US Stock MarketDetailed Quotes

ELA Envela

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  • 7.150
  • -0.100-1.38%
Close Dec 27 16:00 ET
  • 7.150
  • 0.0000.00%
Post 20:01 ET
185.87MMarket Cap28.60P/E (TTM)

Envela 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 flow from continuing operating activities
377.82%3.45M
-349.74%-789.46K
29.67%3.79M
-41.69%5.84M
3.40%2.37M
-47.05%721.5K
-105.84%-175.54K
-12.94%2.92M
257.21%10.02M
29.02%2.29M
Net income from continuing operations
-1.32%1.69M
-2.46%1.56M
-24.49%1.91M
-54.44%7.15M
-77.71%1.31M
-48.53%1.71M
-58.32%1.6M
-4.57%2.53M
56.13%15.69M
111.30%5.88M
Depreciation and amortization
22.82%414.78K
7.76%362.27K
-3.04%343.57K
-6.18%1.36M
-3.35%333.83K
-36.87%337.71K
20.27%336.17K
21.38%354.35K
56.77%1.45M
19.61%345.41K
Deferred tax
-91.98%40.9K
-105.29%-27.89K
-105.02%-17.49K
202.60%1.53M
109.49%141.28K
--510.23K
--527.17K
--348.26K
---1.49M
---1.49M
Other non cash items
14.30%539.87K
10.66%523.11K
-2.32%462.88K
1.49%1.9M
--476.5K
--472.33K
--472.72K
--473.88K
--1.87M
----
Change In working capital
129.45%746.18K
-3.14%-3.41M
237.05%1.05M
5.79%-6.39M
106.01%211.25K
0.20%-2.53M
-187.47%-3.3M
-282.48%-765.69K
9.24%-6.78M
-173.65%-3.51M
-Change in receivables
171.59%936.01K
-273.88%-435.47K
1,064.49%3.17M
82.10%-161.82K
251.87%1.22M
15.68%-1.31M
170.20%250.43K
-118.15%-328.49K
77.23%-903.8K
26.65%-805.8K
-Change in inventory
-49.64%-2.29M
52.02%-1.16M
-607.40%-2.48M
6.73%-4.39M
86.24%-95.32K
-491.80%-1.53M
24.20%-2.41M
38.92%-350.05K
-32.42%-4.71M
23.66%-692.72K
-Change in prepaid assets
91.61%172.5K
202.19%373.76K
-347.76%-214.24K
118.84%149.39K
-103.92%-16.47K
138.88%90.03K
115.30%123.69K
72.41%-47.85K
-1,199.72%-792.78K
-49.08%420.41K
-Change in payables and accrued expense
-109.37%-30.43K
-296.77%-1.19M
162.12%510.3K
-102.36%-32.31K
75.15%-138.38K
-71.95%324.7K
-12.14%602.78K
-1,112.99%-821.41K
81.79%1.37M
-185.50%-556.95K
-Change in other current assets
-158.14%-85.58K
-189.06%-23.31K
102.05%4.7K
-98.40%15.73K
-89.65%71.33K
132.09%147.19K
-98.31%26.17K
71.19%-228.96K
196.22%985.51K
213.59%689.39K
-Change in other current liabilities
----
68.97%-440.14K
-64.29%530.16K
----
----
----
---1.42M
--1.48M
----
----
-Change in other working capital
1,228.01%2.14M
-13.34%-536.71K
0.00%-473.54K
27.87%-1.97M
67.55%-833.68K
84.16%-189.45K
-149.15%-473.54K
-772.46%-473.54K
-809.82%-2.73M
-1,629.74%-2.57M
Cash from discontinued investing activities
Operating cash flow
377.82%3.45M
-349.74%-789.46K
29.67%3.79M
-41.69%5.84M
3.40%2.37M
-47.05%721.5K
-105.84%-175.54K
-12.94%2.92M
257.21%10.02M
29.02%2.29M
Investing cash flow
Cash flow from continuing investing activities
-450.18%-2M
52.00%-620.21K
-213.22%-644.79K
-667.36%-1.76M
-413.95%-674.5K
-1,458.97%-362.74K
-294.51%-1.29M
709.87%569.52K
95.30%-229.34K
114.10%214.85K
Net PPE purchase and sale
-657.21%-1.99M
59.97%-517.28K
-5,035.68%-448.24K
-720.58%-2.24M
-1,380.76%-674.5K
-1,029.19%-262.74K
-1,068.88%-1.29M
90.65%-8.73K
91.31%-272.75K
38.81%-45.55K
Net intangibles purchase and sale
---6.2K
---103.33K
---193.17K
--0
--0
--0
--0
--0
---216.99K
--0
Net business purchase and sale
----
----
----
---100K
--0
----
----
----
--0
--0
Net other investing changes
---17
--400
-100.59%-3.38K
122.06%578.25K
--0
--0
--0
--578.25K
209.11%260.4K
----
Cash from discontinued investing activities
Investing cash flow
-450.18%-2M
52.00%-620.21K
-213.22%-644.79K
-667.36%-1.76M
-413.95%-674.5K
-1,458.97%-362.74K
-294.51%-1.29M
709.87%569.52K
95.30%-229.34K
114.10%214.85K
Financing cash flow
Cash flow from continuing financing activities
27.23%-1.04M
-104.30%-1.03M
-291.53%-1.22M
-23.21%-3.4M
-272.84%-1.15M
-368.75%-1.43M
-111.76%-504.26K
83.70%-310.81K
-192.25%-2.76M
-119.76%-308.38K
Net issuance payments of debt
-1.44%-315.08K
-1.75%-314.86K
-0.31%-311.77K
54.91%-1.24M
-1.52%-313.06K
-1.52%-310.62K
-29.95%-309.44K
83.70%-310.81K
-192.25%-2.76M
-119.76%-308.38K
Net common stock issuance
35.16%-728.51K
-267.18%-715.34K
---905.15K
---2.16M
---836.7K
---1.12M
---194.82K
--0
--0
--0
Cash from discontinued financing activities
Financing cash flow
27.23%-1.04M
-104.30%-1.03M
-291.53%-1.22M
-23.21%-3.4M
-272.84%-1.15M
-368.75%-1.43M
-111.76%-504.26K
83.70%-310.81K
-192.25%-2.76M
-119.76%-308.38K
Net cash flow
Beginning cash position
-5.64%17.34M
-2.79%19.78M
3.98%17.85M
69.36%17.17M
15.61%17.31M
31.90%18.38M
77.02%20.35M
69.36%17.17M
9.98%10.14M
79.84%14.97M
Current changes in cash
137.96%408.2K
-23.73%-2.44M
-39.36%1.93M
-90.27%683.88K
-75.08%548.46K
-204.08%-1.08M
-180.88%-1.97M
134.18%3.18M
664.24%7.03M
21.28%2.2M
End cash Position
2.58%17.75M
-5.64%17.34M
-2.79%19.78M
3.98%17.85M
3.98%17.85M
15.61%17.31M
31.90%18.38M
77.02%20.35M
69.36%17.17M
69.36%17.17M
Free cash flow
216.46%1.45M
3.93%-1.41M
8.06%3.15M
-62.18%3.6M
-24.50%1.7M
-65.74%458.76K
-154.84%-1.47M
-10.72%2.92M
2,956.31%9.53M
31.98%2.25M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(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 flow from continuing operating activities 377.82%3.45M -349.74%-789.46K 29.67%3.79M -41.69%5.84M 3.40%2.37M -47.05%721.5K -105.84%-175.54K -12.94%2.92M 257.21%10.02M 29.02%2.29M
Net income from continuing operations -1.32%1.69M -2.46%1.56M -24.49%1.91M -54.44%7.15M -77.71%1.31M -48.53%1.71M -58.32%1.6M -4.57%2.53M 56.13%15.69M 111.30%5.88M
Depreciation and amortization 22.82%414.78K 7.76%362.27K -3.04%343.57K -6.18%1.36M -3.35%333.83K -36.87%337.71K 20.27%336.17K 21.38%354.35K 56.77%1.45M 19.61%345.41K
Deferred tax -91.98%40.9K -105.29%-27.89K -105.02%-17.49K 202.60%1.53M 109.49%141.28K --510.23K --527.17K --348.26K ---1.49M ---1.49M
Other non cash items 14.30%539.87K 10.66%523.11K -2.32%462.88K 1.49%1.9M --476.5K --472.33K --472.72K --473.88K --1.87M ----
Change In working capital 129.45%746.18K -3.14%-3.41M 237.05%1.05M 5.79%-6.39M 106.01%211.25K 0.20%-2.53M -187.47%-3.3M -282.48%-765.69K 9.24%-6.78M -173.65%-3.51M
-Change in receivables 171.59%936.01K -273.88%-435.47K 1,064.49%3.17M 82.10%-161.82K 251.87%1.22M 15.68%-1.31M 170.20%250.43K -118.15%-328.49K 77.23%-903.8K 26.65%-805.8K
-Change in inventory -49.64%-2.29M 52.02%-1.16M -607.40%-2.48M 6.73%-4.39M 86.24%-95.32K -491.80%-1.53M 24.20%-2.41M 38.92%-350.05K -32.42%-4.71M 23.66%-692.72K
-Change in prepaid assets 91.61%172.5K 202.19%373.76K -347.76%-214.24K 118.84%149.39K -103.92%-16.47K 138.88%90.03K 115.30%123.69K 72.41%-47.85K -1,199.72%-792.78K -49.08%420.41K
-Change in payables and accrued expense -109.37%-30.43K -296.77%-1.19M 162.12%510.3K -102.36%-32.31K 75.15%-138.38K -71.95%324.7K -12.14%602.78K -1,112.99%-821.41K 81.79%1.37M -185.50%-556.95K
-Change in other current assets -158.14%-85.58K -189.06%-23.31K 102.05%4.7K -98.40%15.73K -89.65%71.33K 132.09%147.19K -98.31%26.17K 71.19%-228.96K 196.22%985.51K 213.59%689.39K
-Change in other current liabilities ---- 68.97%-440.14K -64.29%530.16K ---- ---- ---- ---1.42M --1.48M ---- ----
-Change in other working capital 1,228.01%2.14M -13.34%-536.71K 0.00%-473.54K 27.87%-1.97M 67.55%-833.68K 84.16%-189.45K -149.15%-473.54K -772.46%-473.54K -809.82%-2.73M -1,629.74%-2.57M
Cash from discontinued investing activities
Operating cash flow 377.82%3.45M -349.74%-789.46K 29.67%3.79M -41.69%5.84M 3.40%2.37M -47.05%721.5K -105.84%-175.54K -12.94%2.92M 257.21%10.02M 29.02%2.29M
Investing cash flow
Cash flow from continuing investing activities -450.18%-2M 52.00%-620.21K -213.22%-644.79K -667.36%-1.76M -413.95%-674.5K -1,458.97%-362.74K -294.51%-1.29M 709.87%569.52K 95.30%-229.34K 114.10%214.85K
Net PPE purchase and sale -657.21%-1.99M 59.97%-517.28K -5,035.68%-448.24K -720.58%-2.24M -1,380.76%-674.5K -1,029.19%-262.74K -1,068.88%-1.29M 90.65%-8.73K 91.31%-272.75K 38.81%-45.55K
Net intangibles purchase and sale ---6.2K ---103.33K ---193.17K --0 --0 --0 --0 --0 ---216.99K --0
Net business purchase and sale ---- ---- ---- ---100K --0 ---- ---- ---- --0 --0
Net other investing changes ---17 --400 -100.59%-3.38K 122.06%578.25K --0 --0 --0 --578.25K 209.11%260.4K ----
Cash from discontinued investing activities
Investing cash flow -450.18%-2M 52.00%-620.21K -213.22%-644.79K -667.36%-1.76M -413.95%-674.5K -1,458.97%-362.74K -294.51%-1.29M 709.87%569.52K 95.30%-229.34K 114.10%214.85K
Financing cash flow
Cash flow from continuing financing activities 27.23%-1.04M -104.30%-1.03M -291.53%-1.22M -23.21%-3.4M -272.84%-1.15M -368.75%-1.43M -111.76%-504.26K 83.70%-310.81K -192.25%-2.76M -119.76%-308.38K
Net issuance payments of debt -1.44%-315.08K -1.75%-314.86K -0.31%-311.77K 54.91%-1.24M -1.52%-313.06K -1.52%-310.62K -29.95%-309.44K 83.70%-310.81K -192.25%-2.76M -119.76%-308.38K
Net common stock issuance 35.16%-728.51K -267.18%-715.34K ---905.15K ---2.16M ---836.7K ---1.12M ---194.82K --0 --0 --0
Cash from discontinued financing activities
Financing cash flow 27.23%-1.04M -104.30%-1.03M -291.53%-1.22M -23.21%-3.4M -272.84%-1.15M -368.75%-1.43M -111.76%-504.26K 83.70%-310.81K -192.25%-2.76M -119.76%-308.38K
Net cash flow
Beginning cash position -5.64%17.34M -2.79%19.78M 3.98%17.85M 69.36%17.17M 15.61%17.31M 31.90%18.38M 77.02%20.35M 69.36%17.17M 9.98%10.14M 79.84%14.97M
Current changes in cash 137.96%408.2K -23.73%-2.44M -39.36%1.93M -90.27%683.88K -75.08%548.46K -204.08%-1.08M -180.88%-1.97M 134.18%3.18M 664.24%7.03M 21.28%2.2M
End cash Position 2.58%17.75M -5.64%17.34M -2.79%19.78M 3.98%17.85M 3.98%17.85M 15.61%17.31M 31.90%18.38M 77.02%20.35M 69.36%17.17M 69.36%17.17M
Free cash flow 216.46%1.45M 3.93%-1.41M 8.06%3.15M -62.18%3.6M -24.50%1.7M -65.74%458.76K -154.84%-1.47M -10.72%2.92M 2,956.31%9.53M 31.98%2.25M
Currency Unit USD USD USD USD USD USD USD USD USD USD
Accounting Standards US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP
Audit Opinions -- -- -- Unqualified Opinion -- -- -- -- Unqualified Opinion --
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