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EPOW Sunrise New Energy

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  • 0.920
  • +0.040+4.55%
Trading Jan 6 10:40 ET
24.05MMarket Cap-0.85P/E (TTM)

Sunrise New Energy Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
67.57%15.24M
-72.04%1.4M
-72.04%1.4M
-65.90%9.09M
-74.89%4.99M
-74.89%4.99M
-5.15%26.66M
81.27%19.88M
81.27%19.88M
389.03%28.11M
-Cash and cash equivalents
162.27%15.24M
-15.68%1.4M
-15.68%1.4M
-73.66%5.81M
-88.10%1.66M
-88.10%1.66M
4.86%22.05M
26.90%13.92M
26.90%13.92M
265.85%21.03M
-Short-term investments
----
--0
--0
-28.82%3.28M
-44.04%3.34M
-44.04%3.34M
-34.87%4.61M
--5.96M
--5.96M
--7.08M
Receivables
-29.37%13.72M
61.41%10.39M
61.41%10.39M
492.15%19.43M
-20.37%6.44M
-20.37%6.44M
-74.67%3.28M
-36.09%8.08M
-36.09%8.08M
65.97%12.96M
-Accounts receivable
-5.85%12.68M
72.93%8.94M
72.93%8.94M
576.29%13.47M
-24.69%5.17M
-24.69%5.17M
-84.53%1.99M
-43.84%6.86M
-43.84%6.86M
75.11%12.87M
-Loans receivable
--0
----
----
215.42%2.89M
----
----
--915.31K
5,385.35%840.69K
5,385.35%840.69K
----
-Notes receivable
-72.23%238.21K
-3.87%835.09K
-3.87%835.09K
--857.86K
--868.68K
--868.68K
----
--0
--0
----
-Accrued interest receivable
-99.49%2.64K
----
----
106.83%518.94K
----
----
--250.9K
33.84%171.84K
33.84%171.84K
----
-Related party accounts receivable
-24.93%329.24K
54.32%617.32K
54.32%617.32K
472.47%438.56K
512.80%400.02K
512.80%400.02K
-4.40%76.61K
-62.21%65.28K
-62.21%65.28K
-34.38%80.13K
-Other receivables
-51.62%607.29K
----
----
2,611.74%1.26M
----
----
--46.29K
27.25%143.02K
27.25%143.02K
----
-Recievables adjustments allowances
---137.61K
----
----
----
----
----
----
----
----
----
Inventory
21.17%25.27M
-13.57%15.84M
-13.57%15.84M
82.56%20.86M
490.23%18.33M
490.23%18.33M
333.45%11.43M
14.73%3.11M
14.73%3.11M
5.40%2.64M
Prepaid assets
111.49%5.47M
----
----
-67.22%2.58M
----
----
--7.88M
136.94%3.28M
136.94%3.28M
----
Restricted cash
54.23%1.38M
-15.68%2.22M
-15.68%2.22M
--896.39K
--2.64M
--2.64M
----
--0
--0
----
Other current assets
----
-51.29%5.96M
-51.29%5.96M
--25.43K
--12.24M
--12.24M
----
----
----
--5.58M
Total current assets
15.50%61.08M
-19.76%35.82M
-19.76%35.82M
7.38%52.88M
29.97%44.64M
29.97%44.64M
-0.06%49.25M
21.54%34.35M
21.54%34.35M
196.74%49.28M
Non current assets
Net PPE
32.17%68.69M
72.49%71.53M
72.49%71.53M
128.22%51.97M
1,059.60%41.47M
1,059.60%41.47M
509.49%22.77M
2.25%3.58M
2.25%3.58M
20.07%3.74M
-Gross PPE
39.16%75.19M
78.13%75.88M
78.13%75.88M
132.20%54.03M
960.32%42.6M
960.32%42.6M
522.80%23.27M
8.27%4.02M
8.27%4.02M
15.66%3.74M
-Accumulated depreciation
-215.62%-6.5M
-285.27%-4.35M
-285.27%-4.35M
-314.11%-2.06M
-155.74%-1.13M
-155.74%-1.13M
---497.51K
-107.18%-441.26K
-107.18%-441.26K
----
Goodwill and other intangible assets
-27.76%9.42M
-30.55%9.75M
-30.55%9.75M
-8.56%13.04M
290.71%14.05M
290.71%14.05M
261.75%14.26M
-16.28%3.59M
-16.28%3.59M
-8.68%3.94M
-Other intangible assets
-27.76%9.42M
-30.55%9.75M
-30.55%9.75M
-8.56%13.04M
290.71%14.05M
290.71%14.05M
261.75%14.26M
-16.28%3.59M
-16.28%3.59M
-8.68%3.94M
Investments and advances
-33.78%1.92M
-37.73%1.88M
-37.73%1.88M
-43.19%2.9M
-43.89%3.02M
-43.89%3.02M
17.41%5.1M
74.42%5.38M
74.42%5.38M
512.98%4.35M
Long-term notes receivables
----
----
----
----
----
----
----
--2M
--2M
----
Related parties assets
-24.93%329.24K
54.32%617.32K
54.32%617.32K
472.47%438.56K
512.80%400.02K
512.80%400.02K
-4.40%76.61K
-62.21%65.28K
-62.21%65.28K
-34.38%80.13K
Non current deferred assets
----
----
----
----
----
----
--0
41.35%852.04K
41.35%852.04K
237.59%1.3M
Non current prepaid assets
-30.29%446.53K
-61.50%1.48M
-61.50%1.48M
--640.58K
-53.47%3.84M
-53.47%3.84M
----
--8.24M
--8.24M
----
Other non current assets
-64.01%9.77K
230.89%47.51K
230.89%47.51K
-99.72%27.15K
-97.95%14.36K
-97.95%14.36K
1,267.19%9.57M
--700.06K
--700.06K
--700K
Total non current assets
17.36%80.48M
35.75%84.69M
35.75%84.69M
32.63%68.58M
156.20%62.38M
156.20%62.38M
268.60%51.71M
112.12%24.35M
112.12%24.35M
64.57%14.03M
Total assets
16.55%141.56M
12.60%120.5M
12.60%120.5M
20.31%121.46M
82.34%107.02M
82.34%107.02M
59.47%100.96M
47.71%58.7M
47.71%58.7M
151.91%63.31M
Liabilities
Current liabilities
Payables
122.58%51.17M
177.01%39.43M
177.01%39.43M
230.03%22.99M
1,181.18%14.23M
1,181.18%14.23M
281.34%6.97M
-78.69%1.11M
-78.69%1.11M
-18.08%1.83M
-accounts payable
131.94%44.34M
176.29%33.87M
176.29%33.87M
259.99%19.12M
35,450.00%12.26M
35,450.00%12.26M
9,800.85%5.31M
2.34%34.49K
2.34%34.49K
-68.85%53.64K
-Total tax payable
-7.08%479.99K
-1.04%501.37K
-1.04%501.37K
-35.46%516.54K
-52.94%506.64K
-52.94%506.64K
-54.86%800.39K
-79.22%1.08M
-79.22%1.08M
-11.89%1.77M
-Due to related parties current
106.71%5.76M
404.34%4.46M
404.34%4.46M
252.66%2.79M
--885.15K
--885.15K
--789.73K
--0
--0
----
-Other payable
3.41%588.59K
1.54%591.37K
1.54%591.37K
778.88%569.2K
--582.38K
--582.38K
--64.76K
----
----
----
Current accrued expenses
83.39%1.69M
144.01%1.56M
144.01%1.56M
240.75%923.1K
93.34%639.76K
93.34%639.76K
-21.45%270.9K
1,176.28%330.9K
1,176.28%330.9K
281.25%344.88K
Current debt and capital lease obligation
10.79%14.38M
150.43%18.99M
150.43%18.99M
20,132.59%12.98M
7,516.20%7.58M
7,516.20%7.58M
-57.63%64.14K
57.29%99.57K
57.29%99.57K
11.39%151.38K
-Current debt
-23.00%8.02M
116.00%16.38M
116.00%16.38M
--10.42M
--7.58M
--7.58M
----
----
----
----
-Current capital lease obligation
148.23%6.36M
--2.61M
--2.61M
3,892.86%2.56M
--0
--0
-57.63%64.14K
57.29%99.57K
57.29%99.57K
11.39%151.38K
Current deferred liabilities
-9.47%3.35M
-1.66%3.51M
-1.66%3.51M
-19.16%3.7M
1,887.86%3.57M
1,887.86%3.57M
1,376.06%4.57M
-28.33%179.41K
-28.33%179.41K
-26.75%309.76K
Other current liabilities
----
----
----
----
----
----
--22.21K
----
----
----
Current liabilities
73.92%70.58M
143.97%63.49M
143.97%63.49M
241.19%40.58M
1,412.22%26.02M
1,412.22%26.02M
351.83%11.89M
-69.18%1.72M
-69.18%1.72M
-14.30%2.63M
Non current liabilities
Long term debt and capital lease obligation
169.53%29.15M
115.39%8.79M
115.39%8.79M
--10.81M
--4.08M
--4.08M
--0
----
----
152.59%78.46K
-Long term debt
271.68%27.01M
59.12%6.49M
59.12%6.49M
--7.27M
--4.08M
--4.08M
----
----
----
----
-Long term capital lease obligation
-39.63%2.14M
--2.3M
--2.3M
--3.55M
--0
--0
--0
----
----
152.59%78.46K
Non current deferred liabilities
-0.45%190.61K
-2.13%195.33K
-2.13%195.33K
--191.47K
--199.58K
--199.58K
----
--0
--0
----
Total non current liabilities
124.12%32.03M
52.99%11.68M
52.99%11.68M
--14.29M
--7.64M
--7.64M
--0
--0
--0
152.59%78.46K
Total liabilities
86.99%102.61M
123.32%75.17M
123.32%75.17M
361.34%54.88M
1,856.02%33.66M
1,856.02%33.66M
338.76%11.89M
-69.20%1.72M
-69.20%1.72M
-12.63%2.71M
Shareholders'equity
Share capital
3.08%2.61K
3.08%2.61K
3.08%2.61K
3.38%2.54K
3.38%2.54K
3.38%2.54K
0.00%2.45K
46.01%2.45K
46.01%2.45K
46.01%2.45K
-common stock
3.08%2.61K
3.08%2.61K
3.08%2.61K
3.38%2.54K
3.38%2.54K
3.38%2.54K
0.00%2.45K
46.01%2.45K
46.01%2.45K
46.01%2.45K
Retained earnings
-219.08%-34.92M
-388.69%-30.47M
-388.69%-30.47M
-212.74%-10.94M
-136.12%-6.23M
-136.12%-6.23M
-59.81%9.71M
-32.74%17.26M
-32.74%17.26M
44.59%24.15M
Paid-in capital
-6.47%32.24M
-3.46%32.62M
-3.46%32.62M
7.84%34.47M
5.70%33.79M
5.70%33.79M
-0.16%31.97M
616.40%31.97M
616.40%31.97M
617.55%32.02M
Gains losses not affecting retained earnings
74.92%-82.69K
-56.45%488.85K
-56.45%488.85K
-112.21%-329.72K
-75.72%1.12M
-75.72%1.12M
-38.09%2.7M
18.17%4.62M
18.17%4.62M
504.29%4.36M
Total stockholders'equity
-111.87%-2.75M
-90.78%2.65M
-90.78%2.65M
-47.71%23.2M
-46.74%28.68M
-46.74%28.68M
-26.69%44.38M
58.21%53.85M
58.21%53.85M
176.54%60.54M
Noncontrolling interests
-3.87%41.7M
-4.46%42.69M
-4.46%42.69M
-2.92%43.38M
1,331.06%44.68M
1,331.06%44.68M
71,081.83%44.69M
2,709.04%3.12M
2,709.04%3.12M
-54.53%62.78K
Total equity
-41.51%38.95M
-38.21%45.33M
-38.21%45.33M
-25.24%66.59M
28.76%73.36M
28.76%73.36M
46.98%89.07M
66.83%56.97M
66.83%56.97M
175.09%60.6M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
Unqualified Opinion with Explanatory Notes
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 67.57%15.24M-72.04%1.4M-72.04%1.4M-65.90%9.09M-74.89%4.99M-74.89%4.99M-5.15%26.66M81.27%19.88M81.27%19.88M389.03%28.11M
-Cash and cash equivalents 162.27%15.24M-15.68%1.4M-15.68%1.4M-73.66%5.81M-88.10%1.66M-88.10%1.66M4.86%22.05M26.90%13.92M26.90%13.92M265.85%21.03M
-Short-term investments ------0--0-28.82%3.28M-44.04%3.34M-44.04%3.34M-34.87%4.61M--5.96M--5.96M--7.08M
Receivables -29.37%13.72M61.41%10.39M61.41%10.39M492.15%19.43M-20.37%6.44M-20.37%6.44M-74.67%3.28M-36.09%8.08M-36.09%8.08M65.97%12.96M
-Accounts receivable -5.85%12.68M72.93%8.94M72.93%8.94M576.29%13.47M-24.69%5.17M-24.69%5.17M-84.53%1.99M-43.84%6.86M-43.84%6.86M75.11%12.87M
-Loans receivable --0--------215.42%2.89M----------915.31K5,385.35%840.69K5,385.35%840.69K----
-Notes receivable -72.23%238.21K-3.87%835.09K-3.87%835.09K--857.86K--868.68K--868.68K------0--0----
-Accrued interest receivable -99.49%2.64K--------106.83%518.94K----------250.9K33.84%171.84K33.84%171.84K----
-Related party accounts receivable -24.93%329.24K54.32%617.32K54.32%617.32K472.47%438.56K512.80%400.02K512.80%400.02K-4.40%76.61K-62.21%65.28K-62.21%65.28K-34.38%80.13K
-Other receivables -51.62%607.29K--------2,611.74%1.26M----------46.29K27.25%143.02K27.25%143.02K----
-Recievables adjustments allowances ---137.61K------------------------------------
Inventory 21.17%25.27M-13.57%15.84M-13.57%15.84M82.56%20.86M490.23%18.33M490.23%18.33M333.45%11.43M14.73%3.11M14.73%3.11M5.40%2.64M
Prepaid assets 111.49%5.47M---------67.22%2.58M----------7.88M136.94%3.28M136.94%3.28M----
Restricted cash 54.23%1.38M-15.68%2.22M-15.68%2.22M--896.39K--2.64M--2.64M------0--0----
Other current assets -----51.29%5.96M-51.29%5.96M--25.43K--12.24M--12.24M--------------5.58M
Total current assets 15.50%61.08M-19.76%35.82M-19.76%35.82M7.38%52.88M29.97%44.64M29.97%44.64M-0.06%49.25M21.54%34.35M21.54%34.35M196.74%49.28M
Non current assets
Net PPE 32.17%68.69M72.49%71.53M72.49%71.53M128.22%51.97M1,059.60%41.47M1,059.60%41.47M509.49%22.77M2.25%3.58M2.25%3.58M20.07%3.74M
-Gross PPE 39.16%75.19M78.13%75.88M78.13%75.88M132.20%54.03M960.32%42.6M960.32%42.6M522.80%23.27M8.27%4.02M8.27%4.02M15.66%3.74M
-Accumulated depreciation -215.62%-6.5M-285.27%-4.35M-285.27%-4.35M-314.11%-2.06M-155.74%-1.13M-155.74%-1.13M---497.51K-107.18%-441.26K-107.18%-441.26K----
Goodwill and other intangible assets -27.76%9.42M-30.55%9.75M-30.55%9.75M-8.56%13.04M290.71%14.05M290.71%14.05M261.75%14.26M-16.28%3.59M-16.28%3.59M-8.68%3.94M
-Other intangible assets -27.76%9.42M-30.55%9.75M-30.55%9.75M-8.56%13.04M290.71%14.05M290.71%14.05M261.75%14.26M-16.28%3.59M-16.28%3.59M-8.68%3.94M
Investments and advances -33.78%1.92M-37.73%1.88M-37.73%1.88M-43.19%2.9M-43.89%3.02M-43.89%3.02M17.41%5.1M74.42%5.38M74.42%5.38M512.98%4.35M
Long-term notes receivables ------------------------------2M--2M----
Related parties assets -24.93%329.24K54.32%617.32K54.32%617.32K472.47%438.56K512.80%400.02K512.80%400.02K-4.40%76.61K-62.21%65.28K-62.21%65.28K-34.38%80.13K
Non current deferred assets --------------------------041.35%852.04K41.35%852.04K237.59%1.3M
Non current prepaid assets -30.29%446.53K-61.50%1.48M-61.50%1.48M--640.58K-53.47%3.84M-53.47%3.84M------8.24M--8.24M----
Other non current assets -64.01%9.77K230.89%47.51K230.89%47.51K-99.72%27.15K-97.95%14.36K-97.95%14.36K1,267.19%9.57M--700.06K--700.06K--700K
Total non current assets 17.36%80.48M35.75%84.69M35.75%84.69M32.63%68.58M156.20%62.38M156.20%62.38M268.60%51.71M112.12%24.35M112.12%24.35M64.57%14.03M
Total assets 16.55%141.56M12.60%120.5M12.60%120.5M20.31%121.46M82.34%107.02M82.34%107.02M59.47%100.96M47.71%58.7M47.71%58.7M151.91%63.31M
Liabilities
Current liabilities
Payables 122.58%51.17M177.01%39.43M177.01%39.43M230.03%22.99M1,181.18%14.23M1,181.18%14.23M281.34%6.97M-78.69%1.11M-78.69%1.11M-18.08%1.83M
-accounts payable 131.94%44.34M176.29%33.87M176.29%33.87M259.99%19.12M35,450.00%12.26M35,450.00%12.26M9,800.85%5.31M2.34%34.49K2.34%34.49K-68.85%53.64K
-Total tax payable -7.08%479.99K-1.04%501.37K-1.04%501.37K-35.46%516.54K-52.94%506.64K-52.94%506.64K-54.86%800.39K-79.22%1.08M-79.22%1.08M-11.89%1.77M
-Due to related parties current 106.71%5.76M404.34%4.46M404.34%4.46M252.66%2.79M--885.15K--885.15K--789.73K--0--0----
-Other payable 3.41%588.59K1.54%591.37K1.54%591.37K778.88%569.2K--582.38K--582.38K--64.76K------------
Current accrued expenses 83.39%1.69M144.01%1.56M144.01%1.56M240.75%923.1K93.34%639.76K93.34%639.76K-21.45%270.9K1,176.28%330.9K1,176.28%330.9K281.25%344.88K
Current debt and capital lease obligation 10.79%14.38M150.43%18.99M150.43%18.99M20,132.59%12.98M7,516.20%7.58M7,516.20%7.58M-57.63%64.14K57.29%99.57K57.29%99.57K11.39%151.38K
-Current debt -23.00%8.02M116.00%16.38M116.00%16.38M--10.42M--7.58M--7.58M----------------
-Current capital lease obligation 148.23%6.36M--2.61M--2.61M3,892.86%2.56M--0--0-57.63%64.14K57.29%99.57K57.29%99.57K11.39%151.38K
Current deferred liabilities -9.47%3.35M-1.66%3.51M-1.66%3.51M-19.16%3.7M1,887.86%3.57M1,887.86%3.57M1,376.06%4.57M-28.33%179.41K-28.33%179.41K-26.75%309.76K
Other current liabilities --------------------------22.21K------------
Current liabilities 73.92%70.58M143.97%63.49M143.97%63.49M241.19%40.58M1,412.22%26.02M1,412.22%26.02M351.83%11.89M-69.18%1.72M-69.18%1.72M-14.30%2.63M
Non current liabilities
Long term debt and capital lease obligation 169.53%29.15M115.39%8.79M115.39%8.79M--10.81M--4.08M--4.08M--0--------152.59%78.46K
-Long term debt 271.68%27.01M59.12%6.49M59.12%6.49M--7.27M--4.08M--4.08M----------------
-Long term capital lease obligation -39.63%2.14M--2.3M--2.3M--3.55M--0--0--0--------152.59%78.46K
Non current deferred liabilities -0.45%190.61K-2.13%195.33K-2.13%195.33K--191.47K--199.58K--199.58K------0--0----
Total non current liabilities 124.12%32.03M52.99%11.68M52.99%11.68M--14.29M--7.64M--7.64M--0--0--0152.59%78.46K
Total liabilities 86.99%102.61M123.32%75.17M123.32%75.17M361.34%54.88M1,856.02%33.66M1,856.02%33.66M338.76%11.89M-69.20%1.72M-69.20%1.72M-12.63%2.71M
Shareholders'equity
Share capital 3.08%2.61K3.08%2.61K3.08%2.61K3.38%2.54K3.38%2.54K3.38%2.54K0.00%2.45K46.01%2.45K46.01%2.45K46.01%2.45K
-common stock 3.08%2.61K3.08%2.61K3.08%2.61K3.38%2.54K3.38%2.54K3.38%2.54K0.00%2.45K46.01%2.45K46.01%2.45K46.01%2.45K
Retained earnings -219.08%-34.92M-388.69%-30.47M-388.69%-30.47M-212.74%-10.94M-136.12%-6.23M-136.12%-6.23M-59.81%9.71M-32.74%17.26M-32.74%17.26M44.59%24.15M
Paid-in capital -6.47%32.24M-3.46%32.62M-3.46%32.62M7.84%34.47M5.70%33.79M5.70%33.79M-0.16%31.97M616.40%31.97M616.40%31.97M617.55%32.02M
Gains losses not affecting retained earnings 74.92%-82.69K-56.45%488.85K-56.45%488.85K-112.21%-329.72K-75.72%1.12M-75.72%1.12M-38.09%2.7M18.17%4.62M18.17%4.62M504.29%4.36M
Total stockholders'equity -111.87%-2.75M-90.78%2.65M-90.78%2.65M-47.71%23.2M-46.74%28.68M-46.74%28.68M-26.69%44.38M58.21%53.85M58.21%53.85M176.54%60.54M
Noncontrolling interests -3.87%41.7M-4.46%42.69M-4.46%42.69M-2.92%43.38M1,331.06%44.68M1,331.06%44.68M71,081.83%44.69M2,709.04%3.12M2,709.04%3.12M-54.53%62.78K
Total equity -41.51%38.95M-38.21%45.33M-38.21%45.33M-25.24%66.59M28.76%73.36M28.76%73.36M46.98%89.07M66.83%56.97M66.83%56.97M175.09%60.6M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes----Unqualified Opinion with Explanatory Notes----Unqualified Opinion----
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