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        US Stock MarketDetailed Quotes
        JGGC Jaguar Global Growth Corporation I Watchlist
        10.520 +0.020+0.19% Close 06/02 16:00 ET
        10.5200.0000.00% Post 16:00 ET
        10.896High10.500Low610.72KVolume
        Quarterly+Annual
        YOY
        Hide blank lines
        (Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(Q4)2021/12/31(Q3)2021/09/30(Q2)2021/06/30
        Investing cash flow
        Cash flow from continuing investing activities
        0-234.6M000-234.6M000
        Net other investing changes
        -------234.6M--0--0--0---234.6M------------
        Cash from discontinued investing activities
        Investing cash flow
        --0---234.6M--0--0--0---234.6M--0--0--0
        Financing cash flow
        Cash flow from continuing financing activities
        0237.07M446.27%57.36K-32,131.50%-193.39K199.79%193.39K237.01M-16.57K-60064.51K
        Net issuance payments of debt
        --0---196.53K-42.64%57.36K--0--0---253.89K--100K--0--150K
        Net common stock issuance
        --0--230M--0--0--0--230M--0--0--25K
        Proceeds from stock option exercised by employees
        --0--12.45M--0--0--0--12.45M--0--0--0
        Net other financing activities
        -------5.18M--0-32,131.50%-193.39K275.03%193.39K---5.18M---116.57K---600---110.49K
        Cash from discontinued financing activities
        Financing cash flow
        --0--237.07M446.27%57.36K-32,131.50%-193.39K199.79%193.39K--237.01M---16.57K---600--64.51K
        Net cash flow
        Beginning cash position
        1,804.23%640.58K--33.64K1,328.79%762.1K1,558.49%894.94K--1.15M--33.64K--53.34K--53.96K--0
        Current changes in cash
        -157.33%-640.58K--606.94K-516.88%-121.52K-21,256.11%-132.84K-574.56%-256.08K--1.12M---19.7K---622--53.96K
        End cash Position
        --0--640.58K1,804.23%640.58K1,328.79%762.1K1,558.49%894.94K--1.15M--33.64K--53.34K--53.96K
        Free cash flow
        50.63%-640.58K---1.87M-5,607.69%-178.88K275,345.45%60.55K-4,161.53%-449.46K---1.3M---3.13K---22---10.55K
        Investing cash flow
        Cash flow from continuing investing activities
        0-234.6M000-234.6M000
        Net other investing changes
        -------234.6M--0--0--0---234.6M------------
        Cash from discontinued investing activities
        Investing cash flow
        --0---234.6M--0--0--0---234.6M--0--0--0
        Financing cash flow
        Cash flow from continuing financing activities
        0237.07M446.27%57.36K-32,131.50%-193.39K199.79%193.39K237.01M-16.57K-60064.51K
        Net issuance payments of debt
        --0---196.53K-42.64%57.36K--0--0---253.89K--100K--0--150K
        Net common stock issuance
        --0--230M--0--0--0--230M--0--0--25K
        Proceeds from stock option exercised by employees
        --0--12.45M--0--0--0--12.45M--0--0--0
        Net other financing activities
        -------5.18M--0-32,131.50%-193.39K275.03%193.39K---5.18M---116.57K---600---110.49K
        Cash from discontinued financing activities
        Financing cash flow
        --0--237.07M446.27%57.36K-32,131.50%-193.39K199.79%193.39K--237.01M---16.57K---600--64.51K
        Net cash flow
        Beginning cash position
        1,804.23%640.58K--33.64K1,328.79%762.1K1,558.49%894.94K--1.15M--33.64K--53.34K--53.96K--0
        Current changes in cash
        -157.33%-640.58K--606.94K-516.88%-121.52K-21,256.11%-132.84K-574.56%-256.08K--1.12M---19.7K---622--53.96K
        End cash Position
        --0--640.58K1,804.23%640.58K1,328.79%762.1K1,558.49%894.94K--1.15M--33.64K--53.34K--53.96K
        Free cash flow
        50.63%-640.58K---1.87M-5,607.69%-178.88K275,345.45%60.55K-4,161.53%-449.46K---1.3M---3.13K---22---10.55K
        Currency Unit
        USDUSDUSDUSDUSDUSDUSDUSDUSD
        Audit Opinions
        --Unqualified Opinion with Explanatory Notes--------------
        Paper Trade Start
        Symbol
        Direction
        Buy
        Sell
        Types
        LMT Order
        Price
        QTY
        Amount
        --