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CLWT Euro Tech

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  • 1.777
  • -0.003-0.16%
Trading May 20 13:05 ET
13.71MMarket Cap7.41P/E (TTM)

Euro Tech Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-3.11%5.45M
-3.11%5.45M
-24.93%4.36M
6.81%5.63M
6.81%5.63M
7.06%5.81M
49.73%5.27M
--5.27M
8.12%5.42M
-41.26%3.52M
-Cash and cash equivalents
-3.11%5.45M
-3.11%5.45M
-24.93%4.36M
6.81%5.63M
6.81%5.63M
7.06%5.81M
49.73%5.27M
--5.27M
8.12%5.42M
-41.26%3.52M
Receivables
56.69%3.07M
56.69%3.07M
3.88%1.71M
-50.18%1.96M
-50.18%1.96M
-38.96%1.65M
0.54%3.93M
--3.93M
47.95%2.7M
-8.67%3.91M
-Accounts receivable
80.58%2.86M
80.58%2.86M
-11.48%1.46M
-56.32%1.59M
-56.32%1.59M
-5.78%1.65M
13.50%3.63M
--3.63M
-1.02%1.75M
-10.79%3.2M
-Taxes receivable
33.33%4K
33.33%4K
----
0.00%3K
0.00%3K
----
-98.84%3K
--3K
----
12,800.00%258K
-Other receivables
-45.80%200K
-45.80%200K
6,325.00%257K
24.66%369K
24.66%369K
-99.58%4K
-34.51%296K
--296K
1,441.94%956K
-34.68%452K
Inventory
19.90%723K
19.90%723K
42.55%593K
10.24%603K
10.24%603K
33.76%416K
59.94%547K
--547K
51.71%311K
-41.64%342K
Prepaid assets
-67.37%108K
-67.37%108K
----
-4.61%331K
-4.61%331K
----
-65.51%347K
--347K
----
103.23%1.01M
Restricted cash
28.28%1.19M
28.28%1.19M
-36.30%979K
-34.09%930K
-34.09%930K
-0.19%1.54M
-15.61%1.41M
--1.41M
5.99%1.54M
154.10%1.67M
Other current assets
----
----
5.11%535K
----
----
-39.62%509K
----
----
-43.61%843K
----
Total current assets
11.59%10.55M
11.59%10.55M
-17.53%8.18M
-17.85%9.45M
-17.85%9.45M
-8.34%9.92M
10.11%11.5M
--11.5M
8.24%10.82M
-13.01%10.45M
Non current assets
Net PPE
0.75%401K
0.75%401K
46.73%493K
-12.14%398K
-12.14%398K
-41.05%336K
-7.93%453K
--453K
-1.89%570K
-55.52%492K
-Gross PPE
1.02%1.49M
1.02%1.49M
46.73%493K
-12.57%1.48M
-12.57%1.48M
-41.05%336K
-7.91%1.69M
--1.69M
-1.89%570K
-41.80%1.83M
-Accumulated depreciation
-1.11%-1.09M
-1.11%-1.09M
----
12.72%-1.08M
12.72%-1.08M
----
7.91%-1.23M
---1.23M
----
34.38%-1.34M
Goodwill and other intangible assets
0.00%1.07M
0.00%1.07M
0.00%1.07M
0.00%1.07M
0.00%1.07M
0.00%1.07M
0.00%1.07M
--1.07M
0.00%1.07M
0.00%1.07M
-Goodwill
0.00%1.07M
0.00%1.07M
0.00%1.07M
0.00%1.07M
0.00%1.07M
0.00%1.07M
0.00%1.07M
--1.07M
0.00%1.07M
0.00%1.07M
Investments and advances
19.45%9.86M
19.45%9.86M
0.89%8.13M
2.15%8.25M
2.15%8.25M
1.67%8.06M
-0.09%8.08M
--8.08M
1.30%7.93M
2.75%8.08M
Non current deferred assets
-4.63%103K
-4.63%103K
-28.67%102K
-25.52%108K
-25.52%108K
--143K
--145K
--145K
--0
--0
Other non current assets
69.41%144K
69.41%144K
----
--85K
--85K
----
----
----
----
----
Total non current assets
16.77%11.58M
16.77%11.58M
1.96%9.8M
1.71%9.91M
1.71%9.91M
0.43%9.61M
1.03%9.75M
--9.75M
-0.75%9.57M
-5.45%9.65M
Total assets
14.24%22.12M
14.24%22.12M
-7.94%17.98M
-8.88%19.36M
-8.88%19.36M
-4.22%19.53M
5.75%21.25M
--21.25M
3.83%20.39M
-9.53%20.1M
Liabilities
Current liabilities
Payables
48.18%3.78M
48.18%3.78M
-29.60%2.81M
-25.17%2.55M
-25.17%2.55M
-6.70%4M
37.07%3.41M
--3.41M
35.67%4.28M
-38.92%2.49M
-accounts payable
51.65%3.46M
51.65%3.46M
-24.51%1.89M
-27.67%2.28M
-27.67%2.28M
45.22%2.51M
31.62%3.15M
--3.15M
-18.98%1.73M
-38.83%2.39M
-Total tax payable
28.13%246K
28.13%246K
-97.62%1K
11.63%192K
11.63%192K
100.00%42K
1,811.11%172K
--172K
--21K
-88.46%9K
-Dividends payable
-2.50%78K
-2.50%78K
----
-6.98%80K
-6.98%80K
----
2.38%86K
--86K
----
5.00%84K
-Other payable
----
----
-36.44%921K
----
----
-42.89%1.45M
----
----
146.79%2.54M
----
Current accrued expenses
-12.30%834K
-12.30%834K
----
-30.07%951K
-30.07%951K
----
-9.33%1.36M
--1.36M
----
59.40%1.5M
Current debt and capital lease obligation
-3.28%324K
-3.28%324K
41.88%166K
-39.20%335K
-39.20%335K
-31.58%117K
15.03%551K
--551K
6.88%171K
-34.83%479K
-Current debt
-30.63%154K
-30.63%154K
----
-40.96%222K
-40.96%222K
----
4.16%376K
--376K
----
-36.11%361K
-Current capital lease obligation
50.44%170K
50.44%170K
41.88%166K
-35.43%113K
-35.43%113K
-31.58%117K
48.31%175K
--175K
6.88%171K
-30.59%118K
Current deferred liabilities
3.97%655K
3.97%655K
-59.31%551K
-41.77%630K
-41.77%630K
-15.00%1.35M
1.79%1.08M
--1.08M
15.27%1.59M
18.11%1.06M
Other current liabilities
0.00%3K
0.00%3K
----
0.00%3K
0.00%3K
----
-25.00%3K
--3K
----
-66.67%4K
Current liabilities
25.19%5.6M
25.19%5.6M
-35.43%3.53M
-30.21%4.47M
-30.21%4.47M
-9.59%5.47M
15.76%6.41M
--6.41M
28.69%6.05M
-16.92%5.53M
Non current liabilities
Long term debt and capital lease obligation
-49.43%44K
-49.43%44K
--137K
112.20%87K
112.20%87K
--0
-56.38%41K
--41K
5.38%137K
-56.48%94K
-Long term capital lease obligation
-49.43%44K
-49.43%44K
--137K
112.20%87K
112.20%87K
--0
-56.38%41K
--41K
5.38%137K
-56.48%94K
Non current deferred liabilities
--0
--0
--0
--0
--0
--0
-40.00%3K
--3K
--4K
--5K
Total non current liabilities
-49.43%44K
-49.43%44K
--137K
97.73%87K
97.73%87K
--0
-55.56%44K
--44K
8.46%141K
-54.17%99K
Total liabilities
23.77%5.64M
23.77%5.64M
-32.92%3.67M
-29.34%4.56M
-29.34%4.56M
-11.65%5.47M
14.51%6.45M
--6.45M
28.14%6.19M
-18.09%5.63M
Shareholders'equity
Share capital
0.00%123K
0.00%123K
0.00%123K
0.00%123K
0.00%123K
0.00%123K
0.00%123K
--123K
0.00%123K
0.00%123K
-common stock
0.00%123K
0.00%123K
0.00%123K
0.00%123K
0.00%123K
0.00%123K
0.00%123K
--123K
0.00%123K
0.00%123K
Retained earnings
50.87%5.48M
50.87%5.48M
8.06%3.38M
-3.74%3.63M
-3.74%3.63M
-4.55%3.13M
-1.10%3.77M
--3.77M
-16.37%3.28M
-12.20%3.82M
Paid-in capital
0.48%9.76M
0.48%9.76M
0.48%9.74M
0.47%9.72M
0.47%9.72M
0.51%9.69M
0.57%9.67M
--9.67M
0.56%9.64M
0.56%9.62M
Less: Treasury stock
1.78%800K
1.78%800K
1.40%797K
0.00%786K
0.00%786K
0.00%786K
0.00%786K
--786K
0.00%786K
0.00%786K
Gains losses not affecting retained earnings
-1.10%1.08M
-1.10%1.08M
1.01%1.1M
-1.45%1.09M
-1.45%1.09M
-4.82%1.09M
-5.48%1.1M
--1.1M
-6.62%1.14M
-3.95%1.17M
Total stockholders'equity
13.57%15.64M
13.57%15.64M
2.26%13.54M
-0.81%13.77M
-0.81%13.77M
-1.16%13.24M
-0.37%13.88M
--13.88M
-4.75%13.4M
-3.62%13.94M
Noncontrolling interests
-18.86%839K
-18.86%839K
-5.99%769K
12.76%1.03M
12.76%1.03M
1.87%818K
73.67%917K
--917K
8.22%803K
-39.86%528K
Total equity
11.31%16.48M
11.31%16.48M
1.78%14.31M
0.03%14.81M
0.03%14.81M
-0.99%14.06M
2.34%14.8M
--14.8M
-4.10%14.2M
-5.70%14.46M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -3.11%5.45M-3.11%5.45M-24.93%4.36M6.81%5.63M6.81%5.63M7.06%5.81M49.73%5.27M--5.27M8.12%5.42M-41.26%3.52M
-Cash and cash equivalents -3.11%5.45M-3.11%5.45M-24.93%4.36M6.81%5.63M6.81%5.63M7.06%5.81M49.73%5.27M--5.27M8.12%5.42M-41.26%3.52M
Receivables 56.69%3.07M56.69%3.07M3.88%1.71M-50.18%1.96M-50.18%1.96M-38.96%1.65M0.54%3.93M--3.93M47.95%2.7M-8.67%3.91M
-Accounts receivable 80.58%2.86M80.58%2.86M-11.48%1.46M-56.32%1.59M-56.32%1.59M-5.78%1.65M13.50%3.63M--3.63M-1.02%1.75M-10.79%3.2M
-Taxes receivable 33.33%4K33.33%4K----0.00%3K0.00%3K-----98.84%3K--3K----12,800.00%258K
-Other receivables -45.80%200K-45.80%200K6,325.00%257K24.66%369K24.66%369K-99.58%4K-34.51%296K--296K1,441.94%956K-34.68%452K
Inventory 19.90%723K19.90%723K42.55%593K10.24%603K10.24%603K33.76%416K59.94%547K--547K51.71%311K-41.64%342K
Prepaid assets -67.37%108K-67.37%108K-----4.61%331K-4.61%331K-----65.51%347K--347K----103.23%1.01M
Restricted cash 28.28%1.19M28.28%1.19M-36.30%979K-34.09%930K-34.09%930K-0.19%1.54M-15.61%1.41M--1.41M5.99%1.54M154.10%1.67M
Other current assets --------5.11%535K---------39.62%509K---------43.61%843K----
Total current assets 11.59%10.55M11.59%10.55M-17.53%8.18M-17.85%9.45M-17.85%9.45M-8.34%9.92M10.11%11.5M--11.5M8.24%10.82M-13.01%10.45M
Non current assets
Net PPE 0.75%401K0.75%401K46.73%493K-12.14%398K-12.14%398K-41.05%336K-7.93%453K--453K-1.89%570K-55.52%492K
-Gross PPE 1.02%1.49M1.02%1.49M46.73%493K-12.57%1.48M-12.57%1.48M-41.05%336K-7.91%1.69M--1.69M-1.89%570K-41.80%1.83M
-Accumulated depreciation -1.11%-1.09M-1.11%-1.09M----12.72%-1.08M12.72%-1.08M----7.91%-1.23M---1.23M----34.38%-1.34M
Goodwill and other intangible assets 0.00%1.07M0.00%1.07M0.00%1.07M0.00%1.07M0.00%1.07M0.00%1.07M0.00%1.07M--1.07M0.00%1.07M0.00%1.07M
-Goodwill 0.00%1.07M0.00%1.07M0.00%1.07M0.00%1.07M0.00%1.07M0.00%1.07M0.00%1.07M--1.07M0.00%1.07M0.00%1.07M
Investments and advances 19.45%9.86M19.45%9.86M0.89%8.13M2.15%8.25M2.15%8.25M1.67%8.06M-0.09%8.08M--8.08M1.30%7.93M2.75%8.08M
Non current deferred assets -4.63%103K-4.63%103K-28.67%102K-25.52%108K-25.52%108K--143K--145K--145K--0--0
Other non current assets 69.41%144K69.41%144K------85K--85K--------------------
Total non current assets 16.77%11.58M16.77%11.58M1.96%9.8M1.71%9.91M1.71%9.91M0.43%9.61M1.03%9.75M--9.75M-0.75%9.57M-5.45%9.65M
Total assets 14.24%22.12M14.24%22.12M-7.94%17.98M-8.88%19.36M-8.88%19.36M-4.22%19.53M5.75%21.25M--21.25M3.83%20.39M-9.53%20.1M
Liabilities
Current liabilities
Payables 48.18%3.78M48.18%3.78M-29.60%2.81M-25.17%2.55M-25.17%2.55M-6.70%4M37.07%3.41M--3.41M35.67%4.28M-38.92%2.49M
-accounts payable 51.65%3.46M51.65%3.46M-24.51%1.89M-27.67%2.28M-27.67%2.28M45.22%2.51M31.62%3.15M--3.15M-18.98%1.73M-38.83%2.39M
-Total tax payable 28.13%246K28.13%246K-97.62%1K11.63%192K11.63%192K100.00%42K1,811.11%172K--172K--21K-88.46%9K
-Dividends payable -2.50%78K-2.50%78K-----6.98%80K-6.98%80K----2.38%86K--86K----5.00%84K
-Other payable ---------36.44%921K---------42.89%1.45M--------146.79%2.54M----
Current accrued expenses -12.30%834K-12.30%834K-----30.07%951K-30.07%951K-----9.33%1.36M--1.36M----59.40%1.5M
Current debt and capital lease obligation -3.28%324K-3.28%324K41.88%166K-39.20%335K-39.20%335K-31.58%117K15.03%551K--551K6.88%171K-34.83%479K
-Current debt -30.63%154K-30.63%154K-----40.96%222K-40.96%222K----4.16%376K--376K-----36.11%361K
-Current capital lease obligation 50.44%170K50.44%170K41.88%166K-35.43%113K-35.43%113K-31.58%117K48.31%175K--175K6.88%171K-30.59%118K
Current deferred liabilities 3.97%655K3.97%655K-59.31%551K-41.77%630K-41.77%630K-15.00%1.35M1.79%1.08M--1.08M15.27%1.59M18.11%1.06M
Other current liabilities 0.00%3K0.00%3K----0.00%3K0.00%3K-----25.00%3K--3K-----66.67%4K
Current liabilities 25.19%5.6M25.19%5.6M-35.43%3.53M-30.21%4.47M-30.21%4.47M-9.59%5.47M15.76%6.41M--6.41M28.69%6.05M-16.92%5.53M
Non current liabilities
Long term debt and capital lease obligation -49.43%44K-49.43%44K--137K112.20%87K112.20%87K--0-56.38%41K--41K5.38%137K-56.48%94K
-Long term capital lease obligation -49.43%44K-49.43%44K--137K112.20%87K112.20%87K--0-56.38%41K--41K5.38%137K-56.48%94K
Non current deferred liabilities --0--0--0--0--0--0-40.00%3K--3K--4K--5K
Total non current liabilities -49.43%44K-49.43%44K--137K97.73%87K97.73%87K--0-55.56%44K--44K8.46%141K-54.17%99K
Total liabilities 23.77%5.64M23.77%5.64M-32.92%3.67M-29.34%4.56M-29.34%4.56M-11.65%5.47M14.51%6.45M--6.45M28.14%6.19M-18.09%5.63M
Shareholders'equity
Share capital 0.00%123K0.00%123K0.00%123K0.00%123K0.00%123K0.00%123K0.00%123K--123K0.00%123K0.00%123K
-common stock 0.00%123K0.00%123K0.00%123K0.00%123K0.00%123K0.00%123K0.00%123K--123K0.00%123K0.00%123K
Retained earnings 50.87%5.48M50.87%5.48M8.06%3.38M-3.74%3.63M-3.74%3.63M-4.55%3.13M-1.10%3.77M--3.77M-16.37%3.28M-12.20%3.82M
Paid-in capital 0.48%9.76M0.48%9.76M0.48%9.74M0.47%9.72M0.47%9.72M0.51%9.69M0.57%9.67M--9.67M0.56%9.64M0.56%9.62M
Less: Treasury stock 1.78%800K1.78%800K1.40%797K0.00%786K0.00%786K0.00%786K0.00%786K--786K0.00%786K0.00%786K
Gains losses not affecting retained earnings -1.10%1.08M-1.10%1.08M1.01%1.1M-1.45%1.09M-1.45%1.09M-4.82%1.09M-5.48%1.1M--1.1M-6.62%1.14M-3.95%1.17M
Total stockholders'equity 13.57%15.64M13.57%15.64M2.26%13.54M-0.81%13.77M-0.81%13.77M-1.16%13.24M-0.37%13.88M--13.88M-4.75%13.4M-3.62%13.94M
Noncontrolling interests -18.86%839K-18.86%839K-5.99%769K12.76%1.03M12.76%1.03M1.87%818K73.67%917K--917K8.22%803K-39.86%528K
Total equity 11.31%16.48M11.31%16.48M1.78%14.31M0.03%14.81M0.03%14.81M-0.99%14.06M2.34%14.8M--14.8M-4.10%14.2M-5.70%14.46M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes----Unqualified Opinion----Unqualified Opinion----Unqualified Opinion

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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