M160.16%1.72M110.73%1.02M6,846.34%1.15M7,257.51%506.49K-103,272.52%-12.38M-17,430.86%-2.86M-76,012.55%-9.51M
-Change in receivables 205.46%97.18K-49.62%-56.49K-316.65%-972.01K-429.09%-579.05K---263.07K---92.14K---37.75K---233.29K---109.44K----
-Change in inventory -136.87%-31K-149.00%-35.26K-410.58%-110.37K-302.98%-48.9K---34.22K---13.09K---14.16K---21.62K--24.09K----
-Change in prepaid assets 80.48%-157.64K-303.14%-444.57K176.57%3.99M161.60%1.83M222.47%2.75M---807.57K--218.85K---5.21M---2.96M---2.25M
-Change in payables and accrued expense -49.06%1.07M2,371.07%2.83M114.49%1.07M110.89%811.62K-2,798.83%-1.95M12,490.99%2.09M1,564.69%114.6K-61,703.59%-7.39M-114,258.88%-7.45M2,998.51%72.14K
-Change in other current assets 539.67%113.18K-50.13%112.18K-11.96%423.01K112.90%553.08K---329.28K---25.74K--224.96K--480.49K--259.78K----
Cash from discontinued investing activities
Operating cash flow -84.93%45.21K191.64%1.14M100.60%102.13K103.24%129.93K107.05%919.71K1,410.73%299.94K-9,456.07%-1.25M-57,891.62%-17.09M-45,958.51%-4.01M-62,712.20%-13.05M
Investing cash flow
Cash flow from continuing investing activities 55.57%-135.68K105.88%40.12K-1,063.26%-1.61M-101.06%-20.97K-605.31K-305.35K-682.88K167.61K1.98M
Net PPE purchase and sale 53.47%-135.68K105.88%40.12K15.80%-1.6M78.19%-20.98K---605.28K---291.57K---682.88K---1.9M---96.15K----
Net intangibles purchase and sale ---------165.18%-13.81K-99.97%2---29----------21.19K--7.39K----
Net investment purchase and sale ----------0--0---------------20K--0----
Net other investing changes ------------------------------2.07M--------
Cash from discontinued investing activities
Investing cash flow 55.57%-135.68K105.88%40.12K-1,063.26%-1.61M-101.06%-20.97K---605.31K---305.35K---682.88K--167.61K--1.98M----
Financing cash flow
Cash flow from continuing financing activities -233.67%-131.7K-172.97%-1.39M-88.68%1.91M-96.66%64.83K-101.02%-152.38K334.45%98.53K14,701.81%1.9M55,705.89%16.9M24,194.08%1.94M66,855.25%14.93M
Net issuance payments of debt -719.93%-211.18K-201.39%-1.87M-87.82%1.22M-100.01%-159---664.19K--34.07K--1.85M--9.98M--1.9M----
Net common stock issuance ----------0--0--------------7.02M--75.43K----
Net other financing activities 23.30%79.48K765.17%483.96K832.67%697.2K278.19%64.99K643.24%511.81K184.25%64.46K335.32%55.94K-414.14%-95.16K-555.91%-36.47K---94.22K
Cash from discontinued financing activities
Financing cash flow -233.67%-131.7K-172.97%-1.39M-88.68%1.91M-96.66%64.83K-101.02%-152.38K334.45%98.53K14,701.81%1.9M55,705.89%16.9M24,194.08%1.94M66,855.25%14.93M
Net cash flow
Beginning cash position 255.39%282.13K354.08%493.98K-19.95%108.79K66.22%331.07K40,600.98%165.65K12,892.64%79.39K13,248.10%108.79K--135.9K13,082.06%199.18K--407
Current changes in cash -338.61%-222.17K-622.98%-204.55K1,932.70%400.63K309.61%173.79K163.62%162.02K45,742.65%93.11K-13,769.12%-28.29K-2,782.21%-21.86K-11,812.64%-82.91K--61.46K
Effect of exchange rate changes 140.84%2.8K-557.80%-7.3K-193.72%-15.44K-45.51%-10.89K--3.4K---6.84K---1.11K---5.26K---7.48K----
End cash Position -62.12%62.75K255.39%282.13K354.08%493.98K354.08%493.98K66.22%331.07K40,600.98%165.65K12,892.64%79.39K13,248.10%108.79K13,248.10%108.79K13,082.06%199.18K
Free cash flow -10.85%-70.53K151.78%1.03M78.12%-4.36M41.54%-2.4M100.59%92.93K-178.03%-63.62K-15,119.41%-1.99M-67,525.02%-19.93M-47,187.91%-4.11M-75,862.34%-15.79M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----
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