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Ispire Technology Inc

ISPR

2.600USD

-0.140-5.11%
Close 08/01, 16:00ETQuotes delayed by 15 min
148.55MMarket Cap
LossP/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q1
FY2022Q4
FY2022Q3
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-472.63%-12.50M
56.72%-3.18M
127.51%3.61M
85.86%-1.42M
146.53%3.35M
---7.35M
-686.91%-13.12M
-161.25%-10.07M
54.03%-7.21M
--2.24M
--16.45M
---15.68M
Net income from continuing operations
-82.47%-10.86M
-98.86%-8.00M
-317.04%-5.60M
-129.43%-3.42M
-281.01%-5.95M
---4.02M
32.98%-1.34M
31.04%-1.49M
-57.65%-1.56M
---2.00M
---2.16M
---990.56K
Operating gains losses
800.31%570.67K
1062.45%534.71K
54.12%488.00K
6023.98%1.58M
203.60%63.39K
--46.00K
4732.02%316.64K
296.98%25.78K
613.53%20.88K
--6.55K
--6.50K
--2.93K
Other non-cash items
395.98%6.10M
143.49%4.18M
1308.41%3.18M
27.95%2.73M
967.15%1.23M
--1.72M
-12.14%225.49K
2752.84%2.14M
-310.10%-141.91K
--256.66K
---80.55K
--67.55K
Change in working capital
-262.39%-10.02M
79.24%-1.45M
126.02%3.46M
61.63%-4.12M
211.63%6.17M
---6.98M
-434.40%-13.29M
-157.51%-10.74M
62.56%-5.53M
--3.97M
--18.68M
---14.76M
-Change in receivables
130.88%1.17M
-18.30%-9.53M
61.07%-5.73M
-43.78%-14.75M
-353.55%-3.79M
---8.05M
-148.59%-14.71M
-808.33%-10.26M
158.87%1.50M
---5.92M
--1.45M
---2.54M
-Change in inventory
107.86%181.07K
53.31%-966.18K
-137.59%-700.32K
-49.57%3.41M
-137.97%-2.30M
---2.07M
138.98%1.86M
245.29%6.77M
731.79%6.07M
---4.78M
---4.66M
---960.44K
-Change in prepaid expenses
-90.88%139.69K
40.04%-841.34K
-100.89%-14.32K
107.72%204.91K
2068.82%1.53M
---1.40M
6561.83%1.60M
-5321.05%-2.66M
78.66%-77.82K
---24.81K
---48.98K
---364.63K
-Change in other current liabilities
-96.99%-549.99K
-134.34%-119.48K
-131.05%-87.40K
260.28%898.46K
-1.61%-279.20K
--347.90K
128.21%281.53K
245.66%249.38K
-117.27%-274.77K
---997.91K
--72.14K
--1.59M
Cash from non-recurring investing activities
Cash from operating activities
-472.63%-12.50M
56.72%-3.18M
127.51%3.61M
85.86%-1.42M
146.53%3.35M
---7.35M
-686.91%-13.12M
-161.25%-10.07M
54.03%-7.21M
--2.24M
--16.45M
---15.68M
Investing cash flow
Net cash from continuing investing activities
-156.32%-181.81K
-83.34%178.81K
17.30%925.20K
82.28%958.25K
1845.50%322.80K
--1.07M
142.89%788.77K
92453.35%525.70K
-77.46%16.59K
--324.75K
--568.00
--73.60K
Capital expenditures
-100.00%0.00
-83.34%178.81K
17.30%925.20K
82.28%958.25K
1845.50%322.80K
--1.07M
142.89%788.77K
92453.35%525.70K
-77.46%16.59K
--324.75K
--568.00
--73.60K
Net cash flow from disposal of fixed assets
-342.10%-181.81K
-90.97%53.98K
-49.58%268.78K
45.38%764.25K
352.60%75.10K
--597.50K
64.17%533.12K
92453.35%525.70K
-77.46%16.59K
--324.75K
--568.00
--73.60K
Net cash flow from intangible asset transactions
-100.00%0.00
-73.77%124.83K
156.77%656.42K
--194.01K
--247.70K
--475.94K
--255.65K
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Net cash flow from investment products
-109.43%-767.28K
----
----
-524.89%-2.00M
184.69%8.13M
----
----
--470.71K
---9.60M
----
----
----
Cash from non-current investing activities
Net cash flow from investing activities
-107.50%-585.48K
83.34%-178.81K
-17.30%-925.20K
-5279.42%-2.96M
181.19%7.81M
---1.07M
-142.89%-788.77K
-9581.69%-54.99K
-12971.49%-9.62M
---324.75K
---568.00
---73.60K
Financing cash flow
Cash flow from continuous financing activities
-78.87%2.28M
-100.00%0.00
100.00%0.00
-100.00%-1.00
124.85%10.79M
--242.18K
-141.40%-703.32K
1240.78%26.39M
-2781.25%-43.40M
---291.35K
---2.31M
--1.62M
Net cash flow from debt Issuance/repayment
--2.34M
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Net cash flow from common stock issuance/repurchase
-100.49%-60.49K
----
----
-100.00%0.00
--12.30M
----
----
--21.73M
----
----
----
----
Net cash flow from other financing activities
----
----
100.00%0.00
-100.00%-1.00
96.51%-1.51M
--242.18K
-141.40%-703.32K
301.32%4.66M
-2781.25%-43.40M
---291.35K
---2.31M
--1.62M
Net cash from non-recurrent financing activities
Net cash from financing activities
-78.87%2.28M
-100.00%0.00
100.00%0.00
-100.00%-1.00
124.85%10.79M
--242.18K
-141.40%-703.32K
1240.78%26.39M
-2781.25%-43.40M
---291.35K
---2.31M
--1.62M
Net cash flow
Beginning cash balance
96.51%34.40M
46.99%37.76M
-12.98%35.07M
64.15%39.45M
-79.23%17.50M
--25.69M
-45.89%40.30M
-60.17%24.04M
13.13%84.27M
--74.48M
--60.35M
--74.48M
Current period cash flow changes
-149.22%-10.80M
58.93%-3.36M
118.37%2.68M
-126.94%-4.38M
136.44%21.95M
---8.18M
-1002.28%-14.61M
15.09%16.26M
-326.11%-60.23M
--1.62M
--14.13M
---14.14M
Ending cash balance
-40.21%23.59M
96.51%34.40M
46.99%37.76M
-12.98%35.07M
64.15%39.45M
--17.50M
-66.25%25.69M
-45.89%40.30M
-60.17%24.04M
--76.10M
--74.48M
--60.35M
Free cash flow
-512.31%-12.50M
60.11%-3.36M
119.30%2.68M
77.52%-2.38M
141.95%3.03M
---8.43M
-827.92%-13.91M
-164.45%-10.60M
54.14%-7.22M
--1.91M
--16.45M
---15.75M
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