US Stock MarketDetailed Quotes

ZHONGCHAO (ZCMD)

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  • 2.090
  • +0.035+1.70%
Close Apr 24 16:00 ET
8.06MMarket Cap-1.13P/E (TTM)

ZHONGCHAO (ZCMD) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
157.38%845.39K
-2,816.71%-1.47M
108.19%54.23K
-123.12%-661.74K
375.75%2.86M
-173.71%-1.04M
7.27%1.41M
344.14%1.31M
-537.65K
Net income from continuing operations
-2,026.77%-5.81M
97.58%-273.41K
-300.64%-11.31M
-1,282.54%-2.82M
-94.65%238.67K
11.41%4.46M
33.28%4M
100.78%3M
--1.49M
Operating gains losses
902.72%31.57K
-100.24%-3.93K
1,759.46%1.61M
-803.89%-96.84K
-46.30%13.76K
--25.62K
----
----
----
Depreciation and amortization
-24.91%321.67K
-53.62%428.36K
26.47%923.61K
3.89%730.31K
65.53%702.98K
61.99%424.68K
577.44%262.16K
137.85%38.7K
--16.27K
Deferred tax
-128.68%-82.49K
138.91%287.65K
-651.15%-739.23K
109.96%134.13K
-2,204.90%-1.35M
81.63%-58.42K
-621.67%-318.09K
139.61%60.98K
---153.95K
Change In working capital
191.00%1.82M
-174.36%-2M
1,454.57%2.69M
-88.72%172.88K
123.95%1.53M
-137.41%-6.4M
-52.00%-2.7M
11.56%-1.77M
---2.01M
-Change in receivables
150.67%1.17M
-183.04%-2.32M
159.20%2.79M
1,132.61%1.08M
98.10%-104.23K
-75.07%-5.49M
-295.70%-3.13M
-1.88%-792.03K
---777.43K
-Change in inventory
5,956.19%595.34K
97.52%-10.17K
-111.40%-409.77K
---193.83K
--0
--0
----
----
----
-Change in prepaid assets
-95.38%59.39K
566.20%1.29M
64.58%-275.73K
-554.81%-778.38K
186.70%171.14K
-185.13%-197.4K
139.73%231.89K
-9,287.86%-583.61K
--6.35K
-Change in payables and accrued expense
100.63%1.64K
-149.22%-259.81K
976.73%527.82K
-111.44%-60.2K
-46.09%526.16K
-12.95%976.07K
776.92%1.12M
87.74%-165.65K
---1.35M
-Change in other current assets
-71.01%47.65K
493.66%164.35K
-58.15%27.69K
-94.92%66.15K
213.89%1.3M
-1,056.47%-1.14M
118.13%119.52K
-177.33%-659.15K
---237.68K
-Change in other current liabilities
100.63%1.51K
43.84%-240.55K
-39.81%-428.36K
15.49%-306.39K
-57.08%-362.57K
-50.26%-230.82K
---153.62K
--0
--0
-Change in other working capital
90.18%-61K
-236.15%-620.95K
23.52%456.08K
74,345.36%369.25K
100.16%496
63.75%-319.59K
-306.75%-881.58K
20.43%426.41K
--354.07K
Cash from discontinued investing activities
Operating cash flow
157.38%845.39K
-2,816.71%-1.47M
108.19%54.23K
-123.12%-661.74K
375.75%2.86M
-173.71%-1.04M
7.27%1.41M
344.14%1.31M
---537.65K
Investing cash flow
Cash flow from continuing investing activities
54.27%-826.6K
51.85%-1.81M
-12.19%-3.75M
16.69%-3.35M
1.89%-4.02M
-1,916.35%-4.09M
59.71%-203.07K
72.54%-504.05K
-1.84M
Net PPE purchase and sale
94.99%-152.56K
-276.83%-3.05M
-7.90%-808.1K
58.39%-748.93K
-112.03%-1.8M
35.35%-848.87K
-96.53%-1.31M
-1,973.52%-668.07K
---32.22K
Net intangibles purchase and sale
----
----
----
----
----
----
----
-745.89%-418.52K
---49.48K
Net business purchase and sale
----
--0
--0
-330.60%-3.05M
41.82%-708.13K
-3,509.46%-1.22M
---33.72K
--0
--0
Net investment purchase and sale
-170.25%-674.04K
120.31%959.49K
-920.95%-4.72M
-130.28%-462.75K
174.80%1.53M
-276.44%-2.04M
98.80%1.16M
133.22%582.54K
---1.75M
Net other investing changes
----
-84.37%277.94K
94.46%1.78M
130.10%914.25K
-21,065.30%-3.04M
200.09%14.49K
---14.48K
----
----
Cash from discontinued investing activities
Investing cash flow
54.27%-826.6K
51.85%-1.81M
-12.19%-3.75M
16.69%-3.35M
1.89%-4.02M
-1,916.35%-4.09M
59.71%-203.07K
72.54%-504.05K
---1.84M
Financing cash flow
Cash flow from continuing financing activities
0
3.84M
0
1.85M
0
1,064.47%11.5M
-127.49%-1.19M
58.74%4.34M
2.73M
Net issuance payments of debt
----
----
----
----
----
----
-195.67%-723.79K
--756.54K
--0
Net common stock issuance
--0
--3.84M
--0
--1.85M
--0
--11.89M
--0
--0
----
Net other financing activities
----
----
----
----
----
17.00%-388.71K
-113.08%-468.33K
31.05%3.58M
--2.73M
Cash from discontinued financing activities
Financing cash flow
--0
--3.84M
--0
--1.85M
--0
1,064.47%11.5M
-127.49%-1.19M
58.74%4.34M
--2.73M
Net cash flow
Beginning cash position
3.88%7.84M
-34.48%7.55M
-17.21%11.52M
-7.68%13.91M
92.44%15.07M
-1.09%7.83M
165.86%7.92M
22.89%2.98M
--2.42M
Current changes in cash
-96.63%18.79K
115.06%557.2K
-71.50%-3.7M
-86.74%-2.16M
-118.15%-1.16M
49,511.36%6.37M
-99.75%12.83K
1,333.39%5.15M
--358.97K
Effect of exchange rate changes
189.94%237.98K
2.48%-264.59K
-14.55%-271.33K
-9,266.35%-236.88K
-100.29%-2.53K
984.52%875.26K
51.79%-98.95K
-204.79%-205.24K
--195.86K
End cash Position
3.27%8.1M
3.88%7.84M
-34.48%7.55M
-17.21%11.52M
-7.68%13.91M
92.44%15.07M
-1.09%7.83M
165.86%7.92M
--2.98M
Free cash flow
115.33%692.83K
-475.22%-4.52M
68.87%-785.51K
-337.58%-2.52M
156.29%1.06M
-2,084.36%-1.89M
-57.94%95.08K
136.50%226.06K
---619.35K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
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--
Unqualified Opinion
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(FY)Dec 31, 2025(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 157.38%845.39K-2,816.71%-1.47M108.19%54.23K-123.12%-661.74K375.75%2.86M-173.71%-1.04M7.27%1.41M344.14%1.31M-537.65K
Net income from continuing operations -2,026.77%-5.81M97.58%-273.41K-300.64%-11.31M-1,282.54%-2.82M-94.65%238.67K11.41%4.46M33.28%4M100.78%3M--1.49M
Operating gains losses 902.72%31.57K-100.24%-3.93K1,759.46%1.61M-803.89%-96.84K-46.30%13.76K--25.62K------------
Depreciation and amortization -24.91%321.67K-53.62%428.36K26.47%923.61K3.89%730.31K65.53%702.98K61.99%424.68K577.44%262.16K137.85%38.7K--16.27K
Deferred tax -128.68%-82.49K138.91%287.65K-651.15%-739.23K109.96%134.13K-2,204.90%-1.35M81.63%-58.42K-621.67%-318.09K139.61%60.98K---153.95K
Change In working capital 191.00%1.82M-174.36%-2M1,454.57%2.69M-88.72%172.88K123.95%1.53M-137.41%-6.4M-52.00%-2.7M11.56%-1.77M---2.01M
-Change in receivables 150.67%1.17M-183.04%-2.32M159.20%2.79M1,132.61%1.08M98.10%-104.23K-75.07%-5.49M-295.70%-3.13M-1.88%-792.03K---777.43K
-Change in inventory 5,956.19%595.34K97.52%-10.17K-111.40%-409.77K---193.83K--0--0------------
-Change in prepaid assets -95.38%59.39K566.20%1.29M64.58%-275.73K-554.81%-778.38K186.70%171.14K-185.13%-197.4K139.73%231.89K-9,287.86%-583.61K--6.35K
-Change in payables and accrued expense 100.63%1.64K-149.22%-259.81K976.73%527.82K-111.44%-60.2K-46.09%526.16K-12.95%976.07K776.92%1.12M87.74%-165.65K---1.35M
-Change in other current assets -71.01%47.65K493.66%164.35K-58.15%27.69K-94.92%66.15K213.89%1.3M-1,056.47%-1.14M118.13%119.52K-177.33%-659.15K---237.68K
-Change in other current liabilities 100.63%1.51K43.84%-240.55K-39.81%-428.36K15.49%-306.39K-57.08%-362.57K-50.26%-230.82K---153.62K--0--0
-Change in other working capital 90.18%-61K-236.15%-620.95K23.52%456.08K74,345.36%369.25K100.16%49663.75%-319.59K-306.75%-881.58K20.43%426.41K--354.07K
Cash from discontinued investing activities
Operating cash flow 157.38%845.39K-2,816.71%-1.47M108.19%54.23K-123.12%-661.74K375.75%2.86M-173.71%-1.04M7.27%1.41M344.14%1.31M---537.65K
Investing cash flow
Cash flow from continuing investing activities 54.27%-826.6K51.85%-1.81M-12.19%-3.75M16.69%-3.35M1.89%-4.02M-1,916.35%-4.09M59.71%-203.07K72.54%-504.05K-1.84M
Net PPE purchase and sale 94.99%-152.56K-276.83%-3.05M-7.90%-808.1K58.39%-748.93K-112.03%-1.8M35.35%-848.87K-96.53%-1.31M-1,973.52%-668.07K---32.22K
Net intangibles purchase and sale -----------------------------745.89%-418.52K---49.48K
Net business purchase and sale ------0--0-330.60%-3.05M41.82%-708.13K-3,509.46%-1.22M---33.72K--0--0
Net investment purchase and sale -170.25%-674.04K120.31%959.49K-920.95%-4.72M-130.28%-462.75K174.80%1.53M-276.44%-2.04M98.80%1.16M133.22%582.54K---1.75M
Net other investing changes -----84.37%277.94K94.46%1.78M130.10%914.25K-21,065.30%-3.04M200.09%14.49K---14.48K--------
Cash from discontinued investing activities
Investing cash flow 54.27%-826.6K51.85%-1.81M-12.19%-3.75M16.69%-3.35M1.89%-4.02M-1,916.35%-4.09M59.71%-203.07K72.54%-504.05K---1.84M
Financing cash flow
Cash flow from continuing financing activities 03.84M01.85M01,064.47%11.5M-127.49%-1.19M58.74%4.34M2.73M
Net issuance payments of debt -------------------------195.67%-723.79K--756.54K--0
Net common stock issuance --0--3.84M--0--1.85M--0--11.89M--0--0----
Net other financing activities --------------------17.00%-388.71K-113.08%-468.33K31.05%3.58M--2.73M
Cash from discontinued financing activities
Financing cash flow --0--3.84M--0--1.85M--01,064.47%11.5M-127.49%-1.19M58.74%4.34M--2.73M
Net cash flow
Beginning cash position 3.88%7.84M-34.48%7.55M-17.21%11.52M-7.68%13.91M92.44%15.07M-1.09%7.83M165.86%7.92M22.89%2.98M--2.42M
Current changes in cash -96.63%18.79K115.06%557.2K-71.50%-3.7M-86.74%-2.16M-118.15%-1.16M49,511.36%6.37M-99.75%12.83K1,333.39%5.15M--358.97K
Effect of exchange rate changes 189.94%237.98K2.48%-264.59K-14.55%-271.33K-9,266.35%-236.88K-100.29%-2.53K984.52%875.26K51.79%-98.95K-204.79%-205.24K--195.86K
End cash Position 3.27%8.1M3.88%7.84M-34.48%7.55M-17.21%11.52M-7.68%13.91M92.44%15.07M-1.09%7.83M165.86%7.92M--2.98M
Free cash flow 115.33%692.83K-475.22%-4.52M68.87%-785.51K-337.58%-2.52M156.29%1.06M-2,084.36%-1.89M-57.94%95.08K136.50%226.06K---619.35K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion----Unqualified Opinion--
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