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0024 JAG

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  • 0.335
  • 0.0000.00%
15min DelayNot Open Dec 20 15:46 CST
244.60MMarket Cap83.75P/E (TTM)

JAG 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
-167.32%-4.12M
244.82%12.39M
608.53%10.79M
-91.58%2.44M
-129.64%-5.14M
373.51%6.11M
-50.69%3.59M
-169.00%-2.12M
51.42%29M
121.51%17.35M
Net profit before non-cash adjustment
560.08%1.57M
-7.86%1.79M
178.91%4.28M
-77.43%3.06M
-131.81%-662.72K
-91.47%238K
-59.98%1.95M
-59.67%1.54M
-49.00%13.54M
-68.18%2.08M
Total adjustment of non-cash items
37.10%3.66M
-10.33%2.68M
9.64%2.41M
-6.87%10.56M
-22.03%2.71M
99.93%2.67M
-14.21%2.98M
-28.00%2.2M
36.99%11.34M
214.89%3.47M
-Depreciation and amortization
29.23%2.8M
35.18%2.74M
33.59%2.73M
13.59%9.35M
39.79%3.11M
5.55%2.17M
4.00%2.03M
2.05%2.04M
2.52%8.23M
13.61%2.23M
-Reversal of impairment losses recognized in profit and loss
-35.19%35K
--0
-61.54%10K
-15.39%581.43K
-23.93%501.43K
5,300.00%54K
--0
-84.43%26K
-38.74%687.17K
619.03%659.17K
-Assets reserve and write-off
--0
--0
--0
-504.00%-212.06K
131,860.00%144.94K
--0
-134.84%-162K
---195K
87.54%-35.11K
99.98%-110
-Disposal profit
246.24%253K
-237.80%-853K
-935.19%-1.35M
-238.29%-1.65M
-1,233.03%-2.25M
-652.17%-173K
-26.66%619K
-69.89%162K
199.55%1.19M
-2,047.41%-169.06K
-Net exchange gains and losses
-78.10%-244K
126.80%41K
122.03%131K
-48.45%52.39K
-44.28%283.39K
60.40%-137K
-14.18%-153K
-19.18%59K
90.01%101.64K
442.49%508.64K
-Other non-cash items
7.52%815K
14.57%747K
752.38%895K
109.02%2.43M
271.36%919K
408.72%758K
32.25%652K
-61.82%105K
111.33%1.16M
170.11%247.47K
Changes in working capital
-391.76%-9.35M
692.22%7.92M
169.86%4.09M
-371.70%-11.17M
-160.95%-7.19M
213.06%3.2M
-26.85%-1.34M
-54.55%-5.86M
126.22%4.11M
6,447.14%11.79M
-Change in receivables
208.81%5.05M
212.71%12.72M
-717.60%-2.98M
85.55%-1.1M
79.46%-1.01M
-4.01%-4.64M
289.28%4.07M
-32.07%483K
-210.47%-7.65M
-234.49%-4.94M
-Change in inventory
-120.09%-5.32M
-874.97%-6.07M
100.12%3K
-201.89%-8.85M
-146.60%-4.62M
-124.67%-2.42M
119.58%783K
63.14%-2.59M
155.99%8.68M
304.92%9.91M
-Change in payables
-198.44%-8.38M
118.22%1.17M
449.69%3.95M
-51.38%3.66M
-67.03%2.72M
210.57%8.51M
-443.54%-6.44M
-122.14%-1.13M
172.22%7.53M
185.86%8.25M
-Changes in other current assets
-139.81%-699K
-63.20%92K
219.34%3.12M
-9.67%-4.88M
-198.51%-4.27M
465.07%1.76M
900.00%250K
-1.99%-2.62M
-233.93%-4.45M
-139.02%-1.43M
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
-4.07%-512K
58.07%-512K
65.66%-708K
29.44%-4.06M
85.51%-284.94K
53.72%-492K
-8.63%-1.22M
-28.88%-2.06M
-19.49%-5.75M
43.38%-1.97M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-182.32%-4.63M
400.80%11.87M
340.93%10.08M
-106.96%-1.62M
-135.28%-5.43M
2,365.35%5.62M
-61.52%2.37M
-383.79%-4.18M
62.15%23.24M
252.92%15.38M
Investing cash flow
Net PPE purchase and sale
-9.32%-2.98M
-85.28%-2.66M
38.40%-1.94M
-0.54%-9.21M
41.71%-1.9M
16.24%-2.72M
15.85%-1.43M
-235.75%-3.15M
-61.45%-9.16M
-489.56%-3.27M
Net investment property transactions
--0
--0
--0
-337.69%-31.84M
74.63%-1.85M
--0
--0
---30M
---7.27M
---7.27M
Net investment product transactions
----
----
----
111.36%1.33M
----
----
----
----
--627.09K
225.46%4.3M
Advance cash and loans provided to other parties
----
----
----
--0
----
----
----
----
--0
----
Dividends received (cash flow from investment activities)
--0
--0
--0
2.29%59.43K
-13.80%35.43K
-55.56%4K
500.00%12K
-27.27%8K
-81.06%58.1K
-70.60%41.1K
Interest received (cash flow from investment activities)
0.00%9K
-92.78%7K
-96.22%9K
-52.82%68.71K
-2,843.29%-275.29K
-65.38%9K
83.02%97K
213.16%238K
-48.61%145.65K
-109.22%-9.35K
Net changes in other investments
--944K
----
----
-131.23%-18.22K
-287.39%-223
--0
----
----
52.81%-7.88K
101.55%119
Investing cash flow
25.30%-2.03M
-99.40%-2.68M
94.14%-1.93M
-153.78%-39.61M
57.11%-2.66M
-966.13%-2.71M
19.21%-1.34M
-308.63%-32.9M
-173.80%-15.61M
-110.13%-6.21M
Financing cash flow
Net issuance payments of debt
262.03%6.42M
170.31%689K
-119.00%-5.5M
502.47%27M
408.24%2.98M
-311.63%-3.96M
-20.69%-980K
830.12%28.96M
-137.30%-6.71M
-21.08%-965.78K
Net common stock issuance
45.09%-2.01M
--0
--0
67.76%-4.49M
99.98%-461
-320.41%-3.67M
--0
---825K
-154.32%-13.93M
-923.62%-2.08M
Increase or decrease of lease financing
18.82%-1.02M
35.05%-504K
-38.82%-1.11M
-4.73%-2.94M
79.65%-106.12K
-25.65%-1.26M
-78.39%-776K
5.91%-796K
-12.21%-2.8M
-7.88%-521.45K
Cash dividends paid
----
----
----
----
----
----
----
----
---3.13M
--89
Interest paid (cash flow from financing activities)
43.13%-455K
62.92%-323K
-71.96%-466K
-81.19%-2.91M
-31.22%-965.01K
-769.57%-800K
-77.76%-871K
5.57%-271K
-12.19%-1.6M
-28.32%-735.39K
Financing cash flow
130.27%2.93M
94.75%-138K
-126.13%-7.07M
159.12%16.66M
144.24%1.91M
-230.80%-9.69M
79.34%-2.63M
428.78%27.07M
-251.20%-28.18M
-134.69%-4.31M
Net cash flow
Beginning cash position
-571.55%-2.29M
-686.05%-11.35M
-204.63%-12.48M
-63.23%11.93M
-188.18%-6.28M
-94.87%485K
-89.02%1.94M
-63.23%11.93M
533.57%32.43M
-78.37%7.12M
Current changes in cash
45.14%-3.72M
666.96%9.06M
110.75%1.08M
-19.55%-24.57M
-227.21%-6.18M
-183.88%-6.78M
80.55%-1.6M
32.44%-10.01M
-175.35%-20.55M
1,222.70%4.86M
Effect of exchange rate changes
-1,800.00%-255K
-100.68%-1K
250.00%56K
260.81%163.95K
75.15%-14.05K
-70.00%15K
219.57%147K
166.67%16K
16.63%45.44K
5.79%-56.56K
End cash Position
0.29%-6.26M
-571.55%-2.29M
-686.05%-11.35M
-204.63%-12.48M
-204.63%-12.48M
-188.18%-6.28M
-94.87%485K
-89.02%1.94M
-63.23%11.93M
-63.23%11.93M
Free cash flow
-366.19%-7.74M
1,100.39%9.22M
208.92%7.98M
-184.11%-11.29M
-164.15%-7.63M
187.45%2.91M
-82.17%768K
-1,464.80%-7.33M
59.51%13.42M
140.54%11.9M
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 -167.32%-4.12M244.82%12.39M608.53%10.79M-91.58%2.44M-129.64%-5.14M373.51%6.11M-50.69%3.59M-169.00%-2.12M51.42%29M121.51%17.35M
Net profit before non-cash adjustment 560.08%1.57M-7.86%1.79M178.91%4.28M-77.43%3.06M-131.81%-662.72K-91.47%238K-59.98%1.95M-59.67%1.54M-49.00%13.54M-68.18%2.08M
Total adjustment of non-cash items 37.10%3.66M-10.33%2.68M9.64%2.41M-6.87%10.56M-22.03%2.71M99.93%2.67M-14.21%2.98M-28.00%2.2M36.99%11.34M214.89%3.47M
-Depreciation and amortization 29.23%2.8M35.18%2.74M33.59%2.73M13.59%9.35M39.79%3.11M5.55%2.17M4.00%2.03M2.05%2.04M2.52%8.23M13.61%2.23M
-Reversal of impairment losses recognized in profit and loss -35.19%35K--0-61.54%10K-15.39%581.43K-23.93%501.43K5,300.00%54K--0-84.43%26K-38.74%687.17K619.03%659.17K
-Assets reserve and write-off --0--0--0-504.00%-212.06K131,860.00%144.94K--0-134.84%-162K---195K87.54%-35.11K99.98%-110
-Disposal profit 246.24%253K-237.80%-853K-935.19%-1.35M-238.29%-1.65M-1,233.03%-2.25M-652.17%-173K-26.66%619K-69.89%162K199.55%1.19M-2,047.41%-169.06K
-Net exchange gains and losses -78.10%-244K126.80%41K122.03%131K-48.45%52.39K-44.28%283.39K60.40%-137K-14.18%-153K-19.18%59K90.01%101.64K442.49%508.64K
-Other non-cash items 7.52%815K14.57%747K752.38%895K109.02%2.43M271.36%919K408.72%758K32.25%652K-61.82%105K111.33%1.16M170.11%247.47K
Changes in working capital -391.76%-9.35M692.22%7.92M169.86%4.09M-371.70%-11.17M-160.95%-7.19M213.06%3.2M-26.85%-1.34M-54.55%-5.86M126.22%4.11M6,447.14%11.79M
-Change in receivables 208.81%5.05M212.71%12.72M-717.60%-2.98M85.55%-1.1M79.46%-1.01M-4.01%-4.64M289.28%4.07M-32.07%483K-210.47%-7.65M-234.49%-4.94M
-Change in inventory -120.09%-5.32M-874.97%-6.07M100.12%3K-201.89%-8.85M-146.60%-4.62M-124.67%-2.42M119.58%783K63.14%-2.59M155.99%8.68M304.92%9.91M
-Change in payables -198.44%-8.38M118.22%1.17M449.69%3.95M-51.38%3.66M-67.03%2.72M210.57%8.51M-443.54%-6.44M-122.14%-1.13M172.22%7.53M185.86%8.25M
-Changes in other current assets -139.81%-699K-63.20%92K219.34%3.12M-9.67%-4.88M-198.51%-4.27M465.07%1.76M900.00%250K-1.99%-2.62M-233.93%-4.45M-139.02%-1.43M
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 -4.07%-512K58.07%-512K65.66%-708K29.44%-4.06M85.51%-284.94K53.72%-492K-8.63%-1.22M-28.88%-2.06M-19.49%-5.75M43.38%-1.97M
Other operating cash inflow (outflow) 0000000000
Operating cash flow -182.32%-4.63M400.80%11.87M340.93%10.08M-106.96%-1.62M-135.28%-5.43M2,365.35%5.62M-61.52%2.37M-383.79%-4.18M62.15%23.24M252.92%15.38M
Investing cash flow
Net PPE purchase and sale -9.32%-2.98M-85.28%-2.66M38.40%-1.94M-0.54%-9.21M41.71%-1.9M16.24%-2.72M15.85%-1.43M-235.75%-3.15M-61.45%-9.16M-489.56%-3.27M
Net investment property transactions --0--0--0-337.69%-31.84M74.63%-1.85M--0--0---30M---7.27M---7.27M
Net investment product transactions ------------111.36%1.33M------------------627.09K225.46%4.3M
Advance cash and loans provided to other parties --------------0------------------0----
Dividends received (cash flow from investment activities) --0--0--02.29%59.43K-13.80%35.43K-55.56%4K500.00%12K-27.27%8K-81.06%58.1K-70.60%41.1K
Interest received (cash flow from investment activities) 0.00%9K-92.78%7K-96.22%9K-52.82%68.71K-2,843.29%-275.29K-65.38%9K83.02%97K213.16%238K-48.61%145.65K-109.22%-9.35K
Net changes in other investments --944K---------131.23%-18.22K-287.39%-223--0--------52.81%-7.88K101.55%119
Investing cash flow 25.30%-2.03M-99.40%-2.68M94.14%-1.93M-153.78%-39.61M57.11%-2.66M-966.13%-2.71M19.21%-1.34M-308.63%-32.9M-173.80%-15.61M-110.13%-6.21M
Financing cash flow
Net issuance payments of debt 262.03%6.42M170.31%689K-119.00%-5.5M502.47%27M408.24%2.98M-311.63%-3.96M-20.69%-980K830.12%28.96M-137.30%-6.71M-21.08%-965.78K
Net common stock issuance 45.09%-2.01M--0--067.76%-4.49M99.98%-461-320.41%-3.67M--0---825K-154.32%-13.93M-923.62%-2.08M
Increase or decrease of lease financing 18.82%-1.02M35.05%-504K-38.82%-1.11M-4.73%-2.94M79.65%-106.12K-25.65%-1.26M-78.39%-776K5.91%-796K-12.21%-2.8M-7.88%-521.45K
Cash dividends paid -----------------------------------3.13M--89
Interest paid (cash flow from financing activities) 43.13%-455K62.92%-323K-71.96%-466K-81.19%-2.91M-31.22%-965.01K-769.57%-800K-77.76%-871K5.57%-271K-12.19%-1.6M-28.32%-735.39K
Financing cash flow 130.27%2.93M94.75%-138K-126.13%-7.07M159.12%16.66M144.24%1.91M-230.80%-9.69M79.34%-2.63M428.78%27.07M-251.20%-28.18M-134.69%-4.31M
Net cash flow
Beginning cash position -571.55%-2.29M-686.05%-11.35M-204.63%-12.48M-63.23%11.93M-188.18%-6.28M-94.87%485K-89.02%1.94M-63.23%11.93M533.57%32.43M-78.37%7.12M
Current changes in cash 45.14%-3.72M666.96%9.06M110.75%1.08M-19.55%-24.57M-227.21%-6.18M-183.88%-6.78M80.55%-1.6M32.44%-10.01M-175.35%-20.55M1,222.70%4.86M
Effect of exchange rate changes -1,800.00%-255K-100.68%-1K250.00%56K260.81%163.95K75.15%-14.05K-70.00%15K219.57%147K166.67%16K16.63%45.44K5.79%-56.56K
End cash Position 0.29%-6.26M-571.55%-2.29M-686.05%-11.35M-204.63%-12.48M-204.63%-12.48M-188.18%-6.28M-94.87%485K-89.02%1.94M-63.23%11.93M-63.23%11.93M
Free cash flow -366.19%-7.74M1,100.39%9.22M208.92%7.98M-184.11%-11.29M-164.15%-7.63M187.45%2.91M-82.17%768K-1,464.80%-7.33M59.51%13.42M140.54%11.9M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-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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