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Eco Wave Power Global AB (publ)

WAVE

8.150USD

-0.080-0.97%
Close 08/04, 16:00ETQuotes delayed by 15 min
380.38MMarket Cap
LossP/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-9.33%-553.01K
-14.38%-677.30K
64.44%-208.83K
-68.03%-778.53K
-5.16%-505.84K
-170.20%-592.14K
62.21%-587.22K
-21.48%-463.33K
-146.73%-481.04K
482.60%843.47K
-666.32%-1.55M
-63.24%-381.40K
21.14%-194.97K
---220.45K
---202.78K
---233.65K
---247.23K
Net income from continuing operations
-51.74%-723.07K
32.53%-525.96K
-20.35%-519.58K
-170.03%-763.21K
-5.41%-476.50K
-34.17%-779.56K
49.83%-431.73K
27.74%-282.64K
-157.51%-452.05K
-120.16%-581.01K
-257.27%-860.60K
-67.57%-391.14K
8.69%-175.55K
---263.90K
---240.88K
---233.42K
---192.26K
Operating gains losses
0.65%61.83K
120.71%71.04K
101.82%61.90K
102.24%61.63K
923.10%61.43K
50.87%32.19K
444.38%30.67K
453.34%30.48K
10.06%6.00K
278.36%21.33K
-1.13%5.63K
-4.53%5.51K
-8.44%5.46K
--5.64K
--5.70K
--5.77K
--5.96K
Other non-cash items
----
----
----
----
----
----
----
--103.31
-5.12%103.52
--583.09K
---584.55K
--0.00
--109.10
----
--0.00
----
----
Change in working capital
242.57%149.48K
-263.78%-235.03K
217.87%235.90K
59.76%-90.37K
-198.77%-104.84K
-81.89%143.50K
-74.87%-200.14K
-5401.18%-224.59K
-40.45%-35.09K
1995.32%792.27K
-453.23%-114.45K
170.61%4.24K
58.99%-24.98K
--37.81K
--32.40K
---6.00K
---60.93K
-Change in receivables
297.47%72.54K
-162.71%-221.93K
8945.94%254.99K
-493.06%-213.99K
-161.61%-36.74K
-126.79%-84.48K
101.16%2.82K
138.56%54.44K
419.59%59.63K
1937.21%315.33K
-13692.36%-242.98K
-826.99%-141.18K
37.71%-18.66K
--15.48K
--1.79K
---15.23K
---29.95K
-Change in other current liabilities
----
----
----
----
----
----
----
----
10536.69%45.55K
-856.84%-268.60K
541.66%134.06K
5862.06%137.58K
-107.86%-436.41
--35.49K
--20.89K
--2.31K
--5.55K
Cash from non-recurring investing activities
Cash from operating activities
-9.33%-553.01K
-14.38%-677.30K
64.44%-208.83K
-68.03%-778.53K
-5.16%-505.84K
-170.20%-592.14K
62.21%-587.22K
-21.48%-463.33K
-146.73%-481.04K
482.60%843.47K
-666.32%-1.55M
-63.24%-381.40K
21.14%-194.97K
---220.45K
---202.78K
---233.65K
---247.23K
Investing cash flow
Net cash from continuing investing activities
-72.66%750.07
100.00%0.00
-66.96%9.83K
----
-92.62%2.74K
-100.78%-697.18
-27.58%29.77K
602.65%76.65K
237.24%37.16K
497.54%89.19K
13.90%41.11K
437.67%10.91K
-70.76%11.02K
--14.93K
--36.09K
---3.23K
--37.68K
Capital expenditures
-72.66%750.07
--0.00
-66.96%9.83K
----
-92.62%2.74K
----
-27.58%29.77K
602.65%76.65K
237.24%37.16K
497.54%89.19K
13.90%41.11K
--10.91K
-70.76%11.02K
--14.93K
--36.09K
----
--37.68K
Net cash flow from disposal of fixed assets
-72.66%750.07
100.00%0.00
-66.96%9.83K
----
-92.62%2.74K
-100.78%-697.18
-27.58%29.77K
602.65%76.65K
237.24%37.16K
497.54%89.19K
13.90%41.11K
437.67%10.91K
-70.76%11.02K
--14.93K
--36.09K
---3.23K
--37.68K
Net cash flow from investment products
----
98.48%-451.76
-100.00%0.00
----
----
55.09%-29.63K
2385.74%5.19K
--5.37K
424.17%33.95K
-6730.84%-65.98K
--208.66
-100.00%0.00
-657.01%-10.47K
--995.03
--0.00
--1.38K
---1.38K
Net cash flow from other investing activities
----
----
----
----
----
----
----
----
----
----
----
----
----
---110.56
----
----
----
Cash from non-current investing activities
Net cash flow from investing activities
72.66%-750.07
-375.45%-137.56K
59.99%-9.83K
----
14.51%-2.74K
81.35%-28.93K
39.90%-24.58K
-553.41%-71.28K
85.07%-3.21K
-1005.08%-155.16K
-13.33%-40.90K
-336.37%-10.91K
44.98%-21.49K
---14.04K
---36.09K
--4.62K
---39.07K
Financing cash flow
Cash flow from continuous financing activities
-2.07%-25.93K
-5.37%-26.20K
31972.80%7.69M
-7.42%-25.41K
-24.58%-25.41K
95.79%-24.87K
-100.20%-24.13K
-102.34%-23.66K
-226.29%-20.39K
-261.19%-590.06K
49154.45%12.22M
112.88%1.01M
511.28%16.15K
--366.06K
--24.80K
--473.99K
---3.93K
Net cash flow from debt Issuance/repayment
-2.07%-25.93K
-5.37%-26.20K
-5.96%-25.57K
-7.42%-25.41K
-24.58%-25.41K
-100.22%-24.87K
-153.17%-24.13K
-128.24%-23.66K
-226.29%-20.39K
151108.46%11.20M
82.97%45.38K
1810.78%83.78K
229.77%16.15K
--7.41K
--24.80K
--4.38K
---12.44K
Net cash flow from common stock issuance/repurchase
----
--0.00
--7.72M
----
----
--0.00
-100.00%0.00
----
--0.00
----
--12.17M
96.96%925.16K
-100.00%0.00
--358.65K
--0.00
--469.72K
--2.27K
Net cash flow from other financing activities
----
----
----
----
----
----
----
----
----
---11.79M
----
191.79%105.91
----
----
----
---115.38
----
Net cash from non-recurrent financing activities
Net cash from financing activities
-2.07%-25.93K
-5.37%-26.20K
31972.80%7.69M
-7.42%-25.41K
-24.58%-25.41K
95.79%-24.87K
-100.20%-24.13K
-102.34%-23.66K
-226.29%-20.39K
-261.19%-590.06K
49154.45%12.22M
112.88%1.01M
511.28%16.15K
--366.06K
--24.80K
--473.99K
---3.93K
Net cash flow
Beginning cash balance
39.81%14.08M
37.42%15.58M
-20.31%8.79M
-12.82%9.76M
-8.76%10.07M
-1.88%11.34M
1607.81%11.03M
19998.73%11.20M
4337.18%11.04M
7384.09%11.56M
86.01%645.68K
-49.10%55.70K
-38.88%248.75K
--154.42K
--347.13K
--109.43K
--406.97K
Current period cash flow changes
11.32%-469.22K
-59.61%-975.13K
1274.49%7.39M
-33.85%-772.83K
-12.71%-529.10K
-808.18%-610.96K
-105.92%-629.50K
-193.62%-577.38K
-160.93%-469.44K
-17.43%86.27K
5107.82%10.63M
153.81%616.74K
38.01%-179.91K
--104.48K
---212.28K
--242.99K
---290.22K
Effect of exchange rate changes
2159.07%110.47K
-483.30%-134.06K
-1322.30%-78.56K
262.80%31.11K
-86.11%4.89K
392.24%34.98K
-26.66%6.43K
---19.11K
72.51%35.20K
55.82%-11.97K
390.24%8.76K
100.00%0.00
--20.40K
---27.09K
--1.79K
---1.96K
----
Ending cash balance
42.37%13.61M
36.72%14.63M
54.60%16.08M
-15.07%9.00M
-9.46%9.56M
-8.12%10.70M
-5.52%10.40M
1447.76%10.60M
19223.69%10.56M
4358.97%11.65M
7895.14%11.01M
98.53%684.59K
-52.76%54.66K
--261.17K
--137.73K
--344.83K
--115.70K
Free cash flow
-8.88%-553.76K
-14.38%-677.30K
64.56%-218.66K
----
1.86%-508.59K
-178.50%-592.14K
61.32%-616.99K
-37.64%-539.98K
-151.57%-518.20K
420.45%754.28K
-567.75%-1.60M
-67.90%-392.30K
27.70%-205.99K
---235.38K
---238.87K
---233.65K
---284.91K
Currency unit
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