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Taoping Inc

TAOP

4.489USD

-0.011-0.25%
Close 07/17, 16:00ETQuotes delayed by 15 min
2.00MMarket Cap
--P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017H2
FY2017Q1
FY2017H1
FY2016H2
FY2016H1
FY2015H2
FY2015H1
FY2014H2
FY2014H1
FY2013H2
FY2013H1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
108.90%147.41K
-277.76%-2.53M
30.35%-1.66M
86.95%-670.27K
-1431.06%-2.38M
68.56%-5.13M
129.48%178.60K
-1287.34%-16.33M
33.86%-605.90K
-53.66%-1.18M
---916.14K
---765.96K
-97.86%78.77K
95.61%1.77M
-28.96%723.46K
91.11%-94.11K
--3.68M
--902.64K
--1.02M
151.86%4.58M
---1.06M
99.14%-40.07K
120.81%1.82M
68.07%-4.64M
-11.13%-8.74M
-212.39%-14.53M
-373.50%-7.86M
65.59%-4.65M
--2.87M
---13.52M
--1.00M
--4.55M
---14.13M
---608.54K
Net income from continuing operations
-316.74%-2.41M
132.54%588.74K
121.87%1.11M
9.57%-1.81M
-211.92%-5.08M
86.17%-2.00M
143.69%4.54M
-82.16%-14.46M
-486.29%-10.39M
-335.82%-7.94M
---1.77M
---1.82M
28.18%-158.29K
-111.86%-135.84K
23.00%2.07M
105.87%98.11K
---220.39K
--1.15M
--1.69M
108.20%924.88K
---1.67M
100.20%14.43K
-2086.58%-11.29M
0.18%-7.24M
98.24%-516.13K
-1357.37%-7.25M
57.73%-29.25M
99.06%-497.59K
---69.21M
---52.99M
---48.44M
---21.55M
---17.56M
---3.07M
Operating gains losses
-37.87%921.21K
-20.82%1.20M
-68.34%1.48M
-62.42%1.51M
372.24%4.68M
48.18%4.02M
-47.09%991.81K
69.01%2.71M
32.05%1.87M
8.35%1.61M
--1.42M
--1.48M
-1.75%791.62K
30.47%944.31K
57.43%1.06M
34.42%882.86K
--805.69K
--723.80K
--670.62K
-79.28%1.53M
--656.80K
-54.41%1.33M
-48.10%7.38M
136.62%2.91M
61.63%14.22M
-44.06%1.23M
-65.88%8.80M
-85.59%2.20M
--25.79M
--15.26M
--2.82M
--4.03M
--3.53M
--3.45M
Deferred tax
----
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----
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----
----
----
----
----
----
----
--0.00
----
----
----
--0.00
--0.00
----
-100.00%0.00
----
100.00%0.00
-85.34%466.51K
-123.75%-101.11K
186.89%3.18M
145.18%425.75K
-346.60%-3.66M
-367.85%-942.31K
--1.48M
--351.80K
--1.12M
---67.43K
---554.51K
---195.47K
Other non-cash items
146.38%2.56M
42.52%1.40M
-51.42%1.04M
5.55%982.37K
289.17%2.14M
-86.05%930.71K
-113.90%-1.13M
9.88%6.67M
283.80%8.14M
250.77%6.07M
--2.12M
--1.73M
11.20%375.00K
2564.76%505.15K
-130.82%-31.41K
-109.70%-30.92K
--337.24K
---20.50K
--101.90K
-81.59%316.74K
--318.64K
-55.49%420.53K
-44.53%1.72M
377.06%944.82K
-67.53%3.10M
-133.20%-341.01K
-71.63%9.55M
-97.00%1.03M
--33.67M
--34.25M
--38.14M
--23.28M
--10.24M
--1.83M
Change in working capital
64.78%-1.94M
-108.21%-5.87M
-41.05%-5.51M
66.77%-2.82M
-115.42%-3.91M
50.00%-8.48M
-62.94%-1.81M
-1298.55%-16.95M
62.16%-1.11M
51.13%-1.21M
---2.94M
---2.48M
-142.29%-1.09M
127.11%299.18K
-60.40%-2.53M
-157.28%-1.21M
--2.58M
---1.10M
---1.57M
457.01%1.48M
---470.46K
-40.64%-2.05M
109.64%265.70K
83.70%-1.45M
-308.28%-2.76M
-36.92%-8.92M
-63.81%1.32M
37.27%-6.52M
--3.66M
---10.39M
--7.36M
---1.14M
---9.78M
---2.70M
-Change in receivables
93.85%-561.78K
-251.56%-3.37M
-142.10%-9.14M
327.75%2.23M
-447.44%-3.77M
108.10%520.53K
79.78%-689.46K
-1172.13%-6.42M
-204.24%-3.41M
86.79%-504.86K
--3.27M
---3.82M
-12.86%-3.20M
-164.44%-1.45M
-49.55%-3.02M
-23.32%1.01M
---2.84M
--2.25M
---2.02M
54.87%-589.76K
--1.31M
-129.89%-709.98K
-219.49%-1.31M
179.56%2.38M
-92.03%1.09M
106.60%849.59K
4151.95%13.72M
-669.30%-12.87M
---338.50K
---1.67M
---746.21K
---3.21M
---1.38M
---3.36M
-Change in inventory
-185.69%-3.32M
67.32%-1.85M
63.66%3.88M
-149.86%-5.66M
74.18%2.37M
-89.81%-2.27M
4251.86%1.36M
-4400.68%-1.19M
-44.92%31.24K
-81.56%27.76K
--56.72K
--150.51K
-125.44%-241.83K
-117.15%-38.39K
47.75%-24.84K
96.79%-15.22K
--950.63K
--223.84K
---47.53K
-7.38%1.17M
---474.01K
71.93%-521.54K
-59.31%1.27M
-2768.01%-1.86M
-38.10%3.12M
-106.58%-64.79K
131.87%5.03M
165.03%984.64K
--2.17M
---1.51M
--4.97M
--1.86M
--439.18K
---3.69M
-Change in prepaid expenses
----
----
----
-100.00%0.00
-142.26%-296.52K
142.26%296.52K
--701.61K
---701.61K
----
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----
----
----
----
----
----
----
----
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----
----
----
----
----
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----
----
----
----
----
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-Change in payables and accrued expense
----
----
----
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----
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----
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----
----
----
----
----
----
----
----
----
----
55.17%-2.07M
-140.59%-324.77K
-405.64%-4.61M
-80.30%800.10K
---911.45K
--4.06M
--503.82K
---1.32M
---4.67M
--5.42M
-Change in other current assets
-19.01%364.28K
-7.22%435.38K
166.71%449.81K
113.86%469.27K
75.53%-674.29K
-315.44%-3.38M
-705.06%-2.76M
-338.05%-814.77K
92.12%-342.27K
--342.27K
---4.34M
----
--0.00
----
----
----
--0.00
--0.00
----
-100.00%0.00
----
-100.00%0.00
-87.10%121.20K
-65.97%3.68M
518.04%939.35K
937.99%10.82M
-103.06%-224.71K
79.59%-1.29M
--7.34M
---6.33M
--2.28M
--1.59M
---3.96M
--346.88K
-Change in other current liabilities
57914.74%1.98M
-521.73%-1.37M
-99.67%3.41K
85.85%324.21K
173.78%1.02M
128.02%174.45K
-561.93%-1.38M
-325.47%-622.48K
-53.17%299.50K
143.62%276.08K
--639.59K
---632.91K
-82.73%978.10K
112.08%496.08K
-74.56%250.13K
-91.75%-2.02M
--5.66M
---4.11M
--983.16K
797.78%1.56M
---1.06M
97.58%-71.91K
-113.46%-223.49K
-317.39%-2.97M
1085.01%1.66M
61.54%-711.03K
79.11%-168.60K
-264.66%-1.85M
---807.23K
--1.12M
----
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----
----
Cash from non-recurring investing activities
Cash from operating activities
108.90%147.41K
-277.76%-2.53M
30.35%-1.66M
86.95%-670.27K
-1431.06%-2.38M
68.56%-5.13M
129.48%178.60K
-1287.34%-16.33M
33.86%-605.90K
-53.66%-1.18M
---916.14K
---765.96K
-97.86%78.77K
95.61%1.77M
-28.96%723.46K
91.11%-94.11K
--3.68M
--902.64K
--1.02M
151.86%4.58M
---1.06M
99.14%-40.07K
120.81%1.82M
68.07%-4.64M
-11.13%-8.74M
-212.39%-14.53M
-373.50%-7.86M
65.59%-4.65M
--2.87M
---13.52M
--1.00M
--4.55M
---14.13M
---608.54K
Investing cash flow
Net cash from continuing investing activities
-68.66%276.75K
137.80%776.84K
163.62%882.94K
-84.44%326.68K
-113.14%-1.39M
187.22%2.10M
607.90%10.56M
385.66%730.78K
53.52%1.49M
-76.75%150.47K
--972.01K
--647.18K
-68.56%729.80K
-44.82%667.18K
650.39%396.65K
-98.28%3.30K
--2.32M
--1.21M
--52.86K
2.04%3.53M
--191.61K
182.77%244.47K
107.82%3.46M
-114.40%-295.38K
-10555.98%-44.23M
41.20%2.05M
273.64%422.98K
-1.65%1.45M
--113.20K
--1.48M
---193.64K
--257.39K
--295.22K
--778.15K
Capital expenditures
-68.66%276.75K
37.66%776.84K
--882.94K
-73.11%564.31K
----
172.68%2.10M
595.91%10.56M
411.56%769.75K
56.16%1.52M
-76.75%150.47K
--972.01K
--647.32K
-68.57%729.80K
-45.16%667.18K
645.28%397.20K
-98.25%3.35K
--2.32M
--1.22M
--53.30K
2.14%3.54M
--191.61K
--244.91K
310.37%3.46M
-100.00%0.00
99.56%844.09K
42.63%2.10M
-73.28%422.98K
-1.41%1.47M
--1.58M
--1.49M
--1.58K
--257.39K
--305.12K
--786.81K
Net cash flow from disposal of fixed assets
-68.66%276.75K
137.80%776.84K
163.62%882.94K
-84.44%326.68K
-113.14%-1.39M
187.22%2.10M
607.90%10.56M
385.66%730.78K
53.52%1.49M
-76.75%150.47K
--972.01K
--647.18K
-68.56%729.80K
-44.82%667.18K
650.39%396.65K
-98.28%3.30K
--2.32M
--1.21M
--52.86K
2.04%3.53M
--191.61K
182.77%244.47K
107.83%3.46M
-114.90%-295.38K
-17281.41%-44.21M
647.85%1.98M
-81.27%257.33K
118.71%265.16K
--1.37M
--121.24K
---195.22K
--257.39K
--295.22K
--305.16K
Net cash flow from intangible asset transactions
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--0.00
----
----
--0.00
----
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100.00%0.00
-100.00%0.00
-108.28%-13.72K
-94.27%67.99K
113.14%165.65K
-12.42%1.19M
---1.26M
--1.36M
--1.58K
--0.00
--0.00
--472.99K
Net cash flow from business transactions
----
100.00%0.00
10183.94%21.98K
-620.16%-21.39K
100.00%-218.00
-46.19%4.11K
---7.26M
--7.64K
----
----
----
----
--0.00
----
----
----
--0.00
--0.00
----
-100.00%0.00
----
--0.00
159277.48%12.31M
100.00%0.00
99.87%-7.74K
---1.48M
---5.88M
----
--0.00
----
----
----
----
----
Net cash flow from investment products
----
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----
----
----
----
----
----
----
----
----
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--0.00
----
----
----
--0.00
----
----
100.00%0.00
----
----
-113.81%-45.18K
----
-89.86%327.20K
----
15202.46%3.23M
-100.00%0.00
---21.36K
--1.46M
----
----
----
----
Net cash flow from other investing activities
---22.25K
----
-100.00%0.00
-100.00%0.00
-75.25%924.21K
405.94%4.09M
2872.73%3.73M
1751.13%809.09K
-107.60%-134.69K
--43.71K
--1.77M
----
--34.29K
---2.30M
----
----
----
----
----
100.00%0.00
----
----
-118.50%-12.51M
119.30%12.51M
-143.96%-5.73M
--5.70M
--13.02M
----
--0.00
----
---1.03M
---3.06M
---417.37K
----
Cash from non-current investing activities
Net cash flow from investing activities
65.27%-299.00K
-123.18%-776.84K
-137.24%-860.95K
-117.41%-348.07K
116.41%2.31M
2225.16%2.00M
-765.84%-14.09M
180.51%85.96K
-303.61%-1.63M
83.50%-106.76K
--799.04K
---647.18K
70.04%-695.51K
-145.74%-2.97M
-650.39%-396.65K
98.28%-3.30K
---2.32M
---1.21M
---52.86K
4.67%-3.53M
---191.61K
-101.91%-244.47K
-109.54%-3.70M
489.41%12.81M
288.12%38.82M
201.02%2.17M
2050.84%10.00M
-11696.24%-2.15M
---512.71K
---18.23K
---835.50K
---3.31M
---712.58K
---778.15K
Financing cash flow
Cash flow from continuous financing activities
-64.22%1.25M
621.52%2.50M
2058.83%3.49M
349.06%346.39K
-99.06%161.80K
-100.88%-139.08K
509.99%17.20M
6155.80%15.83M
543.16%2.82M
-77.96%252.99K
--438.45K
--1.15M
239.01%435.43K
-79.67%115.63K
157.73%670.49K
-4830.47%-1.04M
--128.44K
--568.77K
---1.16M
-58.16%697.21K
---21.19K
86.59%-1.18M
105.26%1.67M
-205.82%-8.82M
-855.08%-31.68M
680.31%8.33M
926.57%4.20M
-90.11%1.07M
---507.65K
--10.80M
--4.28M
---2.33M
--14.57M
---5.05M
Net cash flow from debt Issuance/repayment
-101.82%-31.72K
-212.21%-388.69K
978.31%1.74M
349.06%346.39K
-91.72%161.80K
-105.06%-139.08K
-12.92%1.95M
951.56%2.75M
411.85%2.24M
-128.14%-323.01K
--438.45K
--1.15M
-928.30%-1.06M
-79.49%116.64K
157.73%670.56K
-5050.37%-1.09M
--128.44K
--568.77K
---1.16M
-61.07%697.21K
---21.19K
86.19%-1.18M
106.10%1.79M
-71.16%-8.57M
-759.38%-29.35M
-172.56%-5.00M
162.17%4.45M
-115.22%-1.84M
---7.16M
--12.06M
---17.63M
---22.58M
--14.86M
---6.25M
Net cash flow from common stock issuance/repurchase
-26.70%1.28M
--2.89M
--1.75M
----
-100.00%0.00
-100.00%0.00
2549.01%15.25M
2169.44%13.07M
--575.74K
--576.00K
----
----
--1.50M
----
----
----
--0.00
----
----
-100.00%0.00
----
100.00%0.00
100.47%6.12K
---385.82K
---1.31M
100.00%0.00
100.00%0.00
---1.29M
---3.00M
--0.00
----
--0.00
--0.00
---315.58K
Proceeds from stock option exercised by employees
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
---678.00
---1.01K
---71.00
--46.60K
--0.00
----
--0.00
--0.00
--0.00
----
--0.00
-100.00%0.00
--0.00
247.17%12.79M
-100.00%0.00
--3.68M
--9.00M
----
----
----
----
----
Net cash flow from other financing activities
----
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
----
100.00%0.00
----
-100.00%0.00
87.25%-130.90K
-76.30%130.90K
-303.24%-1.03M
8.10%552.42K
-139.12%-254.60K
140.52%511.03K
--650.87K
---1.26M
--21.91M
--20.26M
---282.05K
--1.51M
Net cash from non-recurrent financing activities
Net cash from financing activities
-64.22%1.25M
621.52%2.50M
2058.83%3.49M
349.06%346.39K
-99.06%161.80K
-100.88%-139.08K
509.99%17.20M
6155.80%15.83M
543.16%2.82M
-77.96%252.99K
--438.45K
--1.15M
239.01%435.43K
-79.67%115.63K
157.73%670.49K
-4830.47%-1.04M
--128.44K
--568.77K
---1.16M
-58.16%697.21K
---21.19K
86.59%-1.18M
105.26%1.67M
-205.82%-8.82M
-855.08%-31.68M
680.31%8.33M
926.57%4.20M
-90.11%1.07M
---507.65K
--10.80M
--4.28M
---2.33M
--14.57M
---5.05M
Net cash flow
Beginning cash balance
3.99%480.30K
27.13%1.30M
-38.72%461.86K
-77.42%1.02M
-11.28%753.72K
313.09%4.53M
75.21%849.52K
-27.82%1.10M
-64.97%484.86K
-8.08%1.52M
--1.38M
--1.65M
14.56%2.04M
30.76%3.04M
-37.54%1.76M
-13.10%3.26M
--1.78M
--2.33M
--2.82M
-17.57%2.33M
--3.75M
-0.91%3.75M
-28.05%2.82M
-43.39%3.79M
-27.40%3.93M
-39.64%6.69M
-32.90%5.41M
3.12%11.08M
--8.06M
--10.75M
--6.27M
--7.38M
--7.60M
--14.02M
Current period cash flow changes
30.67%1.10M
-46.17%-820.55K
211.29%838.99K
85.14%-561.38K
-92.68%269.52K
-1426.93%-3.78M
501.54%3.68M
76.09%-247.40K
351.22%612.05K
-284.34%-1.03M
--135.64K
---269.24K
-126.27%-388.43K
-83.65%-1.00M
357.95%1.28M
-61.23%-1.50M
--1.48M
---545.72K
---496.17K
0.48%932.94K
---928.34K
-47.94%-1.42M
771.93%928.46K
75.49%-962.93K
-102.39%-138.18K
30.79%-3.93M
91.08%5.78M
-110.99%-5.68M
--3.03M
---2.69M
--4.48M
---1.11M
---222.21K
---6.42M
Effect of exchange rate changes
98.72%-1.76K
-109.96%-11.02K
-179.26%-137.26K
121.99%110.57K
-55.35%173.19K
-399.12%-502.79K
1459.35%387.87K
4207.72%168.09K
113.39%24.87K
-2.61%-4.09K
---185.70K
---3.99K
-3404.62%-207.12K
110.89%87.97K
194.14%282.58K
-203.42%-354.63K
---5.91K
---807.93K
---300.17K
-170.95%-813.84K
--342.90K
113.81%42.73K
77.45%1.15M
-420.48%-309.31K
1765.10%646.42K
66.84%96.52K
-121.48%-38.82K
36.42%57.85K
--180.72K
--42.41K
--35.23K
---21.75K
--47.18K
--19.60K
Ending cash balance
21.20%1.58M
3.99%480.30K
27.13%1.30M
-38.72%461.86K
-77.42%1.02M
-11.28%753.72K
313.09%4.53M
75.21%849.52K
-27.82%1.10M
-64.97%484.86K
--1.52M
--1.38M
-49.30%1.65M
14.56%2.04M
30.76%3.04M
-37.54%1.76M
--3.26M
--1.78M
--2.33M
-13.10%3.26M
--2.82M
-17.57%2.33M
-0.91%3.75M
2.29%2.82M
-66.16%3.79M
-48.94%2.76M
0.95%11.19M
-32.90%5.41M
--11.08M
--8.06M
--10.75M
--6.27M
--7.38M
--7.60M
Free cash flow
94.91%-129.34K
-168.01%-3.31M
---2.54M
82.93%-1.23M
----
57.69%-7.23M
-388.96%-10.38M
-1188.06%-17.10M
-12.48%-2.12M
6.08%-1.33M
---1.89M
---1.41M
-148.01%-651.03K
449.95%1.10M
-66.19%326.26K
92.20%-97.46K
--1.36M
---313.91K
--965.07K
163.34%1.04M
---1.25M
93.86%-284.98K
82.83%-1.65M
72.11%-4.64M
-15.65%-9.58M
-171.57%-16.63M
-741.39%-8.29M
59.20%-6.13M
--1.29M
---15.01M
--1.00M
--4.29M
---14.44M
---1.40M
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