US Stock MarketDetailed Quotes

XWEL XWELL Inc

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  • 1.6988
  • -0.0512-2.93%
Close Nov 6 16:00 ET
8.93MMarket Cap-338P/E (TTM)

XWELL Inc 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
83.91%-443K
37.22%-3.68M
33.55%-16.07M
52.58%-3.2M
51.77%-4.26M
59.76%-2.75M
-230.61%-5.87M
-266.11%-24.19M
-178.55%-6.75M
-213.38%-8.82M
Net income from continuing operations
68.46%-1.79M
59.55%-2.36M
14.10%-28.03M
54.12%-6.54M
-29.94%-9.98M
28.36%-5.68M
-111.04%-5.83M
-1,227.86%-32.63M
-876.74%-14.26M
-216.44%-7.68M
Operating gains losses
-98.42%17K
105.00%123K
-43.11%826K
33.64%870K
-378.96%-1.18M
924.76%1.08M
-78.02%60K
35.96%1.45M
97.27%651K
40.07%423K
Depreciation and amortization
-44.46%546K
-49.05%511K
-51.24%3.55M
-61.37%613K
-54.75%947K
-49.09%983K
-39.65%1M
47.83%7.27M
30.51%1.59M
50.90%2.09M
Other non cash items
----
----
-894.17%-818K
----
----
----
----
-72.82%103K
140.00%72K
-44.83%16K
Change In working capital
271.47%1.21M
-86.05%-2.8M
80.70%-1.92M
195.30%304K
78.46%-1.04M
114.27%326K
39.56%-1.51M
-709.57%-9.94M
-108.78%-319K
-266.26%-4.84M
-Change in receivables
550.62%527K
-245.08%-1.22M
164.90%1.19M
68.04%-474K
237.73%741K
-92.58%81K
193.05%843K
-63.26%-1.84M
-23.79%-1.48M
-186.77%-538K
-Change in inventory
-124.00%-36K
-60.24%66K
-55.91%261K
134.16%69K
-212.73%-124K
-89.60%150K
121.87%166K
153.53%592K
-172.40%-202K
115.47%110K
-Change in payables and accrued expense
293.35%640K
76.16%909K
84.97%-488K
37.80%-237K
67.61%-436K
83.72%-331K
0.58%516K
-148.56%-3.25M
-109.59%-381K
-411.57%-1.35M
-Change in other current assets
-73.78%140K
-26.65%-594K
212.04%512K
-53.10%848K
79.64%-401K
241.64%534K
-671.95%-469K
63.47%-457K
202.15%1.81M
-165.73%-1.97M
-Change in other current liabilities
-280.00%-95K
22.59%-1.99M
23.45%-3.11M
184.62%121K
42.88%-634K
97.90%-25K
-59.24%-2.57M
-234.93%-4.06M
-107.84%-143K
26.83%-1.11M
-Change in other working capital
142.17%35K
383.33%29K
69.02%-289K
-128.05%-23K
-1,675.00%-189K
93.19%-83K
-96.88%6K
-155.62%-933K
-84.38%82K
100.38%12K
Cash from discontinued investing activities
Operating cash flow
83.91%-443K
37.22%-3.68M
33.55%-16.07M
52.80%-3.2M
51.60%-4.26M
59.76%-2.75M
-230.61%-5.87M
-266.11%-24.19M
-178.92%-6.78M
-212.98%-8.79M
Investing cash flow
Cash flow from continuing investing activities
423.33%1.55M
88.72%-371K
116.22%5.65M
128.53%6.82M
250.09%2.6M
80.16%-480K
51.47%-3.29M
-575.78%-34.84M
-758.98%-23.91M
-713.83%-1.73M
Net PPE purchase and sale
-308.88%-353K
79.27%-291K
70.53%-1.91M
60.12%-266K
76.71%-404K
107.03%169K
15.37%-1.4M
-50.96%-6.46M
59.13%-667K
-234.30%-1.74M
Net intangibles purchase and sale
98.07%-9K
--0
-25.47%-468K
--0
-25.00%3K
-2,818.75%-467K
98.50%-4K
88.72%-373K
91.84%-94K
100.24%4K
Net business purchase and sale
----
----
71.28%-1.39M
--180K
----
----
----
-299.38%-4.85M
--0
--0
Net investment purchase and sale
1,151.65%1.91M
95.75%-80K
140.67%9.42M
129.84%6.91M
--4.57M
---182K
---1.88M
---23.15M
---23.15M
--0
Cash from discontinued investing activities
Investing cash flow
423.33%1.55M
88.72%-371K
116.22%5.65M
128.53%6.82M
250.09%2.6M
80.16%-480K
51.47%-3.29M
-575.78%-34.84M
-758.98%-23.91M
-713.83%-1.73M
Financing cash flow
Cash flow from continuing financing activities
103.33%4K
0
100.03%8K
0
101.35%150K
95.36%-120K
99.84%-22K
-531.13%-27.38M
102.96%279K
-679.20%-11.13M
Net issuance payments of debt
----
----
--0
--0
----
----
----
-73.22%-3.58M
--0
--0
Net common stock issuance
--0
--0
99.91%-22K
--0
--0
--0
99.80%-22K
-357.69%-23.86M
--0
-2,494.00%-11.67M
Net other financing activities
----
----
-56.52%30K
--0
-72.53%150K
----
----
108.08%69K
542.86%279K
155.10%546K
Cash from discontinued financing activities
Financing cash flow
103.33%4K
--0
100.03%8K
--0
101.35%150K
95.36%-120K
99.84%-22K
-531.13%-27.38M
102.96%279K
-679.20%-11.13M
Net cash flow
Beginning cash position
-52.28%5.07M
-53.57%9.19M
-81.38%19.79M
-88.88%5.58M
-90.08%7.13M
-87.32%10.62M
-81.38%19.79M
17.41%106.26M
-54.35%50.18M
-30.40%71.86M
Current changes in cash
133.19%1.11M
55.84%-4.05M
87.95%-10.42M
111.90%3.62M
93.04%-1.51M
71.70%-3.35M
59.21%-9.18M
-648.45%-86.41M
-740.48%-30.42M
-426.28%-21.65M
Effect of exchange rate changes
92.03%-11K
-937.50%-67K
-208.33%-185K
-142.31%-11K
-46.67%-44K
-283.33%-138K
140.00%8K
---60K
172.22%26K
-203.45%-30K
End cash Position
-13.45%6.17M
-52.28%5.07M
-53.57%9.19M
-53.57%9.19M
-88.88%5.58M
-90.08%7.13M
-87.32%10.62M
-81.38%19.79M
-81.38%19.79M
-54.35%50.18M
Free cash flow
73.62%-805K
45.37%-3.97M
40.54%-18.45M
54.04%-3.47M
55.75%-4.66M
67.05%-3.05M
-96.57%-7.27M
-545.06%-31.03M
-229.83%-7.54M
-286.92%-10.52M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(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 83.91%-443K37.22%-3.68M33.55%-16.07M52.58%-3.2M51.77%-4.26M59.76%-2.75M-230.61%-5.87M-266.11%-24.19M-178.55%-6.75M-213.38%-8.82M
Net income from continuing operations 68.46%-1.79M59.55%-2.36M14.10%-28.03M54.12%-6.54M-29.94%-9.98M28.36%-5.68M-111.04%-5.83M-1,227.86%-32.63M-876.74%-14.26M-216.44%-7.68M
Operating gains losses -98.42%17K105.00%123K-43.11%826K33.64%870K-378.96%-1.18M924.76%1.08M-78.02%60K35.96%1.45M97.27%651K40.07%423K
Depreciation and amortization -44.46%546K-49.05%511K-51.24%3.55M-61.37%613K-54.75%947K-49.09%983K-39.65%1M47.83%7.27M30.51%1.59M50.90%2.09M
Other non cash items ---------894.17%-818K-----------------72.82%103K140.00%72K-44.83%16K
Change In working capital 271.47%1.21M-86.05%-2.8M80.70%-1.92M195.30%304K78.46%-1.04M114.27%326K39.56%-1.51M-709.57%-9.94M-108.78%-319K-266.26%-4.84M
-Change in receivables 550.62%527K-245.08%-1.22M164.90%1.19M68.04%-474K237.73%741K-92.58%81K193.05%843K-63.26%-1.84M-23.79%-1.48M-186.77%-538K
-Change in inventory -124.00%-36K-60.24%66K-55.91%261K134.16%69K-212.73%-124K-89.60%150K121.87%166K153.53%592K-172.40%-202K115.47%110K
-Change in payables and accrued expense 293.35%640K76.16%909K84.97%-488K37.80%-237K67.61%-436K83.72%-331K0.58%516K-148.56%-3.25M-109.59%-381K-411.57%-1.35M
-Change in other current assets -73.78%140K-26.65%-594K212.04%512K-53.10%848K79.64%-401K241.64%534K-671.95%-469K63.47%-457K202.15%1.81M-165.73%-1.97M
-Change in other current liabilities -280.00%-95K22.59%-1.99M23.45%-3.11M184.62%121K42.88%-634K97.90%-25K-59.24%-2.57M-234.93%-4.06M-107.84%-143K26.83%-1.11M
-Change in other working capital 142.17%35K383.33%29K69.02%-289K-128.05%-23K-1,675.00%-189K93.19%-83K-96.88%6K-155.62%-933K-84.38%82K100.38%12K
Cash from discontinued investing activities
Operating cash flow 83.91%-443K37.22%-3.68M33.55%-16.07M52.80%-3.2M51.60%-4.26M59.76%-2.75M-230.61%-5.87M-266.11%-24.19M-178.92%-6.78M-212.98%-8.79M
Investing cash flow
Cash flow from continuing investing activities 423.33%1.55M88.72%-371K116.22%5.65M128.53%6.82M250.09%2.6M80.16%-480K51.47%-3.29M-575.78%-34.84M-758.98%-23.91M-713.83%-1.73M
Net PPE purchase and sale -308.88%-353K79.27%-291K70.53%-1.91M60.12%-266K76.71%-404K107.03%169K15.37%-1.4M-50.96%-6.46M59.13%-667K-234.30%-1.74M
Net intangibles purchase and sale 98.07%-9K--0-25.47%-468K--0-25.00%3K-2,818.75%-467K98.50%-4K88.72%-373K91.84%-94K100.24%4K
Net business purchase and sale --------71.28%-1.39M--180K-------------299.38%-4.85M--0--0
Net investment purchase and sale 1,151.65%1.91M95.75%-80K140.67%9.42M129.84%6.91M--4.57M---182K---1.88M---23.15M---23.15M--0
Cash from discontinued investing activities
Investing cash flow 423.33%1.55M88.72%-371K116.22%5.65M128.53%6.82M250.09%2.6M80.16%-480K51.47%-3.29M-575.78%-34.84M-758.98%-23.91M-713.83%-1.73M
Financing cash flow
Cash flow from continuing financing activities 103.33%4K0100.03%8K0101.35%150K95.36%-120K99.84%-22K-531.13%-27.38M102.96%279K-679.20%-11.13M
Net issuance payments of debt ----------0--0-------------73.22%-3.58M--0--0
Net common stock issuance --0--099.91%-22K--0--0--099.80%-22K-357.69%-23.86M--0-2,494.00%-11.67M
Net other financing activities ---------56.52%30K--0-72.53%150K--------108.08%69K542.86%279K155.10%546K
Cash from discontinued financing activities
Financing cash flow 103.33%4K--0100.03%8K--0101.35%150K95.36%-120K99.84%-22K-531.13%-27.38M102.96%279K-679.20%-11.13M
Net cash flow
Beginning cash position -52.28%5.07M-53.57%9.19M-81.38%19.79M-88.88%5.58M-90.08%7.13M-87.32%10.62M-81.38%19.79M17.41%106.26M-54.35%50.18M-30.40%71.86M
Current changes in cash 133.19%1.11M55.84%-4.05M87.95%-10.42M111.90%3.62M93.04%-1.51M71.70%-3.35M59.21%-9.18M-648.45%-86.41M-740.48%-30.42M-426.28%-21.65M
Effect of exchange rate changes 92.03%-11K-937.50%-67K-208.33%-185K-142.31%-11K-46.67%-44K-283.33%-138K140.00%8K---60K172.22%26K-203.45%-30K
End cash Position -13.45%6.17M-52.28%5.07M-53.57%9.19M-53.57%9.19M-88.88%5.58M-90.08%7.13M-87.32%10.62M-81.38%19.79M-81.38%19.79M-54.35%50.18M
Free cash flow 73.62%-805K45.37%-3.97M40.54%-18.45M54.04%-3.47M55.75%-4.66M67.05%-3.05M-96.57%-7.27M-545.06%-31.03M-229.83%-7.54M-286.92%-10.52M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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