US Stock MarketDetailed Quotes

FTFT Future FinTech

Watchlist
  • 0.8001
  • +0.0388+5.10%
Close May 31 16:00 ET
  • 0.7999
  • -0.0002-0.02%
Post 18:44 ET
15.99MMarket Cap-347P/E (TTM)

Future FinTech Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
20.63%-8.15M
-623.48%-17.23M
-1,695.71%-10.8M
-115.57%-521.78K
197.33%4.37M
-1,508.68%-10.27M
87.29%-2.38M
-155.97%-601.52K
119.31%3.35M
-486.65%-4.49M
Net income from continuing operations
-85.54%-3.97M
-145.57%-34.4M
-425.47%-28.06M
29.68%-2.56M
29.55%-1.65M
20.72%-2.14M
1.39%-14.01M
-3.53%-5.34M
53.69%-3.63M
-479.14%-2.34M
Operating gains losses
--12.06K
----
----
----
----
----
----
----
----
----
Depreciation and amortization
-5.30%81.12K
32.75%330.14K
-3.25%63.68K
36.72%88.14K
50.82%92.67K
50.34%85.66K
295.38%248.7K
45.82%65.82K
365.26%64.47K
2,610.15%61.44K
Other non cash items
--21.94K
----
----
----
----
----
----
----
----
----
Change In working capital
38.15%-5.09M
-101.11%-65.67K
-86.72%308.91K
-64.18%1.94M
322.35%5.92M
-1,058.92%-8.24M
141.93%5.93M
-19.99%2.33M
136.06%5.41M
-631.36%-2.66M
-Change in receivables
1,532.67%9.59M
-161.02%-2.92M
36.92%-4.23M
-112.28%-668.22K
298.91%1.39M
-30.62%587.48K
88.25%-1.12M
-1,521.39%-6.7M
160.80%5.44M
19.41%-700.28K
-Change in prepaid assets
-37.88%-14.55M
148.24%840.59K
-143.03%-1.62M
779.80%17.72M
-36.18%-4.71M
-1,972.10%-10.56M
40.02%-1.74M
37.38%3.76M
53.89%-2.61M
-6,781,605.88%-3.46M
-Change in payables and accrued expense
104.44%117.13K
-63.46%2.93M
-23.62%5.9M
-155.94%-483.33K
183.88%148.3K
-551.90%-2.64M
939.00%8.01M
1,107.38%7.72M
498.30%864.03K
-125.89%-176.81K
-Change in other working capital
-105.72%-249.89K
-216.86%-915.96K
110.37%254.62K
-953.48%-14.63M
444.06%9.09M
3,077.81%4.37M
201.05%783.82K
-627.25%-2.46M
1,007.24%1.71M
1,038.30%1.67M
Cash from discontinued investing activities
1,922.30%645.44K
299.31%574.57K
262.72%469.09K
3,191,700.00%31.92K
-121.14%-288.29K
66.43%-288.29K
Operating cash flow
26.68%-7.51M
-523.81%-16.65M
-1,061.20%-10.33M
-112.43%-416.3K
196.62%4.34M
-1,503.68%-10.24M
84.64%-2.67M
-512.00%-889.8K
122.14%3.35M
-463.03%-4.49M
Investing cash flow
Cash flow from continuing investing activities
306.93%802.63K
156.63%8.04M
-2,334.65%-5.61M
88.20%-997.52K
325.76%14.44M
-52.10%197.24K
-26.91%-14.19M
105.61%250.91K
-26.20%-8.46M
-87,435.81%-6.4M
Net PPE purchase and sale
-748.56%-144.34K
-32.62%-778.6K
45.06%-289.97K
-4,853.06%-360.53K
-225.61%-111.09K
4.98%-17.01K
81.46%-587.1K
79.32%-527.81K
98.80%-7.28K
-366.84%-34.12K
Net intangibles purchase and sale
----
--0
--0
--0
----
----
-1,364.88%-570.35K
--0
--0
--0
Net business purchase and sale
--0
2,703.91%4.67M
----
----
----
---10.72K
-22.97%166.68K
----
----
----
Net investment purchase and sale
--946.97K
----
----
----
----
--0
--0
----
----
----
Net other investing changes
----
131.37%4.14M
-1,732.31%-9.99M
92.46%-636.99K
328.55%14.54M
-77.50%224.97K
-119.98%-13.2M
98.47%612.04K
---8.45M
---6.36M
Cash from discontinued investing activities
Investing cash flow
452.47%802.63K
155.77%8.04M
-17,490.14%-5.61M
88.20%-997.52K
326.57%14.49M
-64.72%145.28K
-28.86%-14.41M
100.72%32.24K
-26.20%-8.46M
-87,435.81%-6.4M
Financing cash flow
Cash flow from continuing financing activities
4,548.09%2.55M
-624.60%-1.82M
146.14%1.09M
-44.07%-2.91M
-90.09%57.3K
-101.61%-57.3K
-100.36%-251.69K
-334.72%-2.36M
-246.33%-2.02M
-98.22%578.05K
Net issuance payments of debt
----
-1,222.35%-2.49M
114.35%404.33K
-84.15%-2.89M
----
----
-20.94%-188.22K
-379.60%-2.82M
-821.86%-1.57M
239.17%578.05K
Net common stock issuance
--2.58M
----
----
----
----
--0
----
----
----
----
Net other financing activities
44.03%-32.07K
1,147.80%665.11K
51.90%686.76K
----
----
9.74%-57.3K
---63.48K
--452.11K
---452.11K
--0
Cash from discontinued financing activities
Financing cash flow
4,548.09%2.55M
-624.60%-1.82M
146.14%1.09M
-44.07%-2.91M
-90.09%57.3K
-101.61%-57.3K
-100.36%-251.69K
-334.72%-2.36M
-246.33%-2.02M
-98.22%578.05K
Net cash flow
Beginning cash position
-35.81%19.03M
-41.00%29.66M
1.33%33.4M
-12.48%36.79M
-63.11%19.79M
-41.03%29.65M
433.37%50.27M
-37.77%32.96M
-41.64%42.03M
27.35%53.64M
Current changes in cash
59.05%-4.16M
39.76%-10.44M
-360.78%-14.85M
39.28%-4.33M
283.23%18.89M
-404.78%-10.15M
-142.56%-17.33M
0.87%-3.22M
61.64%-7.13M
-134.50%-10.31M
Effect of exchange rate changes
-96.03%12.12K
94.12%-188.64K
10,414.38%550.69K
148.80%945.81K
-53.50%-1.99M
826.09%305.32K
-2,606.18%-3.21M
-100.96%-5.34K
-316.09%-1.94M
-7,680.17%-1.3M
End cash Position
-24.77%14.89M
-35.99%19.03M
-35.99%19.03M
1.33%33.4M
-12.48%36.79M
-63.11%19.79M
-40.85%29.74M
-40.85%29.74M
-37.77%32.96M
-41.64%42.03M
Free cash flow
25.38%-7.65M
-356.33%-17.46M
-649.31%-10.62M
-124.21%-809.44K
193.43%4.23M
-736.16%-10.26M
81.41%-3.83M
40.32%-1.42M
121.24%3.34M
-462.15%-4.53M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(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(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 20.63%-8.15M-623.48%-17.23M-1,695.71%-10.8M-115.57%-521.78K197.33%4.37M-1,508.68%-10.27M87.29%-2.38M-155.97%-601.52K119.31%3.35M-486.65%-4.49M
Net income from continuing operations -85.54%-3.97M-145.57%-34.4M-425.47%-28.06M29.68%-2.56M29.55%-1.65M20.72%-2.14M1.39%-14.01M-3.53%-5.34M53.69%-3.63M-479.14%-2.34M
Operating gains losses --12.06K------------------------------------
Depreciation and amortization -5.30%81.12K32.75%330.14K-3.25%63.68K36.72%88.14K50.82%92.67K50.34%85.66K295.38%248.7K45.82%65.82K365.26%64.47K2,610.15%61.44K
Other non cash items --21.94K------------------------------------
Change In working capital 38.15%-5.09M-101.11%-65.67K-86.72%308.91K-64.18%1.94M322.35%5.92M-1,058.92%-8.24M141.93%5.93M-19.99%2.33M136.06%5.41M-631.36%-2.66M
-Change in receivables 1,532.67%9.59M-161.02%-2.92M36.92%-4.23M-112.28%-668.22K298.91%1.39M-30.62%587.48K88.25%-1.12M-1,521.39%-6.7M160.80%5.44M19.41%-700.28K
-Change in prepaid assets -37.88%-14.55M148.24%840.59K-143.03%-1.62M779.80%17.72M-36.18%-4.71M-1,972.10%-10.56M40.02%-1.74M37.38%3.76M53.89%-2.61M-6,781,605.88%-3.46M
-Change in payables and accrued expense 104.44%117.13K-63.46%2.93M-23.62%5.9M-155.94%-483.33K183.88%148.3K-551.90%-2.64M939.00%8.01M1,107.38%7.72M498.30%864.03K-125.89%-176.81K
-Change in other working capital -105.72%-249.89K-216.86%-915.96K110.37%254.62K-953.48%-14.63M444.06%9.09M3,077.81%4.37M201.05%783.82K-627.25%-2.46M1,007.24%1.71M1,038.30%1.67M
Cash from discontinued investing activities 1,922.30%645.44K299.31%574.57K262.72%469.09K3,191,700.00%31.92K-121.14%-288.29K66.43%-288.29K
Operating cash flow 26.68%-7.51M-523.81%-16.65M-1,061.20%-10.33M-112.43%-416.3K196.62%4.34M-1,503.68%-10.24M84.64%-2.67M-512.00%-889.8K122.14%3.35M-463.03%-4.49M
Investing cash flow
Cash flow from continuing investing activities 306.93%802.63K156.63%8.04M-2,334.65%-5.61M88.20%-997.52K325.76%14.44M-52.10%197.24K-26.91%-14.19M105.61%250.91K-26.20%-8.46M-87,435.81%-6.4M
Net PPE purchase and sale -748.56%-144.34K-32.62%-778.6K45.06%-289.97K-4,853.06%-360.53K-225.61%-111.09K4.98%-17.01K81.46%-587.1K79.32%-527.81K98.80%-7.28K-366.84%-34.12K
Net intangibles purchase and sale ------0--0--0---------1,364.88%-570.35K--0--0--0
Net business purchase and sale --02,703.91%4.67M---------------10.72K-22.97%166.68K------------
Net investment purchase and sale --946.97K------------------0--0------------
Net other investing changes ----131.37%4.14M-1,732.31%-9.99M92.46%-636.99K328.55%14.54M-77.50%224.97K-119.98%-13.2M98.47%612.04K---8.45M---6.36M
Cash from discontinued investing activities
Investing cash flow 452.47%802.63K155.77%8.04M-17,490.14%-5.61M88.20%-997.52K326.57%14.49M-64.72%145.28K-28.86%-14.41M100.72%32.24K-26.20%-8.46M-87,435.81%-6.4M
Financing cash flow
Cash flow from continuing financing activities 4,548.09%2.55M-624.60%-1.82M146.14%1.09M-44.07%-2.91M-90.09%57.3K-101.61%-57.3K-100.36%-251.69K-334.72%-2.36M-246.33%-2.02M-98.22%578.05K
Net issuance payments of debt -----1,222.35%-2.49M114.35%404.33K-84.15%-2.89M---------20.94%-188.22K-379.60%-2.82M-821.86%-1.57M239.17%578.05K
Net common stock issuance --2.58M------------------0----------------
Net other financing activities 44.03%-32.07K1,147.80%665.11K51.90%686.76K--------9.74%-57.3K---63.48K--452.11K---452.11K--0
Cash from discontinued financing activities
Financing cash flow 4,548.09%2.55M-624.60%-1.82M146.14%1.09M-44.07%-2.91M-90.09%57.3K-101.61%-57.3K-100.36%-251.69K-334.72%-2.36M-246.33%-2.02M-98.22%578.05K
Net cash flow
Beginning cash position -35.81%19.03M-41.00%29.66M1.33%33.4M-12.48%36.79M-63.11%19.79M-41.03%29.65M433.37%50.27M-37.77%32.96M-41.64%42.03M27.35%53.64M
Current changes in cash 59.05%-4.16M39.76%-10.44M-360.78%-14.85M39.28%-4.33M283.23%18.89M-404.78%-10.15M-142.56%-17.33M0.87%-3.22M61.64%-7.13M-134.50%-10.31M
Effect of exchange rate changes -96.03%12.12K94.12%-188.64K10,414.38%550.69K148.80%945.81K-53.50%-1.99M826.09%305.32K-2,606.18%-3.21M-100.96%-5.34K-316.09%-1.94M-7,680.17%-1.3M
End cash Position -24.77%14.89M-35.99%19.03M-35.99%19.03M1.33%33.4M-12.48%36.79M-63.11%19.79M-40.85%29.74M-40.85%29.74M-37.77%32.96M-41.64%42.03M
Free cash flow 25.38%-7.65M-356.33%-17.46M-649.31%-10.62M-124.21%-809.44K193.43%4.23M-736.16%-10.26M81.41%-3.83M40.32%-1.42M121.24%3.34M-462.15%-4.53M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
%Chg