US Stock MarketDetailed Quotes

GRNQ Greenpro Capital

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  • 1.0600
  • +0.0300+2.91%
Close Dec 26 16:00 ET
8.03MMarket Cap-1.23P/E (TTM)

Greenpro Capital 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 flow from continuing operating activities
24.08%-151.01K
-45.95%-500.82K
28.14%-540.04K
33.63%-1.59M
-22.72%-301.14K
74.91%-198.9K
41.82%-343.15K
3.02%-751.52K
-18.76%-2.4M
-231.33%-245.39K
Net income from continuing operations
-173.01%-330.32K
-108.49%-565.75K
-1,344.12%-272.91K
116.76%1.05M
-43.31%-5.51M
73.28%-120.99K
799.73%6.66M
102.17%21.94K
56.40%-6.26M
-206.08%-3.85M
Operating gains losses
---127.62K
---17.32K
-17,997,900.00%-179.98K
99.91%-154
-100.16%-153
--0
--0
100.00%-1
89.04%-180.49K
-82.42%94.32K
Depreciation and amortization
5.74%62.4K
3.92%61.29K
5.01%61.33K
-0.26%237.89K
7.30%61.49K
2.21%59.01K
-2.17%58.98K
-7.55%58.4K
-24.91%238.5K
-8.20%57.31K
Change In working capital
296.83%297.58K
108.57%5.43K
48.44%-276.25K
6.22%-1.03M
-2,019.20%-276.73K
65.40%-151.19K
82.97%-63.34K
-78.10%-535.82K
-317.34%-1.1M
-96.30%14.42K
-Change in receivables
321.70%145.71K
30.34%-31.17K
-11.92%-139.83K
-192.78%-460.32K
-90.90%-224.91K
-81.67%-65.72K
-227.82%-44.75K
-226.73%-124.94K
-197.72%-157.23K
-954.05%-117.82K
-Change in prepaid assets
-122.70%-11.75K
502.81%27.95K
265.87%174.32K
127.53%165.37K
192.33%72.91K
127.12%51.76K
98.19%-6.94K
192.92%47.65K
-972.64%-600.78K
-76.71%24.94K
-Change in payables and accrued expense
-50.16%65.93K
30.38%57.37K
11.61%-271.92K
-14.95%-34.68K
-75.92%96.68K
713.78%132.28K
169.71%44K
20.05%-307.63K
-134.59%-30.17K
163.69%401.49K
-Change in other current liabilities
-4.50%-23.85K
-4.38%-23.54K
-3.66%-23.28K
-1.85%-90.91K
-1.84%-23.08K
-2.00%-22.82K
-1.74%-22.55K
-1.82%-22.46K
37.85%-89.26K
-3.79%-22.66K
-Change in other working capital
149.27%121.53K
23.93%-25.18K
87.90%-15.54K
-178.52%-606.53K
26.96%-198.32K
-21.04%-246.68K
-153.35%-33.1K
-165.69%-128.43K
-165.87%-217.76K
-295.65%-271.54K
Cash from discontinued investing activities
Operating cash flow
24.08%-151.01K
-45.95%-500.82K
28.14%-540.04K
33.63%-1.59M
-22.72%-301.14K
74.91%-198.9K
41.82%-343.15K
3.02%-751.52K
-18.76%-2.4M
-231.33%-245.39K
Investing cash flow
Cash flow from continuing investing activities
21,845.76%124.21K
323.01%32.95K
35,320.00%176.1K
-111.32%-94.64K
-2,664,433.33%-79.93K
-99.91%566
-1,586.76%-14.78K
-100.28%-500
2,254.41%836.17K
100.09%3
Net PPE purchase and sale
-107.10%-695
--0
---4.4K
-3,037.93%-94.64K
-11,512.31%-89.65K
7,603.15%9.78K
-12,016.13%-14.78K
--0
92.28%-3.02K
77.48%-772
Net investment purchase and sale
24,881.60%124.91K
--17.32K
36,200.00%180.5K
--0
--0
--500
--0
16.67%-500
92.18%-850
--400
Cash from discontinued investing activities
Investing cash flow
21,845.76%124.21K
323.01%32.95K
35,320.00%176.1K
-111.32%-94.64K
-2,664,433.33%-79.93K
-99.91%566
-1,586.76%-14.78K
-100.28%-500
2,254.41%836.17K
100.09%3
Financing cash flow
Cash flow from continuing financing activities
-292.43%-41.63K
-11.55%64.19K
-60.11%-206.09K
-104.41%-5.97K
-88.98%60.8K
96.71%-10.61K
-7.91%72.57K
25.41%-128.72K
-97.85%135.42K
177.95%551.8K
Net issuance payments of debt
-45.21%-1.18K
-101.47%-548
---809
---1.9K
---816
---814
---272
--0
--0
--0
Net other financing activities
-312.98%-40.45K
-11.10%64.73K
-59.50%-205.28K
-103.00%-4.07K
-88.83%61.61K
96.96%-9.79K
-7.59%72.82K
25.42%-128.7K
-96.40%135.42K
180.24%551.8K
Cash from discontinued financing activities
Financing cash flow
-292.43%-41.63K
-11.52%64.19K
-60.13%-206.09K
-104.41%-5.97K
-88.98%60.8K
96.71%-10.61K
-7.94%72.55K
25.42%-128.7K
-97.85%135.42K
177.95%551.8K
Net cash flow
Beginning cash position
-57.00%1.19M
-45.41%1.65M
-43.16%2.22M
-26.73%3.91M
-29.81%2.56M
-32.43%2.77M
-33.56%3.03M
-26.73%3.91M
391.24%5.34M
-39.34%3.65M
Current changes in cash
67.25%-68.43K
-41.45%-403.68K
35.28%-570.03K
-18.46%-1.7M
-204.52%-320.28K
54.55%-208.94K
44.25%-285.38K
-14.97%-880.72K
-133.12%-1.43M
158.42%306.42K
Effect of exchange rate changes
-5,403.34%-93.55K
-381.22%-61.07K
257.98%1.08K
68.71%6.99K
61.49%-15.81K
-85.12%1.76K
-51.73%21.72K
94.14%-683
106.02%4.14K
72.16%-41.05K
End cash Position
-59.85%1.03M
-57.00%1.19M
-45.41%1.65M
-43.16%2.22M
-43.16%2.22M
-29.81%2.56M
-32.43%2.77M
-33.56%3.03M
-26.73%3.91M
-26.73%3.91M
Free cash flow
19.78%-151.7K
-39.92%-500.82K
27.55%-544.44K
29.76%-1.69M
-58.90%-391.16K
76.14%-189.12K
39.30%-357.93K
3.33%-751.52K
-16.64%-2.41M
-234.41%-246.16K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(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 flow from continuing operating activities 24.08%-151.01K-45.95%-500.82K28.14%-540.04K33.63%-1.59M-22.72%-301.14K74.91%-198.9K41.82%-343.15K3.02%-751.52K-18.76%-2.4M-231.33%-245.39K
Net income from continuing operations -173.01%-330.32K-108.49%-565.75K-1,344.12%-272.91K116.76%1.05M-43.31%-5.51M73.28%-120.99K799.73%6.66M102.17%21.94K56.40%-6.26M-206.08%-3.85M
Operating gains losses ---127.62K---17.32K-17,997,900.00%-179.98K99.91%-154-100.16%-153--0--0100.00%-189.04%-180.49K-82.42%94.32K
Depreciation and amortization 5.74%62.4K3.92%61.29K5.01%61.33K-0.26%237.89K7.30%61.49K2.21%59.01K-2.17%58.98K-7.55%58.4K-24.91%238.5K-8.20%57.31K
Change In working capital 296.83%297.58K108.57%5.43K48.44%-276.25K6.22%-1.03M-2,019.20%-276.73K65.40%-151.19K82.97%-63.34K-78.10%-535.82K-317.34%-1.1M-96.30%14.42K
-Change in receivables 321.70%145.71K30.34%-31.17K-11.92%-139.83K-192.78%-460.32K-90.90%-224.91K-81.67%-65.72K-227.82%-44.75K-226.73%-124.94K-197.72%-157.23K-954.05%-117.82K
-Change in prepaid assets -122.70%-11.75K502.81%27.95K265.87%174.32K127.53%165.37K192.33%72.91K127.12%51.76K98.19%-6.94K192.92%47.65K-972.64%-600.78K-76.71%24.94K
-Change in payables and accrued expense -50.16%65.93K30.38%57.37K11.61%-271.92K-14.95%-34.68K-75.92%96.68K713.78%132.28K169.71%44K20.05%-307.63K-134.59%-30.17K163.69%401.49K
-Change in other current liabilities -4.50%-23.85K-4.38%-23.54K-3.66%-23.28K-1.85%-90.91K-1.84%-23.08K-2.00%-22.82K-1.74%-22.55K-1.82%-22.46K37.85%-89.26K-3.79%-22.66K
-Change in other working capital 149.27%121.53K23.93%-25.18K87.90%-15.54K-178.52%-606.53K26.96%-198.32K-21.04%-246.68K-153.35%-33.1K-165.69%-128.43K-165.87%-217.76K-295.65%-271.54K
Cash from discontinued investing activities
Operating cash flow 24.08%-151.01K-45.95%-500.82K28.14%-540.04K33.63%-1.59M-22.72%-301.14K74.91%-198.9K41.82%-343.15K3.02%-751.52K-18.76%-2.4M-231.33%-245.39K
Investing cash flow
Cash flow from continuing investing activities 21,845.76%124.21K323.01%32.95K35,320.00%176.1K-111.32%-94.64K-2,664,433.33%-79.93K-99.91%566-1,586.76%-14.78K-100.28%-5002,254.41%836.17K100.09%3
Net PPE purchase and sale -107.10%-695--0---4.4K-3,037.93%-94.64K-11,512.31%-89.65K7,603.15%9.78K-12,016.13%-14.78K--092.28%-3.02K77.48%-772
Net investment purchase and sale 24,881.60%124.91K--17.32K36,200.00%180.5K--0--0--500--016.67%-50092.18%-850--400
Cash from discontinued investing activities
Investing cash flow 21,845.76%124.21K323.01%32.95K35,320.00%176.1K-111.32%-94.64K-2,664,433.33%-79.93K-99.91%566-1,586.76%-14.78K-100.28%-5002,254.41%836.17K100.09%3
Financing cash flow
Cash flow from continuing financing activities -292.43%-41.63K-11.55%64.19K-60.11%-206.09K-104.41%-5.97K-88.98%60.8K96.71%-10.61K-7.91%72.57K25.41%-128.72K-97.85%135.42K177.95%551.8K
Net issuance payments of debt -45.21%-1.18K-101.47%-548---809---1.9K---816---814---272--0--0--0
Net other financing activities -312.98%-40.45K-11.10%64.73K-59.50%-205.28K-103.00%-4.07K-88.83%61.61K96.96%-9.79K-7.59%72.82K25.42%-128.7K-96.40%135.42K180.24%551.8K
Cash from discontinued financing activities
Financing cash flow -292.43%-41.63K-11.52%64.19K-60.13%-206.09K-104.41%-5.97K-88.98%60.8K96.71%-10.61K-7.94%72.55K25.42%-128.7K-97.85%135.42K177.95%551.8K
Net cash flow
Beginning cash position -57.00%1.19M-45.41%1.65M-43.16%2.22M-26.73%3.91M-29.81%2.56M-32.43%2.77M-33.56%3.03M-26.73%3.91M391.24%5.34M-39.34%3.65M
Current changes in cash 67.25%-68.43K-41.45%-403.68K35.28%-570.03K-18.46%-1.7M-204.52%-320.28K54.55%-208.94K44.25%-285.38K-14.97%-880.72K-133.12%-1.43M158.42%306.42K
Effect of exchange rate changes -5,403.34%-93.55K-381.22%-61.07K257.98%1.08K68.71%6.99K61.49%-15.81K-85.12%1.76K-51.73%21.72K94.14%-683106.02%4.14K72.16%-41.05K
End cash Position -59.85%1.03M-57.00%1.19M-45.41%1.65M-43.16%2.22M-43.16%2.22M-29.81%2.56M-32.43%2.77M-33.56%3.03M-26.73%3.91M-26.73%3.91M
Free cash flow 19.78%-151.7K-39.92%-500.82K27.55%-544.44K29.76%-1.69M-58.90%-391.16K76.14%-189.12K39.30%-357.93K3.33%-751.52K-16.64%-2.41M-234.41%-246.16K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--
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