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Jowell Global Ltd

JWEL

2.210USD

+0.037+1.70%
Market hours ETQuotes delayed by 15 min
4.80MMarket Cap
--P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
123.26%831.20K
99.59%-41.01K
-185.21%-3.57M
38.73%-9.92M
338.54%4.19M
0.55%-16.19M
-146.05%-1.76M
-314.04%-16.28M
---714.56K
--7.60M
Net income from continuing operations
3.81%-4.24M
47.07%-3.77M
-25.94%-4.40M
11.44%-7.12M
38.57%-3.50M
-1052.81%-8.03M
-306.62%-5.69M
-183.78%-696.99K
--2.75M
--831.89K
Operating gains losses
34.00%370.18K
-20.78%160.68K
64.22%276.26K
3.79%202.82K
26.73%168.23K
270.55%195.42K
1162.92%132.75K
242.12%52.74K
--10.51K
--15.41K
Deferred tax
-76.43%30.58K
----
218.52%129.76K
100.00%0.00
58.41%-109.49K
---311.03K
-3646.87%-263.25K
100.00%0.00
--7.42K
---13.47K
Other non-cash items
306.37%1.96M
-9.25%501.60K
-63.76%482.87K
-71.02%552.70K
9.90%1.33M
324.95%1.91M
855.86%1.21M
733.20%448.80K
--126.85K
--53.86K
Change in working capital
2695.63%2.69M
168.93%2.87M
-101.92%-103.64K
61.84%-4.17M
167.12%5.41M
32.03%-10.93M
156.04%2.02M
-339.47%-16.08M
---3.61M
--6.71M
-Change in receivables
-73.50%396.16K
-95.38%88.74K
219.49%1.49M
873.00%1.92M
-29924.51%-1.25M
94.44%-248.66K
100.45%4.20K
---4.48M
---936.05K
----
-Change in inventory
-141.59%-4.15M
176.27%3.65M
843.43%9.98M
-176.44%-4.79M
-150.62%-1.34M
77.33%-1.73M
153.11%2.65M
-1705.64%-7.64M
---4.99M
--475.56K
-Change in prepaid expenses
-243.35%-749.29K
207.34%301.52K
129.41%522.69K
-879.98%-280.89K
17.17%227.84K
102.29%36.01K
290.58%194.45K
-589.67%-1.57M
---102.03K
--320.58K
-Change in other current assets
308.30%19.52M
-152.95%-9.27M
-41.95%-9.37M
253.88%17.52M
-329.84%-6.60M
-102.67%-11.38M
352.28%2.87M
-181.88%-5.62M
---1.14M
--6.86M
-Change in other current liabilities
-8090.03%-9.37M
159.50%9.42M
-99.21%117.25K
-851.12%-15.83M
2132.98%14.82M
288.78%2.11M
-220.71%-729.02K
220.50%542.04K
--603.93K
---449.82K
Cash from non-recurring investing activities
Cash from operating activities
123.26%831.20K
99.59%-41.01K
-185.21%-3.57M
38.73%-9.92M
338.54%4.19M
0.55%-16.19M
-146.05%-1.76M
-314.04%-16.28M
---714.56K
--7.60M
Investing cash flow
Net cash from continuing investing activities
38.59%112.50K
117.84%11.47K
-87.54%81.17K
-109.36%-64.26K
-14.49%651.63K
151.21%686.56K
89242.09%762.09K
56955.53%273.30K
--853.00
--479.00
Capital expenditures
38.45%112.50K
-33.38%11.47K
-88.01%81.25K
-97.49%17.21K
-11.07%677.70K
151.21%686.56K
89242.09%762.09K
56955.53%273.30K
--853.00
--479.00
Net cash flow from disposal of fixed assets
33.41%108.40K
113.28%9.19K
411.66%81.25K
-110.08%-69.21K
-107.51%-26.07K
162.40%686.56K
40622.74%347.37K
54524.01%261.65K
--853.00
--479.00
Net cash flow from intangible asset transactions
4861.63%4.09K
-54.02%2.28K
-100.01%-86.00
--4.95K
63.41%677.70K
-100.00%0.00
--414.72K
--11.65K
--0.00
--0.00
Net cash flow from investment products
----
----
---25.47K
----
----
----
---4.65M
----
----
----
Net cash flow from other investing activities
----
----
--3.18M
---3.18M
----
100.00%0.00
-707.42%-931.87K
---20.00K
---115.41K
----
Cash from non-current investing activities
Net cash flow from investing activities
-103.66%-112.50K
99.63%-11.47K
571.24%3.07M
-353.43%-3.11M
89.73%-651.63K
-134.08%-686.56K
-5356.50%-6.34M
-61130.90%-293.30K
---116.27K
---479.00
Financing cash flow
Cash flow from continuous financing activities
1013.41%306.14K
79.73%-324.14K
-100.93%-33.52K
-125.29%-1.60M
646.98%3.61M
-77.31%6.32M
-106.09%-660.80K
45892.43%27.87M
--10.86M
---60.87K
Net cash flow from debt Issuance/repayment
1013.41%306.14K
79.73%-324.14K
-568.30%-33.52K
-3406.60%-1.60M
-13.40%7.16K
-98.16%48.37K
--8.26K
--2.63M
----
----
Net cash flow from common stock issuance/repurchase
----
----
----
----
--9.88M
-100.00%0.00
-100.00%0.00
--25.69M
--10.00M
----
Proceeds from stock option exercised by employees
----
----
----
----
----
----
---155.85K
--155.85K
----
----
Net cash flow from other financing activities
----
----
----
----
-1122.90%-6.28M
1154.61%6.28M
-159.99%-513.21K
-877.69%-595.10K
--855.45K
---60.87K
Net cash from non-recurrent financing activities
Net cash from financing activities
1013.41%306.14K
79.73%-324.14K
-100.93%-33.52K
-125.29%-1.60M
646.98%3.61M
-77.31%6.32M
-106.09%-660.80K
45892.43%27.87M
--10.86M
---60.87K
Net cash flow
Beginning cash balance
-59.40%805.34K
-92.52%1.25M
-80.73%1.98M
-21.33%16.72M
-65.42%10.29M
16.47%21.25M
296.79%29.77M
158392.36%18.24M
--7.50M
--11.51K
Current period cash flow changes
288.07%1.38M
96.98%-444.94K
-111.42%-733.55K
-34.50%-14.73M
175.37%6.42M
-195.03%-10.95M
-179.34%-8.52M
53.88%11.53M
--10.74M
--7.49M
Effect of exchange rate changes
280.01%354.74K
34.02%-68.32K
73.13%-197.07K
74.48%-103.55K
-404.55%-733.48K
-281.09%-405.75K
-66.37%240.84K
540.26%224.06K
--716.22K
---50.89K
Ending cash balance
74.75%2.18M
-59.40%805.34K
-92.52%1.25M
-80.73%1.98M
-21.33%16.72M
-65.42%10.29M
16.47%21.25M
296.79%29.77M
--18.24M
--7.50M
Free cash flow
119.66%718.70K
99.47%-52.48K
-203.94%-3.65M
41.12%-9.94M
239.52%3.52M
-1.96%-16.87M
-252.28%-2.52M
-317.65%-16.55M
---715.41K
--7.60M
Currency unit
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