US Stock MarketDetailed Quotes

ZCMD ZHONGCHAO

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  • 1.300
  • -0.040-2.99%
Trading Dec 3 14:13 ET
6.58MMarket Cap-517P/E (TTM)

ZHONGCHAO Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-0.02%12.22M
11.69%13.45M
11.69%13.45M
1.81%12.22M
-15.29%12.04M
-15.29%12.04M
-23.03%12.01M
-16.92%14.21M
-16.92%14.21M
-6.67%15.6M
-Cash and cash equivalents
-44.36%6.28M
-34.48%7.55M
-34.48%7.55M
-1.69%11.29M
-17.21%11.52M
-17.21%11.52M
-9.34%11.48M
-7.68%13.91M
-7.68%13.91M
-24.22%12.66M
-Short-term investments
534.68%5.94M
1,037.66%5.9M
1,037.66%5.9M
78.51%936.1K
75.05%518.42K
75.05%518.42K
-82.13%524.4K
-85.43%296.16K
-85.43%296.16K
--2.93M
Receivables
-24.12%2.76M
-66.98%3.02M
-66.98%3.02M
-75.16%3.64M
-26.05%9.13M
-26.05%9.13M
23.74%14.65M
19.28%12.35M
19.28%12.35M
41.14%11.84M
-Accounts receivable
-17.91%2.76M
-62.31%2.55M
-62.31%2.55M
-65.25%3.36M
-26.53%6.77M
-26.53%6.77M
-7.11%9.68M
-10.69%9.22M
-10.69%9.22M
24.42%10.42M
-Loans receivable
--0
-84.69%281.69K
-84.69%281.69K
-88.69%275.81K
-30.84%1.84M
-30.84%1.84M
75.39%2.44M
--2.66M
--2.66M
--1.39M
-Accrued interest receivable
----
104.39%181.34K
104.39%181.34K
----
12.37%88.72K
12.37%88.72K
----
143.55%78.95K
143.55%78.95K
--29.95K
-Related party accounts receivable
----
--0
--0
--0
-42.35%226.18K
-42.35%226.18K
--2.53M
--392.31K
--392.31K
----
-Other receivables
----
----
----
----
--205.73K
--205.73K
----
----
----
----
Inventory
-41.45%300.64K
213.25%592.38K
213.25%592.38K
--513.46K
--189.11K
--189.11K
----
--0
--0
----
Prepaid assets
-8.59%1.03M
18.16%1.5M
18.16%1.5M
-2.88%1.13M
97.40%1.27M
97.40%1.27M
64.69%1.16M
-63.55%644.47K
-63.55%644.47K
5.05%705.72K
Current deferred assets
----
----
----
----
----
----
----
----
----
--800.46K
Other current assets
-62.76%390.37K
117.59%153.19K
117.59%153.19K
274.23%1.05M
48.98%70.4K
48.98%70.4K
29.62%280.14K
-49.82%47.26K
-49.82%47.26K
-81.35%216.13K
Total current assets
-9.96%16.71M
-17.59%18.71M
-17.59%18.71M
-33.98%18.55M
-16.69%22.7M
-16.69%22.7M
-3.64%28.1M
-7.91%27.25M
-7.91%27.25M
8.27%29.16M
Non current assets
Net PPE
52.96%5.78M
-30.68%4.02M
-30.68%4.02M
-31.25%3.78M
34.50%5.8M
34.50%5.8M
18.58%5.49M
55.95%4.31M
55.95%4.31M
109.21%4.63M
-Gross PPE
52.96%5.78M
-31.76%4.22M
-31.76%4.22M
-31.25%3.78M
24.88%6.18M
24.88%6.18M
8.15%5.49M
60.72%4.95M
60.72%4.95M
129.38%5.08M
-Accumulated depreciation
----
48.25%-196.58K
48.25%-196.58K
----
40.29%-379.88K
40.29%-379.88K
----
-102.67%-636.24K
-102.67%-636.24K
---446.57K
Goodwill and other intangible assets
-99.77%14.68K
-99.75%17.54K
-99.75%17.54K
1,744.52%6.48M
1,720.71%6.98M
1,720.71%6.98M
-10.64%351.15K
-4.71%383.61K
-4.71%383.61K
1.98%392.96K
-Goodwill
----
--0
--0
--5.49M
--5.77M
--5.77M
----
--0
--0
----
-Other intangible assets
-98.52%14.68K
-98.56%17.54K
-98.56%17.54K
182.24%991.08K
217.21%1.22M
217.21%1.22M
-10.64%351.15K
-4.71%383.61K
-4.71%383.61K
1.98%392.96K
Investments and advances
-7.24%1.12M
3.75%1.31M
3.75%1.31M
-39.28%1.21M
-41.03%1.26M
-41.03%1.26M
56.00%1.99M
70.27%2.14M
70.27%2.14M
--1.27M
Related parties assets
----
--0
--0
--0
-42.35%226.18K
-42.35%226.18K
--2.53M
--392.31K
--392.31K
----
Non current deferred assets
-18.56%417.48K
-80.81%357.88K
-80.81%357.88K
-75.67%512.62K
-14.33%1.86M
-14.33%1.86M
63.19%2.11M
173.61%2.18M
173.61%2.18M
53.01%1.29M
Non current prepaid assets
----
----
----
----
----
----
--597.19K
----
----
----
Other non current assets
----
----
----
----
----
----
--14.93K
----
----
----
Total non current assets
-38.80%7.33M
-64.14%5.71M
-64.14%5.71M
13.48%11.97M
76.51%15.91M
76.51%15.91M
39.00%10.55M
72.65%9.01M
72.65%9.01M
120.42%7.59M
Total assets
-21.27%24.03M
-36.77%24.42M
-36.77%24.42M
-21.02%30.53M
6.47%38.61M
6.47%38.61M
5.16%38.65M
4.17%36.27M
4.17%36.27M
20.99%36.75M
Liabilities
Current liabilities
Payables
798.67%1.23M
-54.27%1.32M
-54.27%1.32M
-94.75%136.99K
-7.56%2.9M
-7.56%2.9M
-17.67%2.61M
15.65%3.13M
15.65%3.13M
76.68%3.17M
-accounts payable
18,830.04%1.23M
385.63%683.94K
385.63%683.94K
-72.98%6.48K
261.73%140.83K
261.73%140.83K
-94.89%23.97K
-90.47%38.93K
-90.47%38.93K
106.29%469.24K
-Total tax payable
-95.90%5.36K
-94.67%142.48K
-94.67%142.48K
-94.95%130.51K
-13.64%2.67M
-13.64%2.67M
-4.26%2.59M
34.49%3.09M
34.49%3.09M
72.38%2.7M
-Other payable
----
497.58%498.19K
497.58%498.19K
----
--83.37K
--83.37K
----
----
----
----
Current accrued expenses
-2.98%807.98K
-23.24%227.88K
-23.24%227.88K
-6.95%832.84K
-1.46%296.87K
-1.46%296.87K
351.45%895.06K
89.06%301.26K
89.06%301.26K
-72.67%198.26K
Current debt and capital lease obligation
-44.18%215.54K
-50.84%236.29K
-50.84%236.29K
-4.76%386.13K
440.23%480.63K
440.23%480.63K
209.61%405.43K
43.13%88.97K
43.13%88.97K
-47.72%130.95K
-Current capital lease obligation
-44.18%215.54K
-50.84%236.29K
-50.84%236.29K
-4.76%386.13K
440.23%480.63K
440.23%480.63K
209.61%405.43K
43.13%88.97K
43.13%88.97K
-47.72%130.95K
Current deferred liabilities
32.18%508.88K
112.22%838.84K
112.22%838.84K
1,306.32%384.98K
5,218.39%395.26K
5,218.39%395.26K
-64.45%27.38K
9.94%7.43K
9.94%7.43K
-76.67%77K
Other current liabilities
----
-46.92%50.74K
-46.92%50.74K
----
67.17%95.6K
67.17%95.6K
----
29.16%57.19K
29.16%57.19K
--44.67K
Current liabilities
58.73%2.76M
-35.69%2.68M
-35.69%2.68M
-55.80%1.74M
16.07%4.17M
16.07%4.17M
8.75%3.94M
20.34%3.59M
20.34%3.59M
16.81%3.62M
Non current liabilities
Long term debt and capital lease obligation
-50.91%518.8K
-53.20%571.86K
-53.20%571.86K
-26.89%1.06M
985.21%1.22M
985.21%1.22M
11,224.57%1.45M
--112.59K
--112.59K
-28.61%12.76K
-Long term capital lease obligation
-50.91%518.8K
-53.20%571.86K
-53.20%571.86K
-26.89%1.06M
985.21%1.22M
985.21%1.22M
11,224.57%1.45M
--112.59K
--112.59K
-28.61%12.76K
Non current deferred liabilities
-94.38%31.27K
-38.40%128.25K
-38.40%128.25K
--556.04K
--208.2K
--208.2K
----
--0
--0
----
Total non current liabilities
-65.89%550.07K
-51.04%700.11K
-51.04%700.11K
11.58%1.61M
1,170.12%1.43M
1,170.12%1.43M
11,224.57%1.45M
--112.59K
--112.59K
-28.61%12.76K
Total liabilities
-1.20%3.31M
-39.62%3.38M
-39.62%3.38M
-37.71%3.35M
51.18%5.6M
51.18%5.6M
48.13%5.38M
24.11%3.7M
24.11%3.7M
16.55%3.63M
Shareholders'equity
Share capital
2.04%2.66K
0.08%2.61K
0.08%2.61K
0.08%2.6K
4.33%2.6K
4.33%2.6K
4.33%2.6K
0.08%2.5K
0.08%2.5K
0.08%2.49K
-common stock
2.04%2.66K
0.08%2.61K
0.08%2.61K
0.08%2.6K
4.33%2.6K
4.33%2.6K
4.33%2.6K
0.08%2.5K
0.08%2.5K
0.08%2.49K
Retained earnings
-1,090.75%-7.12M
-276.24%-7.27M
-276.24%-7.27M
-108.21%-597.55K
-42.57%4.12M
-42.57%4.12M
-12.79%7.27M
-2.16%7.18M
-2.16%7.18M
76.52%8.34M
Paid-in capital
0.40%25.16M
0.54%25.13M
0.54%25.13M
0.55%25.06M
8.75%25M
8.75%25M
9.00%24.92M
0.93%22.99M
0.93%22.99M
0.49%22.86M
Gains losses not affecting retained earnings
-114.37%-381.37K
-82.79%138.27K
-82.79%138.27K
-116.67%-177.9K
-66.48%803.19K
-66.48%803.19K
-44.12%1.07M
39.57%2.4M
39.57%2.4M
1,319.03%1.91M
Total stockholders'equity
-27.26%17.67M
-39.83%18.01M
-39.83%18.01M
-26.99%24.29M
-8.10%29.93M
-8.10%29.93M
0.45%33.27M
2.30%32.57M
2.30%32.57M
21.20%33.12M
Noncontrolling interests
5.86%3.05M
-1.93%3.03M
-1.93%3.03M
--2.88M
--3.09M
--3.09M
----
--0
--0
----
Total equity
-23.75%20.72M
-36.29%21.04M
-36.29%21.04M
-18.32%27.17M
1.39%33.02M
1.39%33.02M
0.45%33.27M
2.30%32.57M
2.30%32.57M
21.49%33.12M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -0.02%12.22M11.69%13.45M11.69%13.45M1.81%12.22M-15.29%12.04M-15.29%12.04M-23.03%12.01M-16.92%14.21M-16.92%14.21M-6.67%15.6M
-Cash and cash equivalents -44.36%6.28M-34.48%7.55M-34.48%7.55M-1.69%11.29M-17.21%11.52M-17.21%11.52M-9.34%11.48M-7.68%13.91M-7.68%13.91M-24.22%12.66M
-Short-term investments 534.68%5.94M1,037.66%5.9M1,037.66%5.9M78.51%936.1K75.05%518.42K75.05%518.42K-82.13%524.4K-85.43%296.16K-85.43%296.16K--2.93M
Receivables -24.12%2.76M-66.98%3.02M-66.98%3.02M-75.16%3.64M-26.05%9.13M-26.05%9.13M23.74%14.65M19.28%12.35M19.28%12.35M41.14%11.84M
-Accounts receivable -17.91%2.76M-62.31%2.55M-62.31%2.55M-65.25%3.36M-26.53%6.77M-26.53%6.77M-7.11%9.68M-10.69%9.22M-10.69%9.22M24.42%10.42M
-Loans receivable --0-84.69%281.69K-84.69%281.69K-88.69%275.81K-30.84%1.84M-30.84%1.84M75.39%2.44M--2.66M--2.66M--1.39M
-Accrued interest receivable ----104.39%181.34K104.39%181.34K----12.37%88.72K12.37%88.72K----143.55%78.95K143.55%78.95K--29.95K
-Related party accounts receivable ------0--0--0-42.35%226.18K-42.35%226.18K--2.53M--392.31K--392.31K----
-Other receivables ------------------205.73K--205.73K----------------
Inventory -41.45%300.64K213.25%592.38K213.25%592.38K--513.46K--189.11K--189.11K------0--0----
Prepaid assets -8.59%1.03M18.16%1.5M18.16%1.5M-2.88%1.13M97.40%1.27M97.40%1.27M64.69%1.16M-63.55%644.47K-63.55%644.47K5.05%705.72K
Current deferred assets --------------------------------------800.46K
Other current assets -62.76%390.37K117.59%153.19K117.59%153.19K274.23%1.05M48.98%70.4K48.98%70.4K29.62%280.14K-49.82%47.26K-49.82%47.26K-81.35%216.13K
Total current assets -9.96%16.71M-17.59%18.71M-17.59%18.71M-33.98%18.55M-16.69%22.7M-16.69%22.7M-3.64%28.1M-7.91%27.25M-7.91%27.25M8.27%29.16M
Non current assets
Net PPE 52.96%5.78M-30.68%4.02M-30.68%4.02M-31.25%3.78M34.50%5.8M34.50%5.8M18.58%5.49M55.95%4.31M55.95%4.31M109.21%4.63M
-Gross PPE 52.96%5.78M-31.76%4.22M-31.76%4.22M-31.25%3.78M24.88%6.18M24.88%6.18M8.15%5.49M60.72%4.95M60.72%4.95M129.38%5.08M
-Accumulated depreciation ----48.25%-196.58K48.25%-196.58K----40.29%-379.88K40.29%-379.88K-----102.67%-636.24K-102.67%-636.24K---446.57K
Goodwill and other intangible assets -99.77%14.68K-99.75%17.54K-99.75%17.54K1,744.52%6.48M1,720.71%6.98M1,720.71%6.98M-10.64%351.15K-4.71%383.61K-4.71%383.61K1.98%392.96K
-Goodwill ------0--0--5.49M--5.77M--5.77M------0--0----
-Other intangible assets -98.52%14.68K-98.56%17.54K-98.56%17.54K182.24%991.08K217.21%1.22M217.21%1.22M-10.64%351.15K-4.71%383.61K-4.71%383.61K1.98%392.96K
Investments and advances -7.24%1.12M3.75%1.31M3.75%1.31M-39.28%1.21M-41.03%1.26M-41.03%1.26M56.00%1.99M70.27%2.14M70.27%2.14M--1.27M
Related parties assets ------0--0--0-42.35%226.18K-42.35%226.18K--2.53M--392.31K--392.31K----
Non current deferred assets -18.56%417.48K-80.81%357.88K-80.81%357.88K-75.67%512.62K-14.33%1.86M-14.33%1.86M63.19%2.11M173.61%2.18M173.61%2.18M53.01%1.29M
Non current prepaid assets --------------------------597.19K------------
Other non current assets --------------------------14.93K------------
Total non current assets -38.80%7.33M-64.14%5.71M-64.14%5.71M13.48%11.97M76.51%15.91M76.51%15.91M39.00%10.55M72.65%9.01M72.65%9.01M120.42%7.59M
Total assets -21.27%24.03M-36.77%24.42M-36.77%24.42M-21.02%30.53M6.47%38.61M6.47%38.61M5.16%38.65M4.17%36.27M4.17%36.27M20.99%36.75M
Liabilities
Current liabilities
Payables 798.67%1.23M-54.27%1.32M-54.27%1.32M-94.75%136.99K-7.56%2.9M-7.56%2.9M-17.67%2.61M15.65%3.13M15.65%3.13M76.68%3.17M
-accounts payable 18,830.04%1.23M385.63%683.94K385.63%683.94K-72.98%6.48K261.73%140.83K261.73%140.83K-94.89%23.97K-90.47%38.93K-90.47%38.93K106.29%469.24K
-Total tax payable -95.90%5.36K-94.67%142.48K-94.67%142.48K-94.95%130.51K-13.64%2.67M-13.64%2.67M-4.26%2.59M34.49%3.09M34.49%3.09M72.38%2.7M
-Other payable ----497.58%498.19K497.58%498.19K------83.37K--83.37K----------------
Current accrued expenses -2.98%807.98K-23.24%227.88K-23.24%227.88K-6.95%832.84K-1.46%296.87K-1.46%296.87K351.45%895.06K89.06%301.26K89.06%301.26K-72.67%198.26K
Current debt and capital lease obligation -44.18%215.54K-50.84%236.29K-50.84%236.29K-4.76%386.13K440.23%480.63K440.23%480.63K209.61%405.43K43.13%88.97K43.13%88.97K-47.72%130.95K
-Current capital lease obligation -44.18%215.54K-50.84%236.29K-50.84%236.29K-4.76%386.13K440.23%480.63K440.23%480.63K209.61%405.43K43.13%88.97K43.13%88.97K-47.72%130.95K
Current deferred liabilities 32.18%508.88K112.22%838.84K112.22%838.84K1,306.32%384.98K5,218.39%395.26K5,218.39%395.26K-64.45%27.38K9.94%7.43K9.94%7.43K-76.67%77K
Other current liabilities -----46.92%50.74K-46.92%50.74K----67.17%95.6K67.17%95.6K----29.16%57.19K29.16%57.19K--44.67K
Current liabilities 58.73%2.76M-35.69%2.68M-35.69%2.68M-55.80%1.74M16.07%4.17M16.07%4.17M8.75%3.94M20.34%3.59M20.34%3.59M16.81%3.62M
Non current liabilities
Long term debt and capital lease obligation -50.91%518.8K-53.20%571.86K-53.20%571.86K-26.89%1.06M985.21%1.22M985.21%1.22M11,224.57%1.45M--112.59K--112.59K-28.61%12.76K
-Long term capital lease obligation -50.91%518.8K-53.20%571.86K-53.20%571.86K-26.89%1.06M985.21%1.22M985.21%1.22M11,224.57%1.45M--112.59K--112.59K-28.61%12.76K
Non current deferred liabilities -94.38%31.27K-38.40%128.25K-38.40%128.25K--556.04K--208.2K--208.2K------0--0----
Total non current liabilities -65.89%550.07K-51.04%700.11K-51.04%700.11K11.58%1.61M1,170.12%1.43M1,170.12%1.43M11,224.57%1.45M--112.59K--112.59K-28.61%12.76K
Total liabilities -1.20%3.31M-39.62%3.38M-39.62%3.38M-37.71%3.35M51.18%5.6M51.18%5.6M48.13%5.38M24.11%3.7M24.11%3.7M16.55%3.63M
Shareholders'equity
Share capital 2.04%2.66K0.08%2.61K0.08%2.61K0.08%2.6K4.33%2.6K4.33%2.6K4.33%2.6K0.08%2.5K0.08%2.5K0.08%2.49K
-common stock 2.04%2.66K0.08%2.61K0.08%2.61K0.08%2.6K4.33%2.6K4.33%2.6K4.33%2.6K0.08%2.5K0.08%2.5K0.08%2.49K
Retained earnings -1,090.75%-7.12M-276.24%-7.27M-276.24%-7.27M-108.21%-597.55K-42.57%4.12M-42.57%4.12M-12.79%7.27M-2.16%7.18M-2.16%7.18M76.52%8.34M
Paid-in capital 0.40%25.16M0.54%25.13M0.54%25.13M0.55%25.06M8.75%25M8.75%25M9.00%24.92M0.93%22.99M0.93%22.99M0.49%22.86M
Gains losses not affecting retained earnings -114.37%-381.37K-82.79%138.27K-82.79%138.27K-116.67%-177.9K-66.48%803.19K-66.48%803.19K-44.12%1.07M39.57%2.4M39.57%2.4M1,319.03%1.91M
Total stockholders'equity -27.26%17.67M-39.83%18.01M-39.83%18.01M-26.99%24.29M-8.10%29.93M-8.10%29.93M0.45%33.27M2.30%32.57M2.30%32.57M21.20%33.12M
Noncontrolling interests 5.86%3.05M-1.93%3.03M-1.93%3.03M--2.88M--3.09M--3.09M------0--0----
Total equity -23.75%20.72M-36.29%21.04M-36.29%21.04M-18.32%27.17M1.39%33.02M1.39%33.02M0.45%33.27M2.30%32.57M2.30%32.57M21.49%33.12M
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