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FKWL Franklin Wireless

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  • 6.920
  • +0.310+4.69%
Close Feb 28 16:00 ET
  • 6.920
  • 0.0000.00%
Post 20:01 ET
81.55MMarket Cap-36.42P/E (TTM)

Franklin Wireless Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2024
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
382.58%2.74M
151.13%2.67M
58.91%-773.36K
22.22%6.2M
-640.99%-778.98K
84.06%-970.22K
-416.07%-5.22M
74.59%-1.88M
4,671.38%5.07M
-87.36%143.99K
Net income from continuing operations
87.16%-83.45K
292.36%648.66K
-41.50%-4.17M
-13.58%-1.87M
-719.13%-1.31M
-675.33%-649.66K
76.36%-337.2K
19.82%-2.94M
-146.96%-1.65M
126.91%211.64K
Operating gains losses
--1.1M
---759.9K
344.58%582.84K
----
----
----
----
-520.64%-238.31K
---48.01K
---25.29K
Depreciation and amortization
-18.56%269.7K
-65.10%115.97K
-125.78%-306.2K
0.88%333.07K
-507.07%-1.3M
23.20%331.18K
23.72%332.24K
22.25%1.19M
20.41%330.16K
21.12%320.01K
Deferred tax
177.89%167.73K
192.57%47.08K
-7.96%-958.76K
-16.69%-384.44K
46.26%-308.12K
-281.16%-215.33K
51.18%-50.86K
7.48%-888.08K
-255.80%-329.45K
-140.03%-573.31K
Change In working capital
331.18%1.21M
148.51%2.53M
1,195.31%3.76M
12.78%7.43M
5,897.29%2.07M
91.82%-523.59K
-7,629.09%-5.22M
106.79%290.54K
10,403.86%6.59M
-97.96%34.55K
-Change in receivables
93.74%-225.6K
35.17%-634.08K
201.25%7.72M
625.78%9.11M
271.09%3.19M
49.56%-3.6M
-351.72%-978.09K
-732.47%-7.63M
-337.80%-1.73M
199.01%859.93K
-Change in inventory
-247.31%-1.62M
-176.22%-1.13M
401.99%2.29M
-114.54%-315.39K
-98.38%23.92K
147.19%1.1M
272.94%1.48M
114.16%456.23K
-37.18%2.17M
125.81%1.48M
-Change in prepaid assets
23.67%-94.77K
119.65%11.24K
-119.68%-23.79K
737.79%116.02K
-79.95%41.57K
9.87%-124.16K
-252.65%-57.22K
192.93%120.92K
-95.07%13.85K
181.74%207.34K
-Change in payables and accrued expense
48.36%3.21M
172.88%4.13M
-197.38%-7.5M
-121.15%-1.31M
-15.11%-2.69M
-35.03%2.16M
-1,245.60%-5.67M
474.08%7.71M
246.83%6.21M
-127.28%-2.33M
-Change in other current assets
--0
--0
104.15%3.55K
113.01%11.24K
52.64%4.37K
-21.13%-14.45K
-75.84%2.39K
-692.54%-85.59K
4.50%-86.42K
-97.13%2.86K
-Change in other current liabilities
38.92%-48.84K
276.93%140.05K
533.44%1.34M
20.54%-62.27K
2,110.56%1.56M
-4.07%-79.95K
-4.07%-79.16K
2.73%-308.83K
-4.07%-78.37K
-4.07%-77.59K
-Change in other working capital
-119.92%-6.34K
-85.70%11.58K
-314.76%-64.31K
-222.08%-113.42K
38.49%-63.67K
207.63%31.82K
15.48%80.97K
-87.07%29.95K
171.52%92.91K
-256.67%-103.52K
Cash from discontinued investing activities
Operating cash flow
382.58%2.74M
151.13%2.67M
58.91%-773.36K
22.22%6.2M
-640.99%-778.98K
84.06%-970.22K
-416.07%-5.22M
74.59%-1.88M
4,671.38%5.07M
-87.36%143.99K
Investing cash flow
Cash flow from continuing investing activities
484.91%2.97M
-238.99%-334.79K
105.98%723.86K
89.48%-1.09M
894.59%2.69M
60.43%-770.72K
-117.83%-98.76K
-3.72%-12.11M
-4.88%-10.38M
74.03%-337.94K
Capital expenditure reported
50.27%-25.59K
37.78%-14K
92.44%-123.36K
94.38%-1.65K
91.40%-47.76K
90.71%-51.45K
95.44%-22.5K
-147.72%-1.63M
83.96%-29.38K
-2,460.40%-555.02K
Net PPE purchase and sale
153.64%7.26K
-787.68%-21.54K
-16.81%-55.03K
-6.02%-2.01K
-13,773.80%-37.06K
28.05%-13.53K
90.90%-2.43K
-11.93%-47.11K
24.69%-1.89K
101.60%271
Net intangibles purchase and sale
----
---7.37K
80.04%-7.79K
89.78%-2.71K
----
----
--0
-64.24%-39.05K
-1,993.92%-26.48K
79.40%-4.81K
Net investment purchase and sale
521.91%2.98M
-295.32%-291.87K
108.76%910.03K
89.48%-1.09M
1,152.23%2.78M
48.64%-705.74K
-106.83%-73.83K
5.10%-10.39M
-6.28%-10.32M
117.88%221.62K
Cash from discontinued investing activities
Investing cash flow
484.91%2.97M
-238.99%-334.79K
105.98%723.86K
89.48%-1.09M
894.59%2.69M
60.43%-770.72K
-117.83%-98.76K
-3.72%-12.11M
-4.88%-10.38M
74.03%-337.94K
Financing cash flow
Cash flow from continuing financing activities
0
0
112.04%91.06K
8,994.47%90.01K
395.79%3.09K
-102.27%-1.02K
-1.02K
-43.08%42.94K
-101.88%-1.01K
-1.05K
Net issuance payments of debt
--0
--0
4,526.69%91.06K
2.30%90.01K
--3.09K
---1.02K
---1.02K
---2.06K
--87.99K
----
Proceeds from stock option exercised by employees
----
----
--0
--0
----
----
----
-40.35%45K
-265.27%-89K
--0
Cash from discontinued financing activities
Financing cash flow
--0
--0
112.04%91.06K
8,994.47%90.01K
395.79%3.09K
-102.27%-1.02K
---1.02K
-43.08%42.94K
-101.88%-1.01K
---1.05K
Net cash flow
Beginning cash position
113.57%14.62M
0.21%12.27M
-53.42%12.24M
-60.13%7M
-70.72%5.24M
-73.16%6.84M
-53.42%12.24M
-42.62%26.28M
-51.80%17.57M
-51.22%17.9M
Current changes in cash
427.69%5.71M
143.89%2.34M
100.30%41.56K
197.94%5.2M
1,079.19%1.91M
78.19%-1.74M
-1,061.59%-5.32M
26.61%-13.95M
46.68%-5.31M
-20.46%-195K
Effect of exchange rate changes
-145.59%-63.42K
120.95%15.39K
81.45%-16.29K
393.83%64.83K
-5.02%-146.76K
-64.17%139.11K
76.62%-73.47K
82.84%-87.78K
90.19%-22.07K
-62.55%-139.75K
End cash Position
286.56%20.26M
113.57%14.62M
0.21%12.27M
0.21%12.27M
-60.13%7M
-70.72%5.24M
-73.16%6.84M
-53.42%12.24M
-53.42%12.24M
-51.80%17.57M
Free cash flow
362.77%2.72M
150.07%2.63M
73.34%-959.54K
23.50%6.19M
-109.08%-868.88K
84.46%-1.04M
-241.03%-5.25M
55.73%-3.6M
1,798.35%5.01M
-138.57%-415.57K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
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(Q2)Dec 31, 2024(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 382.58%2.74M151.13%2.67M58.91%-773.36K22.22%6.2M-640.99%-778.98K84.06%-970.22K-416.07%-5.22M74.59%-1.88M4,671.38%5.07M-87.36%143.99K
Net income from continuing operations 87.16%-83.45K292.36%648.66K-41.50%-4.17M-13.58%-1.87M-719.13%-1.31M-675.33%-649.66K76.36%-337.2K19.82%-2.94M-146.96%-1.65M126.91%211.64K
Operating gains losses --1.1M---759.9K344.58%582.84K-----------------520.64%-238.31K---48.01K---25.29K
Depreciation and amortization -18.56%269.7K-65.10%115.97K-125.78%-306.2K0.88%333.07K-507.07%-1.3M23.20%331.18K23.72%332.24K22.25%1.19M20.41%330.16K21.12%320.01K
Deferred tax 177.89%167.73K192.57%47.08K-7.96%-958.76K-16.69%-384.44K46.26%-308.12K-281.16%-215.33K51.18%-50.86K7.48%-888.08K-255.80%-329.45K-140.03%-573.31K
Change In working capital 331.18%1.21M148.51%2.53M1,195.31%3.76M12.78%7.43M5,897.29%2.07M91.82%-523.59K-7,629.09%-5.22M106.79%290.54K10,403.86%6.59M-97.96%34.55K
-Change in receivables 93.74%-225.6K35.17%-634.08K201.25%7.72M625.78%9.11M271.09%3.19M49.56%-3.6M-351.72%-978.09K-732.47%-7.63M-337.80%-1.73M199.01%859.93K
-Change in inventory -247.31%-1.62M-176.22%-1.13M401.99%2.29M-114.54%-315.39K-98.38%23.92K147.19%1.1M272.94%1.48M114.16%456.23K-37.18%2.17M125.81%1.48M
-Change in prepaid assets 23.67%-94.77K119.65%11.24K-119.68%-23.79K737.79%116.02K-79.95%41.57K9.87%-124.16K-252.65%-57.22K192.93%120.92K-95.07%13.85K181.74%207.34K
-Change in payables and accrued expense 48.36%3.21M172.88%4.13M-197.38%-7.5M-121.15%-1.31M-15.11%-2.69M-35.03%2.16M-1,245.60%-5.67M474.08%7.71M246.83%6.21M-127.28%-2.33M
-Change in other current assets --0--0104.15%3.55K113.01%11.24K52.64%4.37K-21.13%-14.45K-75.84%2.39K-692.54%-85.59K4.50%-86.42K-97.13%2.86K
-Change in other current liabilities 38.92%-48.84K276.93%140.05K533.44%1.34M20.54%-62.27K2,110.56%1.56M-4.07%-79.95K-4.07%-79.16K2.73%-308.83K-4.07%-78.37K-4.07%-77.59K
-Change in other working capital -119.92%-6.34K-85.70%11.58K-314.76%-64.31K-222.08%-113.42K38.49%-63.67K207.63%31.82K15.48%80.97K-87.07%29.95K171.52%92.91K-256.67%-103.52K
Cash from discontinued investing activities
Operating cash flow 382.58%2.74M151.13%2.67M58.91%-773.36K22.22%6.2M-640.99%-778.98K84.06%-970.22K-416.07%-5.22M74.59%-1.88M4,671.38%5.07M-87.36%143.99K
Investing cash flow
Cash flow from continuing investing activities 484.91%2.97M-238.99%-334.79K105.98%723.86K89.48%-1.09M894.59%2.69M60.43%-770.72K-117.83%-98.76K-3.72%-12.11M-4.88%-10.38M74.03%-337.94K
Capital expenditure reported 50.27%-25.59K37.78%-14K92.44%-123.36K94.38%-1.65K91.40%-47.76K90.71%-51.45K95.44%-22.5K-147.72%-1.63M83.96%-29.38K-2,460.40%-555.02K
Net PPE purchase and sale 153.64%7.26K-787.68%-21.54K-16.81%-55.03K-6.02%-2.01K-13,773.80%-37.06K28.05%-13.53K90.90%-2.43K-11.93%-47.11K24.69%-1.89K101.60%271
Net intangibles purchase and sale -------7.37K80.04%-7.79K89.78%-2.71K----------0-64.24%-39.05K-1,993.92%-26.48K79.40%-4.81K
Net investment purchase and sale 521.91%2.98M-295.32%-291.87K108.76%910.03K89.48%-1.09M1,152.23%2.78M48.64%-705.74K-106.83%-73.83K5.10%-10.39M-6.28%-10.32M117.88%221.62K
Cash from discontinued investing activities
Investing cash flow 484.91%2.97M-238.99%-334.79K105.98%723.86K89.48%-1.09M894.59%2.69M60.43%-770.72K-117.83%-98.76K-3.72%-12.11M-4.88%-10.38M74.03%-337.94K
Financing cash flow
Cash flow from continuing financing activities 00112.04%91.06K8,994.47%90.01K395.79%3.09K-102.27%-1.02K-1.02K-43.08%42.94K-101.88%-1.01K-1.05K
Net issuance payments of debt --0--04,526.69%91.06K2.30%90.01K--3.09K---1.02K---1.02K---2.06K--87.99K----
Proceeds from stock option exercised by employees ----------0--0-------------40.35%45K-265.27%-89K--0
Cash from discontinued financing activities
Financing cash flow --0--0112.04%91.06K8,994.47%90.01K395.79%3.09K-102.27%-1.02K---1.02K-43.08%42.94K-101.88%-1.01K---1.05K
Net cash flow
Beginning cash position 113.57%14.62M0.21%12.27M-53.42%12.24M-60.13%7M-70.72%5.24M-73.16%6.84M-53.42%12.24M-42.62%26.28M-51.80%17.57M-51.22%17.9M
Current changes in cash 427.69%5.71M143.89%2.34M100.30%41.56K197.94%5.2M1,079.19%1.91M78.19%-1.74M-1,061.59%-5.32M26.61%-13.95M46.68%-5.31M-20.46%-195K
Effect of exchange rate changes -145.59%-63.42K120.95%15.39K81.45%-16.29K393.83%64.83K-5.02%-146.76K-64.17%139.11K76.62%-73.47K82.84%-87.78K90.19%-22.07K-62.55%-139.75K
End cash Position 286.56%20.26M113.57%14.62M0.21%12.27M0.21%12.27M-60.13%7M-70.72%5.24M-73.16%6.84M-53.42%12.24M-53.42%12.24M-51.80%17.57M
Free cash flow 362.77%2.72M150.07%2.63M73.34%-959.54K23.50%6.19M-109.08%-868.88K84.46%-1.04M-241.03%-5.25M55.73%-3.6M1,798.35%5.01M-138.57%-415.57K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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