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Markets
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Stocks
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nasdaq-raya
/
Erayak Power Solution Group Inc
RAYA
0.060
USD
-0.001
-1.65%
Close 09/19, 16:00(ET)
Quotes delayed by 15 min
USD
0.000
After-hours (ET)
3.02M
Market Cap
--
P/E TTM
Erayak Power Solution Group Inc
0.060
-0.001
-1.65%
Overview
Company
Financials
Analysis
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Analysis
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H1
FY2020H1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-336.60%
-3.02M
-335.76%
-12.86M
123.77%
1.28M
349.49%
5.45M
--
-5.36M
-57.48%
1.21M
282.12%
2.85M
--
-1.57M
Net income from continuing operations
-107.72%
-57.44K
-322.77%
-1.06M
-42.15%
743.54K
-78.31%
475.17K
--
1.29M
55.56%
2.19M
103.07%
1.41M
--
693.44K
Operating gains losses
68.24%
337.65K
10.06%
206.16K
35.61%
200.70K
53.76%
187.31K
--
148.00K
15.93%
121.82K
56.86%
105.07K
--
66.99K
Deferred tax
--
-70.35K
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Other non-cash items
211.63%
920.89K
-14.30%
289.47K
34.34%
295.51K
24.12%
337.77K
--
219.97K
-0.08%
272.13K
8.69%
272.36K
--
250.59K
Change in working capital
-11730.38%
-4.15M
-377.19%
-12.30M
100.51%
35.66K
416.96%
4.44M
--
-7.02M
-234.50%
-1.40M
139.92%
1.04M
--
-2.61M
-Change in receivables
-822.27%
-3.27M
-218.36%
-4.34M
93.15%
-354.49K
207.56%
3.67M
--
-5.18M
-362.81%
-3.41M
133.80%
1.30M
--
-3.84M
-Change in inventory
1284.71%
432.93K
-158.91%
-2.73M
98.50%
-36.54K
-370.70%
-1.05M
--
-2.43M
82.63%
-224.04K
-656.07%
-1.29M
--
231.96K
-Change in prepaid expenses
64.28%
-1.43M
-301.99%
-5.52M
-2824.88%
-4.01M
48.97%
2.73M
--
-136.98K
551.09%
1.83M
114.71%
281.58K
--
131.14K
-Change in other current assets
--
--
-100.00%
0.00
97.91%
-3.61K
--
167.43K
--
-172.39K
--
--
-100.00%
0.00
--
20.12K
-Change in other current liabilities
-3197.43%
-272.27K
270.77%
556.64K
-106.70%
-8.26K
-453.23%
-325.97K
--
123.20K
-40.47%
92.28K
96.24%
155.02K
--
79.00K
Cash from non-recurring investing activities
Cash from operating activities
-336.60%
-3.02M
-335.76%
-12.86M
123.77%
1.28M
349.49%
5.45M
--
-5.36M
-57.48%
1.21M
282.12%
2.85M
--
-1.57M
Investing cash flow
Net cash from continuing investing activities
98.79%
-46.95K
54.50%
601.85K
-182.16%
-3.88M
126.22%
389.53K
--
4.72M
12.01%
172.19K
540.47%
153.73K
--
24.00K
Capital expenditures
-88.43%
37.08K
54.50%
601.85K
-93.22%
320.37K
126.22%
389.53K
--
4.72M
12.01%
172.19K
540.47%
153.73K
--
24.00K
Net cash flow from disposal of fixed assets
97.85%
-84.03K
54.50%
601.85K
-182.70%
-3.91M
126.22%
389.53K
--
4.72M
12.12%
172.19K
926.65%
153.58K
--
14.96K
Net cash flow from intangible asset transactions
44.35%
37.08K
--
--
--
25.69K
--
--
--
--
-100.00%
0.00
-98.29%
155.00
--
9.04K
Net cash flow from investment products
-589.17%
-416.92K
100.00%
0.00
--
85.23K
--
-3.95M
--
--
--
--
--
--
--
--
Net cash flow from other investing activities
--
--
--
--
--
-1.00M
--
--
--
--
--
--
--
--
--
--
Cash from non-current investing activities
Net cash flow from investing activities
-112.47%
-369.97K
86.15%
-601.85K
162.79%
2.97M
-2422.95%
-4.34M
--
-4.72M
-12.01%
-172.19K
-540.47%
-153.73K
--
-24.00K
Financing cash flow
Cash flow from continuous financing activities
161.71%
3.59M
1520.11%
8.79M
-154.36%
-5.82M
-200.51%
-619.02K
--
10.70M
123.24%
615.87K
-413.67%
-2.65M
--
844.88K
Net cash flow from debt Issuance/repayment
128.27%
2.23M
285.52%
835.06K
-849.10%
-7.89M
-545.10%
-450.11K
--
1.05M
103.84%
101.12K
-51877.49%
-2.63M
--
5.08K
Net cash flow from common stock issuance/repurchase
--
0.00
--
8.00M
--
--
--
--
--
10.08M
--
--
--
--
--
--
Net cash flow from other financing activities
-34.41%
1.36M
73.81%
-44.24K
582.42%
2.07M
-132.82%
-168.92K
--
-429.62K
2910.98%
514.75K
-102.18%
-18.31K
--
839.79K
Net cash from non-recurrent financing activities
Net cash from financing activities
161.71%
3.59M
1520.11%
8.79M
-154.36%
-5.82M
-200.51%
-619.02K
--
10.70M
123.24%
615.87K
-413.67%
-2.65M
--
844.88K
Net cash flow
Beginning cash balance
-84.82%
1.10M
-16.82%
5.88M
11.44%
7.27M
36.57%
7.07M
--
6.53M
27.39%
5.17M
301.39%
4.06M
--
1.01M
Current period cash flow changes
115.83%
220.87K
-2413.17%
-4.77M
-358.38%
-1.40M
-84.73%
206.41K
--
540.00K
1345.32%
1.35M
112.34%
93.51K
--
-757.72K
Effect of exchange rate changes
-90.55%
17.19K
63.69%
-103.47K
341.37%
181.91K
6.77%
-284.96K
--
-75.37K
-808.61%
-305.64K
481.10%
43.13K
--
-11.32K
Ending cash balance
-77.46%
1.32M
-84.82%
1.10M
-16.82%
5.88M
11.45%
7.27M
--
7.07M
57.05%
6.53M
1534.22%
4.16M
--
254.28K
Free cash flow
-419.88%
-3.05M
-365.77%
-13.46M
109.46%
954.65K
386.41%
5.07M
--
-10.09M
-61.44%
1.04M
269.71%
2.70M
--
-1.59M
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
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