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WETH Wetouch Technology

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  • 2.540
  • -0.220-7.97%
Close Jun 18 16:00 ET
  • 2.540
  • 0.0000.00%
Post 17:26 ET
30.31MMarket Cap4.38P/E (TTM)

Wetouch Technology Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-439.31%-9.22M
48.20%12.72M
-2.64%3.72M
-31.22%2.25M
37.65%4.04M
288.94%2.72M
-38.89%8.59M
268.47%3.82M
75.63%3.27M
212.34%2.94M
Net income from continuing operations
-79.99%558.87K
-5.34%8.26M
-3,840.78%-2.06M
-13.09%2.86M
59.45%4.67M
9.00%2.79M
-49.78%8.73M
-107.67%-52.3K
0.43%3.29M
-42.16%2.93M
Operating gains losses
-108.01%-7.82K
115.67%121.41K
99.61%-2.87K
-9.64%169.07K
-128.89%-142.39K
160.83%97.6K
90.79%-774.75K
5.56%-739.21K
--187.11K
-360.15%-62.21K
Depreciation and amortization
-4.81%2.32K
-4.93%9.4K
97.62%-62
100.43%4.66K
-68.57%2.37K
-7.21%2.43K
-97.41%9.89K
-169.75%-2.6K
-20.65%2.33K
3,636.14%7.55K
Other non cash items
-17.66%5.72K
-77.32%33.66K
-91.22%9.53K
-35.37%8.97K
-38.00%8.21K
-45.15%6.94K
1,635.50%148.37K
--108.59K
--13.88K
--13.24K
Change In working capital
-5,222.47%-9.78M
978.78%4.3M
30.30%5.77M
-255.88%-792.4K
-1,157.07%-499.01K
95.24%-183.69K
-68.27%398.19K
294.21%4.43M
84.28%-222.66K
100.59%47.21K
-Change in receivables
9.56%-3.62M
195.61%1.43M
17.58%7M
-89.35%29.48K
-15.65%-1.59M
36.92%-4.01M
-129.48%-1.5M
73.13%5.95M
2.48%276.87K
80.31%-1.38M
-Change in inventory
-87.07%32.94K
194.98%187.53K
-311.56%-12.03K
-148.64%-39.98K
94.27%-15.18K
2,292.14%254.73K
-203.66%-197.45K
-101.03%-2.92K
144.88%82.19K
-85.45%-265.1K
-Change in prepaid assets
-1,215.78%-3.43M
-60.93%333.42K
99.42%-1.82K
72.88%-4.11K
-92.76%31.96K
-58.57%307.38K
137.79%853.43K
79.01%-314.96K
98.45%-15.14K
3,935.57%441.67K
-Change in payables and accrued expense
-184.56%-2.76M
89.05%2.34M
-0.73%-1.22M
-37.28%-777.8K
-13.70%1.08M
84.65%3.26M
220.71%1.24M
-10.11%-1.21M
-7.08%-566.58K
242.81%1.25M
Cash from discontinued investing activities
Operating cash flow
-439.31%-9.22M
48.20%12.72M
-2.64%3.72M
-31.22%2.25M
37.65%4.04M
288.94%2.72M
-38.89%8.59M
268.47%3.82M
75.63%3.27M
212.34%2.94M
Investing cash flow
Cash flow from continuing investing activities
-111.29K
-2.26M
0
0
Net PPE purchase and sale
---111.29K
---2.26M
----
----
----
--0
--0
----
----
----
Cash from discontinued investing activities
Investing cash flow
---111.29K
---2.26M
---2.26M
--0
--0
--0
--0
--0
--0
--0
Financing cash flow
Cash flow from continuing financing activities
-81.26%7.51M
6,220.57%39.95M
0
-102.15K
-4.59K
40.05M
-135.03%-652.64K
-652.64K
0
0
Net issuance payments of debt
-3,902.14%-1.4M
94.70%-55K
--0
---20K
--0
---35K
-151.28%-1.04M
---1.04M
--0
--0
Net common stock issuance
-77.53%8.99M
--40M
--0
--0
--0
--40M
--0
--0
--0
--0
Net other financing activities
-195.54%-82.86K
----
----
----
---4.59K
--86.74K
338.14%385.79K
----
----
----
Cash from discontinued financing activities
Financing cash flow
-81.26%7.51M
6,220.57%39.95M
--0
---102.15K
---4.59K
--40.05M
-135.03%-652.64K
-135.03%-652.64K
--0
--0
Net cash flow
Beginning cash position
91.30%98.04M
11.02%51.25M
106.23%93.94M
104.26%92.21M
108.07%93.26M
11.02%51.25M
92.64%46.16M
-15.75%45.55M
-14.16%45.15M
-17.73%44.82M
Current changes in cash
-104.26%-1.82M
535.35%50.41M
-54.09%1.45M
-34.34%2.15M
37.50%4.04M
3,074.67%42.77M
-64.07%7.93M
137.01%3.16M
90.64%3.27M
211.75%2.94M
Effect of exchange rate changes
-86.90%-1.42M
-27.01%-3.62M
4.51%2.65M
85.17%-425.2K
-94.59%-5.08M
-905.00%-760.53K
-2,437.64%-2.85M
292.28%2.54M
-1,082.73%-2.87M
-451.36%-2.61M
End cash Position
1.65%94.8M
91.30%98.04M
91.30%98.04M
106.23%93.94M
104.26%92.21M
108.07%93.26M
11.02%51.25M
11.02%51.25M
-15.75%45.55M
-14.16%45.15M
Free cash flow
-443.41%-9.33M
21.83%10.46M
-61.94%1.45M
-31.22%2.25M
37.65%4.04M
288.94%2.72M
264.44%8.59M
136.47%3.82M
90.64%3.27M
210.43%2.94M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
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(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(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -439.31%-9.22M48.20%12.72M-2.64%3.72M-31.22%2.25M37.65%4.04M288.94%2.72M-38.89%8.59M268.47%3.82M75.63%3.27M212.34%2.94M
Net income from continuing operations -79.99%558.87K-5.34%8.26M-3,840.78%-2.06M-13.09%2.86M59.45%4.67M9.00%2.79M-49.78%8.73M-107.67%-52.3K0.43%3.29M-42.16%2.93M
Operating gains losses -108.01%-7.82K115.67%121.41K99.61%-2.87K-9.64%169.07K-128.89%-142.39K160.83%97.6K90.79%-774.75K5.56%-739.21K--187.11K-360.15%-62.21K
Depreciation and amortization -4.81%2.32K-4.93%9.4K97.62%-62100.43%4.66K-68.57%2.37K-7.21%2.43K-97.41%9.89K-169.75%-2.6K-20.65%2.33K3,636.14%7.55K
Other non cash items -17.66%5.72K-77.32%33.66K-91.22%9.53K-35.37%8.97K-38.00%8.21K-45.15%6.94K1,635.50%148.37K--108.59K--13.88K--13.24K
Change In working capital -5,222.47%-9.78M978.78%4.3M30.30%5.77M-255.88%-792.4K-1,157.07%-499.01K95.24%-183.69K-68.27%398.19K294.21%4.43M84.28%-222.66K100.59%47.21K
-Change in receivables 9.56%-3.62M195.61%1.43M17.58%7M-89.35%29.48K-15.65%-1.59M36.92%-4.01M-129.48%-1.5M73.13%5.95M2.48%276.87K80.31%-1.38M
-Change in inventory -87.07%32.94K194.98%187.53K-311.56%-12.03K-148.64%-39.98K94.27%-15.18K2,292.14%254.73K-203.66%-197.45K-101.03%-2.92K144.88%82.19K-85.45%-265.1K
-Change in prepaid assets -1,215.78%-3.43M-60.93%333.42K99.42%-1.82K72.88%-4.11K-92.76%31.96K-58.57%307.38K137.79%853.43K79.01%-314.96K98.45%-15.14K3,935.57%441.67K
-Change in payables and accrued expense -184.56%-2.76M89.05%2.34M-0.73%-1.22M-37.28%-777.8K-13.70%1.08M84.65%3.26M220.71%1.24M-10.11%-1.21M-7.08%-566.58K242.81%1.25M
Cash from discontinued investing activities
Operating cash flow -439.31%-9.22M48.20%12.72M-2.64%3.72M-31.22%2.25M37.65%4.04M288.94%2.72M-38.89%8.59M268.47%3.82M75.63%3.27M212.34%2.94M
Investing cash flow
Cash flow from continuing investing activities -111.29K-2.26M00
Net PPE purchase and sale ---111.29K---2.26M--------------0--0------------
Cash from discontinued investing activities
Investing cash flow ---111.29K---2.26M---2.26M--0--0--0--0--0--0--0
Financing cash flow
Cash flow from continuing financing activities -81.26%7.51M6,220.57%39.95M0-102.15K-4.59K40.05M-135.03%-652.64K-652.64K00
Net issuance payments of debt -3,902.14%-1.4M94.70%-55K--0---20K--0---35K-151.28%-1.04M---1.04M--0--0
Net common stock issuance -77.53%8.99M--40M--0--0--0--40M--0--0--0--0
Net other financing activities -195.54%-82.86K---------------4.59K--86.74K338.14%385.79K------------
Cash from discontinued financing activities
Financing cash flow -81.26%7.51M6,220.57%39.95M--0---102.15K---4.59K--40.05M-135.03%-652.64K-135.03%-652.64K--0--0
Net cash flow
Beginning cash position 91.30%98.04M11.02%51.25M106.23%93.94M104.26%92.21M108.07%93.26M11.02%51.25M92.64%46.16M-15.75%45.55M-14.16%45.15M-17.73%44.82M
Current changes in cash -104.26%-1.82M535.35%50.41M-54.09%1.45M-34.34%2.15M37.50%4.04M3,074.67%42.77M-64.07%7.93M137.01%3.16M90.64%3.27M211.75%2.94M
Effect of exchange rate changes -86.90%-1.42M-27.01%-3.62M4.51%2.65M85.17%-425.2K-94.59%-5.08M-905.00%-760.53K-2,437.64%-2.85M292.28%2.54M-1,082.73%-2.87M-451.36%-2.61M
End cash Position 1.65%94.8M91.30%98.04M91.30%98.04M106.23%93.94M104.26%92.21M108.07%93.26M11.02%51.25M11.02%51.25M-15.75%45.55M-14.16%45.15M
Free cash flow -443.41%-9.33M21.83%10.46M-61.94%1.45M-31.22%2.25M37.65%4.04M288.94%2.72M264.44%8.59M136.47%3.82M90.64%3.27M210.43%2.94M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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