US Stock MarketDetailed Quotes

SMXT SolarMax Technology

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  • 0.934
  • -0.025-2.56%
Close Oct 31 16:00 ET
  • 0.934
  • 0.0000.00%
Post 20:02 ET
42.06MMarket Cap-2113P/E (TTM)

SolarMax Technology Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
56.72%-1.62M
-370.74%-6.4M
312.38%4.19M
152.28%4.85M
2.54%718.32K
-45.68%-3.75M
216.86%2.36M
63.16%-1.97M
135.24%1.92M
-75.14%700.51K
Net income from continuing operations
-16.46%-2.16M
-2,694.43%-19.27M
106.33%434.79K
-89.23%84.9K
178.92%1.47M
62.91%-1.86M
193.51%742.82K
-107.01%-6.87M
145.74%788.04K
-322.71%-1.86M
Operating gains losses
-33.57%-461.09K
-23.95%-128.28K
63.80%-912.4K
-88.33%9.43K
-6.20%-473.13K
82.16%-345.21K
53.13%-103.49K
23.18%-2.52M
166.85%80.79K
81.66%-445.53K
Depreciation and amortization
-4.47%383.51K
-4.11%392.58K
17.55%1.61M
3.95%400.19K
25.73%401.96K
21.95%401.45K
21.02%409.42K
281.31%1.37M
204.47%384.99K
543.80%319.7K
Deferred tax
-71.54%59K
99.42%-1.2K
9.22%-84.19K
26.59%-300.82K
-31.84%216.63K
27,090.63%207.29K
---207.29K
79.15%-92.74K
-89.82%-409.8K
650.56%317.83K
Other non cash items
68.11%48.43K
-270.55%-31.88K
104.34%45.74K
96.25%-36.5K
146.17%34.74K
102.47%28.81K
196.58%18.69K
-667.49%-1.05M
-6,741.54%-974.03K
-101.84%-75.24K
Change In working capital
119.02%434.93K
-529.31%-4.73M
-39.35%1.91M
120.71%4.03M
-140.72%-933.11K
-740.53%-2.29M
183.23%1.1M
151.62%3.15M
151.61%1.83M
-47.68%2.29M
-Change in receivables
149.37%612.9K
118.55%938.15K
111.66%8.51M
1,275.63%10.02M
324.71%4.79M
-172.76%-1.24M
-1,206.27%-5.06M
-74.89%4.02M
-83.57%728.33K
-82.85%1.13M
-Change in inventory
-142.34%-324.36K
-88.45%58.07K
1,735.60%1.95M
-70.30%317.64K
119.82%366.11K
36.79%766.06K
410.05%502.83K
91.18%-119.38K
382.06%1.07M
-3,846.38%-1.85M
-Change in payables and accrued expense
136.83%695.95K
-427.79%-5.1M
36.54%-1.79M
36.42%619.71K
-299.03%-2.07M
24.70%-1.89M
186.21%1.56M
78.18%-2.82M
106.34%454.28K
147.46%1.04M
-Change in other current assets
587.35%1.66K
-205.94%-29.88K
6.39%27.28K
-100.15%-169
99.59%-413
-46.55%-340
145.30%28.21K
-95.61%25.64K
7,278.62%114.59K
-385,530.77%-100.21K
-Change in other current liabilities
16.54%-551.21K
-146.35%-595.36K
-353.89%-2.75M
-283.62%-595.58K
-208.43%-1.25M
-301.66%-660.48K
32.80%-241.67K
6.97%-606.23K
447.26%324.35K
18.50%-406.53K
-Change in other working capital
----
----
-252.35%-4.04M
-631.73%-6.33M
-211.40%-2.76M
-3.31%739.19K
1,477.15%4.31M
734.82%2.65M
-76.63%-865.24K
352.32%2.48M
Cash from discontinued investing activities
Operating cash flow
56.72%-1.62M
-370.74%-6.4M
293.50%3.81M
132.93%4.48M
2.54%718.32K
-45.68%-3.75M
216.86%2.36M
63.16%-1.97M
135.24%1.92M
-75.14%700.51K
Investing cash flow
Cash flow from continuing investing activities
-2,334.81%-688.22K
-31,603.23%-6.99M
97.67%-6.55K
-100.53%-133
-100.90%-325
46.24%-28.27K
107.68%22.17K
-113.83%-280.52K
103.10%24.88K
110.42%36.02K
Net PPE purchase and sale
--0
-34.73%14.47K
-178.61%-6.55K
-100.53%-133
-100.90%-325
46.24%-28.27K
--22.17K
-79.11%8.33K
20,635.83%24.88K
-9.41%36.02K
Net investment purchase and sale
---688.22K
---7M
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--0
--0
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Net other investing changes
----
----
----
----
----
----
----
82.36%-288.86K
--0
--0
Cash from discontinued investing activities
Investing cash flow
-2,334.81%-688.22K
-31,603.23%-6.99M
97.67%-6.55K
-100.53%-133
-100.90%-325
46.24%-28.27K
107.68%22.17K
-113.83%-280.52K
103.10%24.88K
110.42%36.02K
Financing cash flow
Cash flow from continuing financing activities
2.98%-1.36M
664.01%15.57M
32.72%-5.05M
-108.51%-5.34M
49.63%-341.76K
-46.58%-1.4M
161.68%2.04M
-48.06%-7.5M
-69.11%-2.56M
60.03%-678.57K
Net issuance payments of debt
5.21%-1.15M
-19.49%-3M
32.12%-4.85M
72.40%-709.15K
42.36%-413.02K
-17.54%-1.21M
11.02%-2.51M
-33.99%-7.14M
-69.47%-2.57M
58.15%-716.61K
Net common stock issuance
--0
--18.58M
----
----
----
--0
--0
----
----
----
Net other financing activities
----
----
44.80%-196.68K
-67,027.03%-4.63M
87.33%71.26K
-338.88%-185.7K
1,050.35%4.55M
-233.93%-356.33K
766.71%6.93K
163.25%38.04K
Cash from discontinued financing activities
Financing cash flow
2.98%-1.36M
664.01%15.57M
32.72%-5.05M
-108.51%-5.34M
49.63%-341.76K
-46.58%-1.4M
161.68%2.04M
-48.06%-7.5M
-69.11%-2.56M
60.03%-678.57K
Net cash flow
Beginning cash position
-38.04%5.29M
-30.59%2.89M
-68.89%4.17M
-18.15%4.19M
-13.07%4.02M
9.80%8.53M
-68.89%4.17M
-38.66%13.4M
-75.90%5.12M
-77.43%4.62M
Current changes in cash
29.13%-3.67M
-50.57%2.19M
87.31%-1.24M
-40.53%-863.62K
549.11%376.23K
-44.57%-5.17M
178.78%4.42M
-16.26%-9.75M
92.10%-614.52K
-92.52%57.96K
Effect of exchange rate changes
-91.82%53.9K
436.04%205.48K
-107.30%-37.86K
-28.70%-434.24K
-145.59%-201.54K
53.61%659.06K
-307.25%-61.15K
987.06%518.74K
-377.60%-337.41K
21,950.27%442.11K
End cash Position
-58.34%1.67M
-38.04%5.29M
-30.59%2.89M
-30.59%2.89M
-18.15%4.19M
-13.07%4.02M
9.80%8.53M
-68.89%4.17M
-68.89%4.17M
-75.90%5.12M
Free cash flow
57.04%-1.62M
-370.74%-6.4M
284.27%3.79M
133.42%4.48M
6.63%718.32K
-43.83%-3.78M
216.86%2.36M
61.60%-2.06M
135.17%1.92M
-76.09%673.65K
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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(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(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 56.72%-1.62M-370.74%-6.4M312.38%4.19M152.28%4.85M2.54%718.32K-45.68%-3.75M216.86%2.36M63.16%-1.97M135.24%1.92M-75.14%700.51K
Net income from continuing operations -16.46%-2.16M-2,694.43%-19.27M106.33%434.79K-89.23%84.9K178.92%1.47M62.91%-1.86M193.51%742.82K-107.01%-6.87M145.74%788.04K-322.71%-1.86M
Operating gains losses -33.57%-461.09K-23.95%-128.28K63.80%-912.4K-88.33%9.43K-6.20%-473.13K82.16%-345.21K53.13%-103.49K23.18%-2.52M166.85%80.79K81.66%-445.53K
Depreciation and amortization -4.47%383.51K-4.11%392.58K17.55%1.61M3.95%400.19K25.73%401.96K21.95%401.45K21.02%409.42K281.31%1.37M204.47%384.99K543.80%319.7K
Deferred tax -71.54%59K99.42%-1.2K9.22%-84.19K26.59%-300.82K-31.84%216.63K27,090.63%207.29K---207.29K79.15%-92.74K-89.82%-409.8K650.56%317.83K
Other non cash items 68.11%48.43K-270.55%-31.88K104.34%45.74K96.25%-36.5K146.17%34.74K102.47%28.81K196.58%18.69K-667.49%-1.05M-6,741.54%-974.03K-101.84%-75.24K
Change In working capital 119.02%434.93K-529.31%-4.73M-39.35%1.91M120.71%4.03M-140.72%-933.11K-740.53%-2.29M183.23%1.1M151.62%3.15M151.61%1.83M-47.68%2.29M
-Change in receivables 149.37%612.9K118.55%938.15K111.66%8.51M1,275.63%10.02M324.71%4.79M-172.76%-1.24M-1,206.27%-5.06M-74.89%4.02M-83.57%728.33K-82.85%1.13M
-Change in inventory -142.34%-324.36K-88.45%58.07K1,735.60%1.95M-70.30%317.64K119.82%366.11K36.79%766.06K410.05%502.83K91.18%-119.38K382.06%1.07M-3,846.38%-1.85M
-Change in payables and accrued expense 136.83%695.95K-427.79%-5.1M36.54%-1.79M36.42%619.71K-299.03%-2.07M24.70%-1.89M186.21%1.56M78.18%-2.82M106.34%454.28K147.46%1.04M
-Change in other current assets 587.35%1.66K-205.94%-29.88K6.39%27.28K-100.15%-16999.59%-413-46.55%-340145.30%28.21K-95.61%25.64K7,278.62%114.59K-385,530.77%-100.21K
-Change in other current liabilities 16.54%-551.21K-146.35%-595.36K-353.89%-2.75M-283.62%-595.58K-208.43%-1.25M-301.66%-660.48K32.80%-241.67K6.97%-606.23K447.26%324.35K18.50%-406.53K
-Change in other working capital ---------252.35%-4.04M-631.73%-6.33M-211.40%-2.76M-3.31%739.19K1,477.15%4.31M734.82%2.65M-76.63%-865.24K352.32%2.48M
Cash from discontinued investing activities
Operating cash flow 56.72%-1.62M-370.74%-6.4M293.50%3.81M132.93%4.48M2.54%718.32K-45.68%-3.75M216.86%2.36M63.16%-1.97M135.24%1.92M-75.14%700.51K
Investing cash flow
Cash flow from continuing investing activities -2,334.81%-688.22K-31,603.23%-6.99M97.67%-6.55K-100.53%-133-100.90%-32546.24%-28.27K107.68%22.17K-113.83%-280.52K103.10%24.88K110.42%36.02K
Net PPE purchase and sale --0-34.73%14.47K-178.61%-6.55K-100.53%-133-100.90%-32546.24%-28.27K--22.17K-79.11%8.33K20,635.83%24.88K-9.41%36.02K
Net investment purchase and sale ---688.22K---7M--------------0--0------------
Net other investing changes ----------------------------82.36%-288.86K--0--0
Cash from discontinued investing activities
Investing cash flow -2,334.81%-688.22K-31,603.23%-6.99M97.67%-6.55K-100.53%-133-100.90%-32546.24%-28.27K107.68%22.17K-113.83%-280.52K103.10%24.88K110.42%36.02K
Financing cash flow
Cash flow from continuing financing activities 2.98%-1.36M664.01%15.57M32.72%-5.05M-108.51%-5.34M49.63%-341.76K-46.58%-1.4M161.68%2.04M-48.06%-7.5M-69.11%-2.56M60.03%-678.57K
Net issuance payments of debt 5.21%-1.15M-19.49%-3M32.12%-4.85M72.40%-709.15K42.36%-413.02K-17.54%-1.21M11.02%-2.51M-33.99%-7.14M-69.47%-2.57M58.15%-716.61K
Net common stock issuance --0--18.58M--------------0--0------------
Net other financing activities --------44.80%-196.68K-67,027.03%-4.63M87.33%71.26K-338.88%-185.7K1,050.35%4.55M-233.93%-356.33K766.71%6.93K163.25%38.04K
Cash from discontinued financing activities
Financing cash flow 2.98%-1.36M664.01%15.57M32.72%-5.05M-108.51%-5.34M49.63%-341.76K-46.58%-1.4M161.68%2.04M-48.06%-7.5M-69.11%-2.56M60.03%-678.57K
Net cash flow
Beginning cash position -38.04%5.29M-30.59%2.89M-68.89%4.17M-18.15%4.19M-13.07%4.02M9.80%8.53M-68.89%4.17M-38.66%13.4M-75.90%5.12M-77.43%4.62M
Current changes in cash 29.13%-3.67M-50.57%2.19M87.31%-1.24M-40.53%-863.62K549.11%376.23K-44.57%-5.17M178.78%4.42M-16.26%-9.75M92.10%-614.52K-92.52%57.96K
Effect of exchange rate changes -91.82%53.9K436.04%205.48K-107.30%-37.86K-28.70%-434.24K-145.59%-201.54K53.61%659.06K-307.25%-61.15K987.06%518.74K-377.60%-337.41K21,950.27%442.11K
End cash Position -58.34%1.67M-38.04%5.29M-30.59%2.89M-30.59%2.89M-18.15%4.19M-13.07%4.02M9.80%8.53M-68.89%4.17M-68.89%4.17M-75.90%5.12M
Free cash flow 57.04%-1.62M-370.74%-6.4M284.27%3.79M133.42%4.48M6.63%718.32K-43.83%-3.78M216.86%2.36M61.60%-2.06M135.17%1.92M-76.09%673.65K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

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