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CJJD China Jo-Jo Drugstores

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  • 2.9100
  • -0.3080-9.57%
Close 03/01 16:00 ET
  • 2.9000
  • -0.0100-0.34%
Post 18:47 ET
4.90MMarket Cap-70P/E (TTM)

China Jo-Jo Drugstores Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)2023/03/31
(FY)2022/03/31
(FY)2021/03/31
(Q4)2021/03/31
(Q3)2020/12/31
(Q2)2020/09/30
(Q1)2020/06/30
(FY)2020/03/31
(Q4)2020/03/31
(Q3)2019/12/31
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
39.04%-3.28M
-8,546.33%-5.39M
99.10%-62.29K
183.65%12.39M
1.21%-12.1M
-43.87%5.13M
32.90%-5.48M
-23.29%-6.91M
-7.48%4.37M
-65.48%-12.25M
Net income from continuing operations
-560.92%-21.14M
61.81%-3.2M
-29.70%-8.38M
94.79%-166.28K
-1,480.40%-6.29M
-13.38%-1.53M
83.66%-388.59K
-390.05%-6.46M
-200.00%-3.19M
120.66%455.92K
Operating gains losses
--2.32M
----
84.02%-64.09K
--0
-155.71%-36.31K
-375.95%-32.67K
101.21%4.89K
-222.88%-401.16K
-136.66%-55.91K
-23.43%65.17K
Depreciation and amortization
-42.86%718K
-28.24%1.26M
-15.94%1.75M
-81.59%93.89K
-23.45%398.85K
-9.97%497.62K
52.36%760.54K
24.24%2.08M
-31.02%509.89K
37.35%521.02K
Change In working capital
31.17%-3.12M
-243.29%-4.53M
197.60%3.16M
115.82%12.94M
16.73%-10.4M
-34.58%6.5M
12.01%-5.87M
-3.63%-3.24M
15.59%6M
-105.31%-12.49M
-Change in receivables
22.74%-3.51M
-61.31%-4.54M
-14.27%-2.82M
-270.64%-2.3M
80.57%-826.78K
-86.55%127.67K
135.49%180.03K
-83.82%-2.47M
-60.90%1.35M
-33.60%-4.25M
-Change in inventory
-134.31%-522.55K
142.13%1.52M
-468.90%-3.62M
-36.72%-2.06M
-173.52%-1.11M
15.31%-1.59M
-60.00%1.14M
170.46%979.94K
53.26%-1.5M
-55.82%1.51M
-Change in prepaid assets
217.58%201.98K
-109.07%-171.78K
1,174.14%1.89M
1,230.79%4.94M
-2,069.53%-2.52M
220.45%420.91K
-492.40%-952.17K
-95.89%148.64K
-91.79%371.57K
61.19%-116.14K
-Change in payables and accrued expense
137.32%857.1K
-136.67%-2.3M
587.30%6.26M
91.26%10.93M
26.09%-6.31M
-29.63%7.4M
35.86%-5.76M
-19.73%-1.29M
249.88%5.72M
-170.57%-8.54M
-Change in other current assets
219.19%890.6K
-73.91%279.02K
279.58%1.07M
104.51%1.12M
199.31%803.25K
-538.35%-285.6K
-42.28%-569.18K
-873.88%-595.56K
224.10%548.15K
-577.39%-808.82K
-Change in other working capital
-252.59%-1.04M
84.06%678.6K
1,705.58%368.69K
162.18%299.31K
-53.64%-440.16K
-32.51%424.17K
-26.65%85.38K
99.24%-22.96K
36.07%-481.38K
90.55%-286.5K
Cash from discontinued investing activities
Operating cash flow
39.04%-3.28M
-8,546.33%-5.39M
99.10%-62.29K
183.65%12.39M
1.21%-12.1M
-43.87%5.13M
32.90%-5.48M
-23.29%-6.91M
-7.48%4.37M
-65.48%-12.25M
Investing cash flow
Cash flow from continuing investing activities
-3.25%-316.1K
84.68%-306.14K
58.68%-2M
94.44%-173.72K
75.25%-66.56K
41.32%-160.61K
-36.35%-1.6M
33.98%-4.84M
-552.01%-3.12M
95.84%-268.91K
Net PPE purchase and sale
0.06%-298.94K
40.93%-299.13K
64.16%-506.38K
-39.84%-203.05K
91.67%-22.51K
54.57%-111.01K
77.45%-169.81K
80.59%-1.41M
69.68%-145.21K
95.79%-270.08K
Net intangibles purchase and sale
-82.17%-12.77K
92.83%-7.01K
88.77%-97.8K
91.43%-35.16K
-707.02%-7.61K
-21.98%-35.56K
95.50%-19.47K
-2,821.64%-871.15K
-661,603.23%-410.13K
104.19%1.25K
Net business purchase and sale
---4.38K
--0
42.73%-1.47M
99.55%-11.49K
---36.44K
---14.04K
---1.41M
---2.57M
---2.57M
--0
Net investment purchase and sale
--0
--0
429.21%75.97K
542,764.29%75.97K
----
----
--0
184.10%14.36K
-138.89%-14
99.42%-87
Cash from discontinued investing activities
Investing cash flow
-3.25%-316.1K
84.68%-306.14K
58.68%-2M
94.44%-173.72K
75.25%-66.56K
41.32%-160.61K
-36.35%-1.6M
33.98%-4.84M
-552.01%-3.12M
95.84%-268.91K
Financing cash flow
Cash flow from continuing financing activities
-51.08%2.37M
57.05%4.84M
-83.80%3.08M
-137.09%-2.34M
-86.23%869.9K
-200.34%-4.92M
18.11%9.47M
135.36%19.01M
6,273.67%6.32M
-37.88%6.32M
Net issuance payments of debt
-199.33%-4.12M
167.58%4.15M
-161.17%-6.14M
-133.65%-2.08M
-89.02%689.08K
-199.14%-4.9M
120.45%162.51K
25.23%10.03M
15,756.76%6.19M
-37.80%6.27M
Net common stock issuance
--7.33M
--0
0.15%9.29M
--0
--81.93K
---81.93K
0.15%9.29M
123,064.79%9.27M
--0
--0
Proceeds from stock option exercised by employees
--0
--0
--77.5K
--0
--0
--0
--77.5K
--0
--0
--0
Net other financing activities
-221.73%-838.7K
567.89%689.01K
49.62%-147.26K
-312.55%-258.02K
123.20%98.9K
3,318.82%68.31K
87.73%-56.45K
-592.57%-292.3K
102.18%121.39K
-47.15%44.31K
Cash from discontinued financing activities
Financing cash flow
-51.08%2.37M
57.05%4.84M
-83.80%3.08M
-137.09%-2.34M
-86.23%869.9K
-200.34%-4.92M
18.11%9.47M
135.36%19.01M
6,273.67%6.32M
-37.88%6.32M
Net cash flow
Beginning cash position
1.92%35.34M
11.91%34.67M
25.21%30.98M
4.80%25.04M
20.77%35.37M
45.02%33.57M
25.21%30.98M
-21.32%24.75M
15.95%23.89M
23.52%29.29M
Current changes in cash
-44.23%-1.23M
-183.91%-855.21K
-85.98%1.02M
30.56%9.87M
-82.21%-11.3M
-99.30%50.43K
281.71%2.39M
249.85%7.27M
74.20%7.56M
-67.99%-6.2M
Effect of exchange rate changes
-266.57%-2.54M
-43.01%1.52M
358.86%2.67M
49.27%-239.3K
19.79%969.04K
259.92%1.75M
170.33%194.85K
44.42%-1.03M
-133.32%-471.75K
37.31%808.96K
End cash Position
-10.66%31.57M
1.92%35.34M
11.91%34.67M
11.91%34.67M
4.80%25.04M
20.77%35.37M
45.02%33.57M
25.21%30.98M
25.21%30.98M
15.95%23.89M
Free cash flow
36.84%-3.6M
-754.07%-5.69M
92.75%-666.47K
218.73%12.15M
3.09%-12.13M
-43.79%4.98M
39.39%-5.67M
28.81%-9.19M
-10.12%3.81M
9.59%-12.52M
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
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(FY)2023/03/31(FY)2022/03/31(FY)2021/03/31(Q4)2021/03/31(Q3)2020/12/31(Q2)2020/09/30(Q1)2020/06/30(FY)2020/03/31(Q4)2020/03/31(Q3)2019/12/31
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 39.04%-3.28M-8,546.33%-5.39M99.10%-62.29K183.65%12.39M1.21%-12.1M-43.87%5.13M32.90%-5.48M-23.29%-6.91M-7.48%4.37M-65.48%-12.25M
Net income from continuing operations -560.92%-21.14M61.81%-3.2M-29.70%-8.38M94.79%-166.28K-1,480.40%-6.29M-13.38%-1.53M83.66%-388.59K-390.05%-6.46M-200.00%-3.19M120.66%455.92K
Operating gains losses --2.32M----84.02%-64.09K--0-155.71%-36.31K-375.95%-32.67K101.21%4.89K-222.88%-401.16K-136.66%-55.91K-23.43%65.17K
Depreciation and amortization -42.86%718K-28.24%1.26M-15.94%1.75M-81.59%93.89K-23.45%398.85K-9.97%497.62K52.36%760.54K24.24%2.08M-31.02%509.89K37.35%521.02K
Change In working capital 31.17%-3.12M-243.29%-4.53M197.60%3.16M115.82%12.94M16.73%-10.4M-34.58%6.5M12.01%-5.87M-3.63%-3.24M15.59%6M-105.31%-12.49M
-Change in receivables 22.74%-3.51M-61.31%-4.54M-14.27%-2.82M-270.64%-2.3M80.57%-826.78K-86.55%127.67K135.49%180.03K-83.82%-2.47M-60.90%1.35M-33.60%-4.25M
-Change in inventory -134.31%-522.55K142.13%1.52M-468.90%-3.62M-36.72%-2.06M-173.52%-1.11M15.31%-1.59M-60.00%1.14M170.46%979.94K53.26%-1.5M-55.82%1.51M
-Change in prepaid assets 217.58%201.98K-109.07%-171.78K1,174.14%1.89M1,230.79%4.94M-2,069.53%-2.52M220.45%420.91K-492.40%-952.17K-95.89%148.64K-91.79%371.57K61.19%-116.14K
-Change in payables and accrued expense 137.32%857.1K-136.67%-2.3M587.30%6.26M91.26%10.93M26.09%-6.31M-29.63%7.4M35.86%-5.76M-19.73%-1.29M249.88%5.72M-170.57%-8.54M
-Change in other current assets 219.19%890.6K-73.91%279.02K279.58%1.07M104.51%1.12M199.31%803.25K-538.35%-285.6K-42.28%-569.18K-873.88%-595.56K224.10%548.15K-577.39%-808.82K
-Change in other working capital -252.59%-1.04M84.06%678.6K1,705.58%368.69K162.18%299.31K-53.64%-440.16K-32.51%424.17K-26.65%85.38K99.24%-22.96K36.07%-481.38K90.55%-286.5K
Cash from discontinued investing activities
Operating cash flow 39.04%-3.28M-8,546.33%-5.39M99.10%-62.29K183.65%12.39M1.21%-12.1M-43.87%5.13M32.90%-5.48M-23.29%-6.91M-7.48%4.37M-65.48%-12.25M
Investing cash flow
Cash flow from continuing investing activities -3.25%-316.1K84.68%-306.14K58.68%-2M94.44%-173.72K75.25%-66.56K41.32%-160.61K-36.35%-1.6M33.98%-4.84M-552.01%-3.12M95.84%-268.91K
Net PPE purchase and sale 0.06%-298.94K40.93%-299.13K64.16%-506.38K-39.84%-203.05K91.67%-22.51K54.57%-111.01K77.45%-169.81K80.59%-1.41M69.68%-145.21K95.79%-270.08K
Net intangibles purchase and sale -82.17%-12.77K92.83%-7.01K88.77%-97.8K91.43%-35.16K-707.02%-7.61K-21.98%-35.56K95.50%-19.47K-2,821.64%-871.15K-661,603.23%-410.13K104.19%1.25K
Net business purchase and sale ---4.38K--042.73%-1.47M99.55%-11.49K---36.44K---14.04K---1.41M---2.57M---2.57M--0
Net investment purchase and sale --0--0429.21%75.97K542,764.29%75.97K----------0184.10%14.36K-138.89%-1499.42%-87
Cash from discontinued investing activities
Investing cash flow -3.25%-316.1K84.68%-306.14K58.68%-2M94.44%-173.72K75.25%-66.56K41.32%-160.61K-36.35%-1.6M33.98%-4.84M-552.01%-3.12M95.84%-268.91K
Financing cash flow
Cash flow from continuing financing activities -51.08%2.37M57.05%4.84M-83.80%3.08M-137.09%-2.34M-86.23%869.9K-200.34%-4.92M18.11%9.47M135.36%19.01M6,273.67%6.32M-37.88%6.32M
Net issuance payments of debt -199.33%-4.12M167.58%4.15M-161.17%-6.14M-133.65%-2.08M-89.02%689.08K-199.14%-4.9M120.45%162.51K25.23%10.03M15,756.76%6.19M-37.80%6.27M
Net common stock issuance --7.33M--00.15%9.29M--0--81.93K---81.93K0.15%9.29M123,064.79%9.27M--0--0
Proceeds from stock option exercised by employees --0--0--77.5K--0--0--0--77.5K--0--0--0
Net other financing activities -221.73%-838.7K567.89%689.01K49.62%-147.26K-312.55%-258.02K123.20%98.9K3,318.82%68.31K87.73%-56.45K-592.57%-292.3K102.18%121.39K-47.15%44.31K
Cash from discontinued financing activities
Financing cash flow -51.08%2.37M57.05%4.84M-83.80%3.08M-137.09%-2.34M-86.23%869.9K-200.34%-4.92M18.11%9.47M135.36%19.01M6,273.67%6.32M-37.88%6.32M
Net cash flow
Beginning cash position 1.92%35.34M11.91%34.67M25.21%30.98M4.80%25.04M20.77%35.37M45.02%33.57M25.21%30.98M-21.32%24.75M15.95%23.89M23.52%29.29M
Current changes in cash -44.23%-1.23M-183.91%-855.21K-85.98%1.02M30.56%9.87M-82.21%-11.3M-99.30%50.43K281.71%2.39M249.85%7.27M74.20%7.56M-67.99%-6.2M
Effect of exchange rate changes -266.57%-2.54M-43.01%1.52M358.86%2.67M49.27%-239.3K19.79%969.04K259.92%1.75M170.33%194.85K44.42%-1.03M-133.32%-471.75K37.31%808.96K
End cash Position -10.66%31.57M1.92%35.34M11.91%34.67M11.91%34.67M4.80%25.04M20.77%35.37M45.02%33.57M25.21%30.98M25.21%30.98M15.95%23.89M
Free cash flow 36.84%-3.6M-754.07%-5.69M92.75%-666.47K218.73%12.15M3.09%-12.13M-43.79%4.98M39.39%-5.67M28.81%-9.19M-10.12%3.81M9.59%-12.52M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified OpinionUnqualified Opinion--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

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