US Stock MarketDetailed Quotes

WYHG Wing Yip Food

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  • 3.930
  • -0.110-2.72%
Close Nov 29 13:00 ET
  • 3.930
  • 0.0000.00%
Post 17:01 ET
196.59MMarket Cap11.80P/E (TTM)

Wing Yip Food 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
Net income from continuing operations
-38.83%5.15B
210.66%6.89B
10.99%20.34B
138.69%2.84B
21.58%6.86B
65.79%8.42B
-65.42%2.22B
-23.19%18.32B
-41.40%1.19B
-46.14%5.64B
Other non cash items
37.47%311.02M
48.47%298.86M
325.10%778.14M
117.72%102.56M
473.29%248.04M
174.07%226.25M
87.50%201.29M
66.30%-345.69M
-13.60%-578.86M
110.74%43.27M
Change In working capital
290.06%10.19B
-133.87%-1.19B
128.41%2.57B
125.94%1.6B
223.41%2.83B
-665.21%-5.36B
327.67%3.5B
-279.64%-9.03B
-211.56%-6.15B
-520.16%-2.29B
-Change in receivables
-120.37%-78.02M
46.46%-690.07M
-4,141.07%-2.69B
25.93%-1.16B
66.82%-625.8M
-69.46%383.03M
-160.41%-1.29B
-101.91%-63.45M
-241.57%-1.57B
-566.19%-1.89B
-Change in inventory
107.29%523.73M
-46.66%2.33B
142.25%1.2B
46.01%-1.71B
273.89%5.71B
-6,419.72%-7.18B
25.15%4.38B
-355.71%-2.83B
-269.20%-3.16B
-3,788.60%-3.28B
-Change in other current assets
20.26%540.79M
-39.47%599.64M
-9.67%577.55M
-6.81%-1.62B
2.86%754.47M
-39.36%449.69M
46.02%990.65M
125.35%639.36M
13.04%-1.51B
276.93%733.46M
-Change in other current liabilities
-93.99%54.39M
-55.86%-1.69B
2,221.67%1.46B
286.84%1.02B
18.29%623.78M
621.61%905.48M
-96.04%-1.09B
416.57%62.94M
204.77%263.1M
-48.41%527.35M
Cash from discontinued investing activities
Operating cash flow
301.58%15.92B
-28.45%6.94B
77.50%24.92B
145.65%2.19B
111.89%9.08B
-54.02%3.96B
63.48%9.69B
-49.36%14.04B
-168.42%-4.79B
-55.41%4.28B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
----
----
93.79%-1.55B
94.62%-1.04B
93.07%-265.74M
----
----
21.84%-24.97B
-111.30%-19.41B
39.82%-3.84B
Net intangibles purchase and sale
---19K
---743K
---6.56M
---538K
---323K
----
----
----
----
----
Net other investing changes
----
---1.86M
1,172.22%28.49M
3,298.56%19.96M
-84.93%741K
----
----
-98.65%2.24M
90.74%-624K
-36.15%4.92M
Cash from discontinued investing activities
Investing cash flow
---1.24B
---2.6M
93.88%-1.53B
94.72%-1.02B
93.07%-265.32M
----
----
21.61%-24.96B
-110.58%-19.41B
39.84%-3.83B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-143.95%-1.51B
-81.89%362.74M
31.15%9.34B
-136.45%-637.86M
19.23%4.55B
5,350.12%3.43B
33.82%2B
67.61%7.12B
-10.53%1.75B
329.66%3.81B
Net other financing activities
----
----
93.21%245.29M
1,518.13%180.8M
-41.22%55.44M
---404K
--9.46M
-85.11%126.95M
-126.71%-12.75M
-81.78%94.32M
Cash from discontinued financing activities
Financing cash flow
-146.34%-1.53B
-84.31%309.89M
43.64%9.34B
-133.31%-552.69M
23.66%4.6B
1,879.43%3.31B
51.39%1.97B
70.83%6.5B
-7.82%1.66B
380.69%3.72B
Net cash flow
Beginning cash position
27.74%127.21B
36.46%119.96B
-5.29%84.06B
1.71%117.77B
-4.96%102.86B
-0.49%99.58B
-5.42%87.91B
-2.92%88.76B
28.74%115.79B
28.84%108.23B
Current changes in cash
86.87%13.15B
-37.93%7.24B
840.54%32.73B
102.71%611.77M
221.23%13.42B
3.11%7.04B
63.90%11.67B
-1,321.75%-4.42B
-5,405.17%-22.54B
118.19%4.18B
Effect of exchange rate changes
--66K
---61K
-115.91%-14K
105.92%45K
-241.25%-1.81M
----
----
153.33%88K
---760K
--1.28M
End cash Position
39.39%143.38B
27.74%127.21B
38.48%116.79B
38.48%116.79B
1.71%117.77B
-4.96%102.86B
-0.49%99.58B
-7.44%84.34B
-7.44%84.34B
28.74%115.79B
Free cash flow
327.88%15.9B
-28.46%6.93B
313.91%23.37B
104.73%1.14B
1,864.63%8.81B
-47.12%3.72B
67.22%9.69B
-155.10%-10.92B
-998.56%-24.2B
-86.13%448.51M
Currency Unit
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
(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
Net income from continuing operations -38.83%5.15B210.66%6.89B10.99%20.34B138.69%2.84B21.58%6.86B65.79%8.42B-65.42%2.22B-23.19%18.32B-41.40%1.19B-46.14%5.64B
Other non cash items 37.47%311.02M48.47%298.86M325.10%778.14M117.72%102.56M473.29%248.04M174.07%226.25M87.50%201.29M66.30%-345.69M-13.60%-578.86M110.74%43.27M
Change In working capital 290.06%10.19B-133.87%-1.19B128.41%2.57B125.94%1.6B223.41%2.83B-665.21%-5.36B327.67%3.5B-279.64%-9.03B-211.56%-6.15B-520.16%-2.29B
-Change in receivables -120.37%-78.02M46.46%-690.07M-4,141.07%-2.69B25.93%-1.16B66.82%-625.8M-69.46%383.03M-160.41%-1.29B-101.91%-63.45M-241.57%-1.57B-566.19%-1.89B
-Change in inventory 107.29%523.73M-46.66%2.33B142.25%1.2B46.01%-1.71B273.89%5.71B-6,419.72%-7.18B25.15%4.38B-355.71%-2.83B-269.20%-3.16B-3,788.60%-3.28B
-Change in other current assets 20.26%540.79M-39.47%599.64M-9.67%577.55M-6.81%-1.62B2.86%754.47M-39.36%449.69M46.02%990.65M125.35%639.36M13.04%-1.51B276.93%733.46M
-Change in other current liabilities -93.99%54.39M-55.86%-1.69B2,221.67%1.46B286.84%1.02B18.29%623.78M621.61%905.48M-96.04%-1.09B416.57%62.94M204.77%263.1M-48.41%527.35M
Cash from discontinued investing activities
Operating cash flow 301.58%15.92B-28.45%6.94B77.50%24.92B145.65%2.19B111.89%9.08B-54.02%3.96B63.48%9.69B-49.36%14.04B-168.42%-4.79B-55.41%4.28B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale --------93.79%-1.55B94.62%-1.04B93.07%-265.74M--------21.84%-24.97B-111.30%-19.41B39.82%-3.84B
Net intangibles purchase and sale ---19K---743K---6.56M---538K---323K--------------------
Net other investing changes -------1.86M1,172.22%28.49M3,298.56%19.96M-84.93%741K---------98.65%2.24M90.74%-624K-36.15%4.92M
Cash from discontinued investing activities
Investing cash flow ---1.24B---2.6M93.88%-1.53B94.72%-1.02B93.07%-265.32M--------21.61%-24.96B-110.58%-19.41B39.84%-3.83B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -143.95%-1.51B-81.89%362.74M31.15%9.34B-136.45%-637.86M19.23%4.55B5,350.12%3.43B33.82%2B67.61%7.12B-10.53%1.75B329.66%3.81B
Net other financing activities --------93.21%245.29M1,518.13%180.8M-41.22%55.44M---404K--9.46M-85.11%126.95M-126.71%-12.75M-81.78%94.32M
Cash from discontinued financing activities
Financing cash flow -146.34%-1.53B-84.31%309.89M43.64%9.34B-133.31%-552.69M23.66%4.6B1,879.43%3.31B51.39%1.97B70.83%6.5B-7.82%1.66B380.69%3.72B
Net cash flow
Beginning cash position 27.74%127.21B36.46%119.96B-5.29%84.06B1.71%117.77B-4.96%102.86B-0.49%99.58B-5.42%87.91B-2.92%88.76B28.74%115.79B28.84%108.23B
Current changes in cash 86.87%13.15B-37.93%7.24B840.54%32.73B102.71%611.77M221.23%13.42B3.11%7.04B63.90%11.67B-1,321.75%-4.42B-5,405.17%-22.54B118.19%4.18B
Effect of exchange rate changes --66K---61K-115.91%-14K105.92%45K-241.25%-1.81M--------153.33%88K---760K--1.28M
End cash Position 39.39%143.38B27.74%127.21B38.48%116.79B38.48%116.79B1.71%117.77B-4.96%102.86B-0.49%99.58B-7.44%84.34B-7.44%84.34B28.74%115.79B
Free cash flow 327.88%15.9B-28.46%6.93B313.91%23.37B104.73%1.14B1,864.63%8.81B-47.12%3.72B67.22%9.69B-155.10%-10.92B-998.56%-24.2B-86.13%448.51M
Currency Unit KRWKRWKRWKRWKRWKRWKRWKRWKRWKRW

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