US Stock MarketDetailed Quotes

WSNAF WESANA HEALTH HLDGS INC

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  • 0.008
  • -0.001-7.82%
15min DelayClose Oct 1 16:00 ET
170.23KMarket Cap-412P/E (TTM)

WESANA HEALTH HLDGS INC 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
-133.17%-69.65K
-145.34%-256.61K
117.51%314.55K
677.20%512.13K
-107.93%-302.97K
109.57%209.98K
96.86%-104.59K
-111.53%-1.8M
-100.49%-88.73K
52.56%3.82M
Net income from continuing operations
27.79%-196.18K
48.18%-211.91K
35.97%-2.03M
87.85%-130.56K
-122.41%-1.22M
89.81%-271.69K
91.57%-408.96K
49.83%-3.17M
-391.10%-1.07M
299.08%5.43M
Other non cash items
----
345.50%102.16K
665.54%686.95K
1,187.71%289.14K
379.06%440.25K
93.26%-827
-155.38%-41.61K
-110.45%-121.47K
-287.36%-26.58K
---157.76K
Change In working capital
-112.07%-49.31K
-192.26%-109.23K
12.79%625.45K
-74.40%264.88K
73.74%-166.34K
282.71%408.51K
-68.56%118.39K
277.71%554.51K
1,977.40%1.03M
-204.20%-633.38K
-Change in receivables
196.44%22.96K
84.66%-3.41K
-126.19%-29.01K
261.59%69.63K
-313.47%-84.13K
-92.09%7.75K
51.42%-22.25K
346.49%110.79K
123.08%19.26K
-51.36%39.41K
-Change in prepaid assets
-80.49%5.82K
-92.02%6.86K
-60.91%119.56K
-98.14%1.83K
100.81%2.04K
5.93%29.83K
-80.11%85.85K
173.42%305.89K
-75.13%98.31K
-141.89%-252.16K
-Change in payables and accrued expense
-121.05%-78.09K
-305.65%-112.67K
288.08%534.9K
-78.91%193.43K
79.97%-84.24K
206.08%370.93K
695.62%54.79K
-7.83%137.83K
449.97%917.33K
-460.37%-420.64K
Cash from discontinued investing activities
0
0
79.97%-1.18M
46.55%-589.76K
101.14%53.89K
-406.01K
-237.98K
78.62%-5.89M
95.06%-1.1M
9.35%-4.73M
Operating cash flow
13.05%-171.81K
54.71%-154.44K
88.74%-865.31K
93.49%-77.63K
72.50%-249.08K
91.24%-197.6K
89.77%-341K
35.89%-7.69M
72.41%-1.19M
66.58%-905.67K
Investing cash flow
Cash flow from continuing investing activities
30.44K
307.17K
-86.93%94.9K
6,381.90%94.9K
0
0
0
-70.26%726.27K
73,100.00%1.46K
-64.67%724.81K
Net business purchase and sale
----
----
--0
--0
----
----
----
-66.50%682.97K
--0
-58.24%682.97K
Net investment purchase and sale
---219.56K
--307.17K
--94.9K
----
----
--0
--0
--0
----
----
Net other investing changes
----
----
----
----
----
----
----
--43.3K
--1.46K
----
Cash from discontinued investing activities
Investing cash flow
--30.44K
2.39%307.17K
-3.36%494.9K
142.27%50K
-59.71%144.9K
--0
680.32%300K
-78.86%512.13K
-4,172.05%-118.29K
-82.32%359.64K
Financing cash flow
Cash flow from continuing financing activities
0
0
-109.33%-63.95K
0
0
0
43.21%-63.95K
-95.41%685.19K
-18.29%-476.97K
116.65%65.94K
Net issuance payments of debt
--0
--0
60.87%-63.95K
--0
--0
--0
-257.63%-63.95K
-105.50%-163.44K
76.09%-96.42K
116.65%65.94K
Net common stock issuance
----
----
--0
--0
----
----
----
-92.91%848.63K
---380.55K
--0
Cash from discontinued financing activities
0
0
2,485.09%462.21K
2,425.05%406.58K
5,364.22%99.6K
Financing cash flow
--0
--0
-105.57%-63.95K
--0
--0
--0
43.21%-63.95K
-92.31%1.15M
83.27%-70.39K
141.59%165.54K
Net cash flow
Beginning cash position
-44.70%203.71K
-90.43%42.72K
-93.21%446.39K
-92.46%78.69K
-91.21%154.65K
-88.46%368.38K
-93.21%446.39K
419.12%6.58M
-90.74%1.04M
-86.14%1.76M
Current changes in cash
28.46%-141.37K
245.53%152.72K
92.79%-434.36K
98.00%-27.63K
72.62%-104.19K
74.30%-197.6K
97.00%-104.95K
-212.60%-6.03M
70.90%-1.38M
64.56%-380.49K
Effect of exchange rate changes
104.41%711
-69.32%8.27K
130.26%30.7K
-101.06%-8.34K
108.40%28.22K
97.57%-16.13K
-76.63%26.94K
-128.44%-101.44K
1,346.79%784.01K
5.19%-336.08K
End cash Position
-59.23%63.05K
-44.70%203.71K
-90.43%42.72K
-90.43%42.72K
-92.46%78.69K
-91.21%154.65K
-88.46%368.38K
-93.21%446.39K
-93.21%446.39K
-90.74%1.04M
Free cash flow
13.05%-171.81K
54.71%-154.44K
88.74%-865.31K
93.49%-77.63K
72.50%-249.08K
91.04%-197.6K
89.93%-341K
35.89%-7.69M
72.41%-1.19M
66.42%-905.67K
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 -133.17%-69.65K-145.34%-256.61K117.51%314.55K677.20%512.13K-107.93%-302.97K109.57%209.98K96.86%-104.59K-111.53%-1.8M-100.49%-88.73K52.56%3.82M
Net income from continuing operations 27.79%-196.18K48.18%-211.91K35.97%-2.03M87.85%-130.56K-122.41%-1.22M89.81%-271.69K91.57%-408.96K49.83%-3.17M-391.10%-1.07M299.08%5.43M
Other non cash items ----345.50%102.16K665.54%686.95K1,187.71%289.14K379.06%440.25K93.26%-827-155.38%-41.61K-110.45%-121.47K-287.36%-26.58K---157.76K
Change In working capital -112.07%-49.31K-192.26%-109.23K12.79%625.45K-74.40%264.88K73.74%-166.34K282.71%408.51K-68.56%118.39K277.71%554.51K1,977.40%1.03M-204.20%-633.38K
-Change in receivables 196.44%22.96K84.66%-3.41K-126.19%-29.01K261.59%69.63K-313.47%-84.13K-92.09%7.75K51.42%-22.25K346.49%110.79K123.08%19.26K-51.36%39.41K
-Change in prepaid assets -80.49%5.82K-92.02%6.86K-60.91%119.56K-98.14%1.83K100.81%2.04K5.93%29.83K-80.11%85.85K173.42%305.89K-75.13%98.31K-141.89%-252.16K
-Change in payables and accrued expense -121.05%-78.09K-305.65%-112.67K288.08%534.9K-78.91%193.43K79.97%-84.24K206.08%370.93K695.62%54.79K-7.83%137.83K449.97%917.33K-460.37%-420.64K
Cash from discontinued investing activities 0079.97%-1.18M46.55%-589.76K101.14%53.89K-406.01K-237.98K78.62%-5.89M95.06%-1.1M9.35%-4.73M
Operating cash flow 13.05%-171.81K54.71%-154.44K88.74%-865.31K93.49%-77.63K72.50%-249.08K91.24%-197.6K89.77%-341K35.89%-7.69M72.41%-1.19M66.58%-905.67K
Investing cash flow
Cash flow from continuing investing activities 30.44K307.17K-86.93%94.9K6,381.90%94.9K000-70.26%726.27K73,100.00%1.46K-64.67%724.81K
Net business purchase and sale ----------0--0-------------66.50%682.97K--0-58.24%682.97K
Net investment purchase and sale ---219.56K--307.17K--94.9K----------0--0--0--------
Net other investing changes ------------------------------43.3K--1.46K----
Cash from discontinued investing activities
Investing cash flow --30.44K2.39%307.17K-3.36%494.9K142.27%50K-59.71%144.9K--0680.32%300K-78.86%512.13K-4,172.05%-118.29K-82.32%359.64K
Financing cash flow
Cash flow from continuing financing activities 00-109.33%-63.95K00043.21%-63.95K-95.41%685.19K-18.29%-476.97K116.65%65.94K
Net issuance payments of debt --0--060.87%-63.95K--0--0--0-257.63%-63.95K-105.50%-163.44K76.09%-96.42K116.65%65.94K
Net common stock issuance ----------0--0-------------92.91%848.63K---380.55K--0
Cash from discontinued financing activities 002,485.09%462.21K2,425.05%406.58K5,364.22%99.6K
Financing cash flow --0--0-105.57%-63.95K--0--0--043.21%-63.95K-92.31%1.15M83.27%-70.39K141.59%165.54K
Net cash flow
Beginning cash position -44.70%203.71K-90.43%42.72K-93.21%446.39K-92.46%78.69K-91.21%154.65K-88.46%368.38K-93.21%446.39K419.12%6.58M-90.74%1.04M-86.14%1.76M
Current changes in cash 28.46%-141.37K245.53%152.72K92.79%-434.36K98.00%-27.63K72.62%-104.19K74.30%-197.6K97.00%-104.95K-212.60%-6.03M70.90%-1.38M64.56%-380.49K
Effect of exchange rate changes 104.41%711-69.32%8.27K130.26%30.7K-101.06%-8.34K108.40%28.22K97.57%-16.13K-76.63%26.94K-128.44%-101.44K1,346.79%784.01K5.19%-336.08K
End cash Position -59.23%63.05K-44.70%203.71K-90.43%42.72K-90.43%42.72K-92.46%78.69K-91.21%154.65K-88.46%368.38K-93.21%446.39K-93.21%446.39K-90.74%1.04M
Free cash flow 13.05%-171.81K54.71%-154.44K88.74%-865.31K93.49%-77.63K72.50%-249.08K91.04%-197.6K89.93%-341K35.89%-7.69M72.41%-1.19M66.42%-905.67K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

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No Data

Price Target

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