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1589 IWCITY

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  • 0.560
  • -0.015-2.61%
15min DelayNot Open Jan 9 16:56 CST
515.83MMarket Cap560.00P/E (TTM)

IWCITY Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
256.04%737K
235.79%14.9M
67.13%23.95M
3,869.48%19.77M
-76.00%794K
-93.47%207K
170.55%4.44M
288.11%14.33M
102.44%498K
74.66%3.31M
Net profit before non-cash adjustment
-326.06%-2.19M
161.59%3.25M
124.34%517K
77.72%-5.26M
110.78%1.17M
164.42%967K
12.86%-5.28M
59.11%-2.12M
24.30%-23.62M
-8.61%-10.87M
Total adjustment of non-cash items
103.56%232K
-95.34%261K
-93.25%321K
-34.86%16.39M
5.62%12.55M
-241.92%-6.51M
29.25%5.6M
9.15%4.76M
15.89%25.16M
265.59%11.88M
-Depreciation and amortization
42.17%118K
27.06%108K
-12.64%76K
-9.76%333K
-11.36%78K
-9.78%83K
-9.57%85K
-8.42%87K
-3.91%369K
-7.37%88K
-Reversal of impairment losses recognized in profit and loss
----
----
----
-166.06%-1.31M
----
----
----
----
--1.98M
--1.97M
-Assets reserve and write-off
----
----
----
525.38%9.02M
----
----
----
----
-16.65%1.44M
411.45%1.44M
-Disposal profit
--0
----
----
74.36%-10K
-14,733.33%-5.79M
--5.78M
----
----
-680.00%-39K
-680.00%-39K
-Other non-cash items
101.56%114K
-63.52%166K
-94.75%245K
-60.98%8.35M
25.18%10.54M
-263.00%-7.31M
-89.26%455K
9.55%4.67M
24.44%21.41M
132.56%8.42M
Changes in working capital
5,282.00%2.69M
176.68%11.39M
97.61%23.11M
928.67%8.64M
-414.42%-7.22M
-36.71%50K
22.32%4.12M
272.43%11.7M
90.45%-1.04M
-73.46%2.3M
-Change in receivables
48.56%-5.1M
402.89%39.31M
37.68%11.21M
-60.72%-27.82M
23.24%-13.08M
-516.53%-9.91M
-522.10%-12.98M
1,546.18%8.14M
-153.55%-17.31M
-2,733.23%-17.04M
-Change in inventory
377.82%15.04M
-115.68%-1.69M
546.19%22.24M
-31.12%52.95M
-32.35%44.12M
-127.26%-5.42M
2,298.98%10.8M
144.55%3.44M
494.52%76.86M
5,055.57%65.22M
-Change in payables
-147.22%-7.26M
-516.53%-26.23M
-9,332.14%-10.34M
50.21%-30.17M
-13.21%-51.95M
169.35%15.37M
5.96%6.3M
-92.57%112K
-159.66%-60.6M
-741.54%-45.89M
-Changes in other current assets
----
----
----
342,025.00%13.69M
----
----
----
----
100.96%4K
----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
-2,292.31%-285K
-199.18%-242K
-19.17%-143K
112.13%95K
54.84%-42K
127.66%13K
140.46%244K
-200.00%-120K
63.08%-783K
-311.36%-93K
Other operating cash inflow (outflow)
0
0
0
0
0
0
135.90%615K
-615K
0
0
Operating cash flow
105.45%452K
176.76%14.66M
75.12%23.81M
7,069.47%19.86M
-76.61%752K
-95.45%220K
1,960.70%5.3M
258.25%13.6M
98.73%-285K
-20.12%3.22M
Investing cash flow
Net PPE purchase and sale
90.00%-2K
-28,763.64%-3.15M
-940.00%-52K
-179.31%-23K
-125.00%-9K
-566.67%-20K
375.00%11K
---5K
680.00%29K
3,700.00%36K
Net investment product transactions
-217.65%-20K
-212.96%-61K
-58.82%14K
-97.42%116K
-99.76%11K
--17K
--54K
--34K
1,153.16%4.5M
--4.5M
Interest received (cash flow from investment activities)
4.60%91K
45.07%103K
10.81%82K
-32.42%617K
16.67%385K
-55.84%87K
-71.83%71K
-44.78%74K
7.41%913K
-40.54%330K
Investing cash flow
-17.86%69K
-2,387.50%-3.11M
-57.28%44K
-86.95%710K
-92.04%387K
-56.70%84K
-45.16%136K
-23.13%103K
1,201.20%5.44M
112.14%4.86M
Financing cash flow
Net issuance payments of debt
166.57%7.71M
-146.35%-7.83M
75.31%-3.55M
62.46%-16.25M
82.73%-1.57M
119.35%2.89M
71.49%-3.18M
-77.53%-14.39M
-141.85%-43.28M
-227.41%-9.07M
Net preferred stock issuance
-100.00%-2M
--0
---7.5M
-111.75%-999K
-99.99%1K
---1M
--0
--0
--8.5M
--8.5M
Increase or decrease of lease financing
---22K
---33K
---22K
--0
--0
--0
--0
--0
71.23%-42K
--0
Interest paid (cash flow from financing activities)
-75.23%-3.19M
93.15%-167K
-172.52%-1.68M
10.24%-6.67M
63.89%-1.8M
-146.08%-1.82M
---2.44M
---615K
8.12%-7.43M
---4.98M
Net other fund-raising expenses
-132.34%-2.97M
-94.40%-2.5M
-553.51%-2.52M
-80.21%5.29M
53.10%-2.23M
224.61%9.18M
-107.90%-1.29M
-103.12%-385K
6.75%26.71M
---4.74M
Financing cash flow
-105.08%-470K
-52.59%-10.53M
0.81%-15.27M
-19.85%-18.63M
45.69%-5.59M
171.94%9.25M
-303.84%-6.9M
-464.91%-15.39M
-140.04%-15.55M
-119.03%-10.29M
Net cash flow
Beginning cash position
1,228.40%13.51M
4,476.19%12.49M
98.78%3.91M
-84.08%1.97M
81.52%8.36M
-109.62%-1.2M
-96.81%273K
-84.61%1.97M
383.57%12.36M
181.40%4.61M
Current changes in cash
-99.47%51K
168.98%1.01M
606.67%8.58M
118.70%1.94M
-101.22%-4.45M
222.01%9.56M
-137.78%-1.47M
60.04%-1.69M
-162.16%-10.39M
-112.27%-2.21M
End cash Position
62.20%13.56M
1,228.40%13.51M
4,476.19%12.49M
98.78%3.91M
98.78%3.91M
81.52%8.36M
-109.62%-1.2M
-96.81%273K
-84.08%1.97M
-84.08%1.97M
Free cash flow
125.00%450K
117.18%11.49M
74.80%23.76M
6,819.32%19.82M
-76.93%741K
-95.86%200K
1,991.30%5.29M
258.19%13.59M
98.69%-295K
-20.18%3.21M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q3)Sep 30, 2024 (Q2)Jun 30, 2024 (Q1)Mar 31, 2024 (FY)Dec 31, 2023 (Q4)Dec 31, 2023 (Q3)Sep 30, 2023 (Q2)Jun 30, 2023 (Q1)Mar 31, 2023 (FY)Dec 31, 2022 (Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities 256.04%737K 235.79%14.9M 67.13%23.95M 3,869.48%19.77M -76.00%794K -93.47%207K 170.55%4.44M 288.11%14.33M 102.44%498K 74.66%3.31M
Net profit before non-cash adjustment -326.06%-2.19M 161.59%3.25M 124.34%517K 77.72%-5.26M 110.78%1.17M 164.42%967K 12.86%-5.28M 59.11%-2.12M 24.30%-23.62M -8.61%-10.87M
Total adjustment of non-cash items 103.56%232K -95.34%261K -93.25%321K -34.86%16.39M 5.62%12.55M -241.92%-6.51M 29.25%5.6M 9.15%4.76M 15.89%25.16M 265.59%11.88M
-Depreciation and amortization 42.17%118K 27.06%108K -12.64%76K -9.76%333K -11.36%78K -9.78%83K -9.57%85K -8.42%87K -3.91%369K -7.37%88K
-Reversal of impairment losses recognized in profit and loss ---- ---- ---- -166.06%-1.31M ---- ---- ---- ---- --1.98M --1.97M
-Assets reserve and write-off ---- ---- ---- 525.38%9.02M ---- ---- ---- ---- -16.65%1.44M 411.45%1.44M
-Disposal profit --0 ---- ---- 74.36%-10K -14,733.33%-5.79M --5.78M ---- ---- -680.00%-39K -680.00%-39K
-Other non-cash items 101.56%114K -63.52%166K -94.75%245K -60.98%8.35M 25.18%10.54M -263.00%-7.31M -89.26%455K 9.55%4.67M 24.44%21.41M 132.56%8.42M
Changes in working capital 5,282.00%2.69M 176.68%11.39M 97.61%23.11M 928.67%8.64M -414.42%-7.22M -36.71%50K 22.32%4.12M 272.43%11.7M 90.45%-1.04M -73.46%2.3M
-Change in receivables 48.56%-5.1M 402.89%39.31M 37.68%11.21M -60.72%-27.82M 23.24%-13.08M -516.53%-9.91M -522.10%-12.98M 1,546.18%8.14M -153.55%-17.31M -2,733.23%-17.04M
-Change in inventory 377.82%15.04M -115.68%-1.69M 546.19%22.24M -31.12%52.95M -32.35%44.12M -127.26%-5.42M 2,298.98%10.8M 144.55%3.44M 494.52%76.86M 5,055.57%65.22M
-Change in payables -147.22%-7.26M -516.53%-26.23M -9,332.14%-10.34M 50.21%-30.17M -13.21%-51.95M 169.35%15.37M 5.96%6.3M -92.57%112K -159.66%-60.6M -741.54%-45.89M
-Changes in other current assets ---- ---- ---- 342,025.00%13.69M ---- ---- ---- ---- 100.96%4K ----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid -2,292.31%-285K -199.18%-242K -19.17%-143K 112.13%95K 54.84%-42K 127.66%13K 140.46%244K -200.00%-120K 63.08%-783K -311.36%-93K
Other operating cash inflow (outflow) 0 0 0 0 0 0 135.90%615K -615K 0 0
Operating cash flow 105.45%452K 176.76%14.66M 75.12%23.81M 7,069.47%19.86M -76.61%752K -95.45%220K 1,960.70%5.3M 258.25%13.6M 98.73%-285K -20.12%3.22M
Investing cash flow
Net PPE purchase and sale 90.00%-2K -28,763.64%-3.15M -940.00%-52K -179.31%-23K -125.00%-9K -566.67%-20K 375.00%11K ---5K 680.00%29K 3,700.00%36K
Net investment product transactions -217.65%-20K -212.96%-61K -58.82%14K -97.42%116K -99.76%11K --17K --54K --34K 1,153.16%4.5M --4.5M
Interest received (cash flow from investment activities) 4.60%91K 45.07%103K 10.81%82K -32.42%617K 16.67%385K -55.84%87K -71.83%71K -44.78%74K 7.41%913K -40.54%330K
Investing cash flow -17.86%69K -2,387.50%-3.11M -57.28%44K -86.95%710K -92.04%387K -56.70%84K -45.16%136K -23.13%103K 1,201.20%5.44M 112.14%4.86M
Financing cash flow
Net issuance payments of debt 166.57%7.71M -146.35%-7.83M 75.31%-3.55M 62.46%-16.25M 82.73%-1.57M 119.35%2.89M 71.49%-3.18M -77.53%-14.39M -141.85%-43.28M -227.41%-9.07M
Net preferred stock issuance -100.00%-2M --0 ---7.5M -111.75%-999K -99.99%1K ---1M --0 --0 --8.5M --8.5M
Increase or decrease of lease financing ---22K ---33K ---22K --0 --0 --0 --0 --0 71.23%-42K --0
Interest paid (cash flow from financing activities) -75.23%-3.19M 93.15%-167K -172.52%-1.68M 10.24%-6.67M 63.89%-1.8M -146.08%-1.82M ---2.44M ---615K 8.12%-7.43M ---4.98M
Net other fund-raising expenses -132.34%-2.97M -94.40%-2.5M -553.51%-2.52M -80.21%5.29M 53.10%-2.23M 224.61%9.18M -107.90%-1.29M -103.12%-385K 6.75%26.71M ---4.74M
Financing cash flow -105.08%-470K -52.59%-10.53M 0.81%-15.27M -19.85%-18.63M 45.69%-5.59M 171.94%9.25M -303.84%-6.9M -464.91%-15.39M -140.04%-15.55M -119.03%-10.29M
Net cash flow
Beginning cash position 1,228.40%13.51M 4,476.19%12.49M 98.78%3.91M -84.08%1.97M 81.52%8.36M -109.62%-1.2M -96.81%273K -84.61%1.97M 383.57%12.36M 181.40%4.61M
Current changes in cash -99.47%51K 168.98%1.01M 606.67%8.58M 118.70%1.94M -101.22%-4.45M 222.01%9.56M -137.78%-1.47M 60.04%-1.69M -162.16%-10.39M -112.27%-2.21M
End cash Position 62.20%13.56M 1,228.40%13.51M 4,476.19%12.49M 98.78%3.91M 98.78%3.91M 81.52%8.36M -109.62%-1.2M -96.81%273K -84.08%1.97M -84.08%1.97M
Free cash flow 125.00%450K 117.18%11.49M 74.80%23.76M 6,819.32%19.82M -76.93%741K -95.86%200K 1,991.30%5.29M 258.19%13.59M 98.69%-295K -20.18%3.21M
Accounting Standards NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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