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SMXT SolarMax Technology

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  • 1.110
  • -0.050-4.31%
Close Apr 25 16:00 ET
50.87MMarket Cap-1.44P/E (TTM)

SolarMax Technology Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-323.17%-9.13M
-129.27%-1.31M
-79.53%203.62K
56.72%-1.62M
-370.74%-6.4M
307.51%4.09M
132.93%4.48M
41.98%994.59K
-45.68%-3.75M
216.86%2.36M
Net income from continuing operations
-8,141.27%-34.96M
-4,697.71%-3.9M
-756.68%-9.62M
-16.46%-2.16M
-2,694.43%-19.27M
106.33%434.79K
-89.23%84.9K
178.92%1.47M
62.91%-1.86M
193.51%742.82K
Operating gains losses
-4.08%-949.6K
-1,017.31%-86.47K
42.14%-273.77K
-33.57%-461.09K
-23.95%-128.28K
63.80%-912.4K
-88.33%9.43K
-6.20%-473.13K
82.16%-345.21K
53.13%-103.49K
Depreciation and amortization
-4.15%1.55M
-4.81%380.96K
-3.20%389.1K
-4.47%383.51K
-4.11%392.58K
17.55%1.61M
3.95%400.19K
25.73%401.96K
21.95%401.45K
21.02%409.42K
Deferred tax
2,275.61%1.83M
670.72%1.72M
-73.64%57.11K
-71.54%59K
99.42%-1.2K
9.22%-84.19K
26.59%-300.82K
-31.84%216.63K
27,090.63%207.29K
---207.29K
Other non cash items
-71.56%118.88K
-85.45%48.86K
53.89%53.46K
68.11%48.43K
-270.55%-31.88K
139.64%417.99K
134.47%335.75K
146.17%34.74K
102.47%28.81K
196.58%18.69K
Change In working capital
-319.97%-3.99M
-112.93%-472.81K
217.63%772.67K
119.02%434.93K
-529.31%-4.73M
-42.40%1.82M
100.32%3.66M
-128.67%-656.84K
-740.53%-2.29M
183.23%1.1M
-Change in receivables
-62.63%3.04M
-91.21%847.86K
-86.60%641.36K
149.37%612.9K
118.55%938.15K
102.40%8.13M
1,224.52%9.65M
324.71%4.79M
-172.76%-1.24M
-1,206.27%-5.06M
-Change in inventory
-100.36%-7.1K
-33.06%212.61K
-87.28%46.59K
-142.34%-324.36K
-88.45%58.07K
1,735.60%1.95M
-70.30%317.64K
119.82%366.11K
36.79%766.06K
410.05%502.83K
-Change in payables and accrued expense
-193.38%-4.43M
-213.13%-701.09K
137.21%668.69K
136.83%695.95K
-427.79%-5.1M
46.35%-1.51M
36.42%619.71K
-272.52%-1.8M
24.70%-1.89M
186.21%1.56M
-Change in other current assets
-267.60%-45.73K
-1,073.37%-1.98K
-3,657.63%-15.52K
587.35%1.66K
-205.94%-29.88K
6.39%27.28K
-100.15%-169
99.59%-413
-46.55%-340
145.30%28.21K
-Change in other current liabilities
7.50%-2.55M
-39.39%-830.2K
54.67%-568.44K
16.54%-551.21K
-146.35%-595.36K
-353.89%-2.75M
-283.62%-595.58K
-208.43%-1.25M
-301.66%-660.48K
32.80%-241.67K
-Change in other working capital
----
----
----
----
----
-252.35%-4.04M
-631.73%-6.33M
-211.40%-2.76M
-3.31%739.19K
1,477.15%4.31M
Cash from discontinued investing activities
Operating cash flow
-323.17%-9.13M
-129.27%-1.31M
-79.53%203.62K
56.72%-1.62M
-370.74%-6.4M
307.51%4.09M
132.93%4.48M
41.98%994.59K
-45.68%-3.75M
216.86%2.36M
Investing cash flow
Cash flow from continuing investing activities
-96,325.42%-6.32M
1,034,716.54%1.38M
-5,486.46%-18.16K
-2,334.81%-688.22K
-31,603.23%-6.99M
97.67%-6.55K
-100.53%-133
-100.90%-325
46.24%-28.27K
107.68%22.17K
Net PPE purchase and sale
420.18%20.97K
--0
2,099.69%6.5K
--0
-34.73%14.47K
-178.61%-6.55K
-100.53%-133
-100.90%-325
46.24%-28.27K
--22.17K
Net investment purchase and sale
---6.34M
--1.38M
---24.66K
---688.22K
---7M
--0
--0
--0
--0
--0
Cash from discontinued investing activities
Investing cash flow
-96,325.42%-6.32M
1,034,716.54%1.38M
-5,486.46%-18.16K
-2,334.81%-688.22K
-31,603.23%-6.99M
97.67%-6.55K
-100.53%-133
-100.90%-325
46.24%-28.27K
107.68%22.17K
Financing cash flow
Cash flow from continuing financing activities
350.09%13.31M
89.78%-546.2K
41.66%-360.58K
2.98%-1.36M
664.01%15.57M
29.04%-5.32M
-108.51%-5.34M
8.92%-618.03K
-46.58%-1.4M
161.68%2.04M
Net issuance payments of debt
4.21%-4.65M
71.83%-199.77K
29.42%-291.52K
5.21%-1.15M
-19.49%-3M
32.12%-4.85M
72.40%-709.15K
42.36%-413.02K
-17.54%-1.21M
11.02%-2.51M
Net common stock issuance
--18.95M
--373.18K
--0
--0
--18.58M
--0
--0
--0
--0
--0
Net other financing activities
-110.56%-995.87K
84.47%-719.6K
66.31%-69.07K
----
----
-32.73%-472.95K
-67,027.03%-4.63M
-638.95%-205.01K
-338.88%-185.7K
1,050.35%4.55M
Cash from discontinued financing activities
Financing cash flow
350.09%13.31M
89.78%-546.2K
41.66%-360.58K
2.98%-1.36M
664.01%15.57M
29.04%-5.32M
-108.51%-5.34M
8.92%-618.03K
-46.58%-1.4M
161.68%2.04M
Net cash flow
Beginning cash position
-30.59%2.89M
-72.52%1.15M
-58.34%1.67M
-38.04%5.29M
-30.59%2.89M
-68.89%4.17M
-18.15%4.19M
-13.07%4.02M
9.80%8.53M
-68.89%4.17M
Current changes in cash
-72.69%-2.14M
44.23%-481.67K
-146.55%-175.12K
29.13%-3.67M
-50.57%2.19M
87.31%-1.24M
-40.53%-863.62K
549.11%376.23K
-44.57%-5.17M
178.78%4.42M
Effect of exchange rate changes
907.94%305.9K
190.48%392.88K
-71.86%-346.36K
-91.82%53.9K
436.04%205.48K
-107.30%-37.86K
-28.70%-434.24K
-145.59%-201.54K
53.61%659.06K
-307.25%-61.15K
End cash Position
-63.26%1.06M
-63.26%1.06M
-72.52%1.15M
-58.34%1.67M
-38.04%5.29M
-30.59%2.89M
-30.59%2.89M
-18.15%4.19M
-13.07%4.02M
9.80%8.53M
Free cash flow
-324.70%-9.13M
-129.27%-1.31M
-79.53%203.62K
57.04%-1.62M
-370.74%-6.4M
297.72%4.06M
133.42%4.48M
47.64%994.59K
-43.83%-3.78M
216.86%2.36M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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--
--
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Unqualified Opinion with Explanatory Notes
--
--
--
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(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -323.17%-9.13M-129.27%-1.31M-79.53%203.62K56.72%-1.62M-370.74%-6.4M307.51%4.09M132.93%4.48M41.98%994.59K-45.68%-3.75M216.86%2.36M
Net income from continuing operations -8,141.27%-34.96M-4,697.71%-3.9M-756.68%-9.62M-16.46%-2.16M-2,694.43%-19.27M106.33%434.79K-89.23%84.9K178.92%1.47M62.91%-1.86M193.51%742.82K
Operating gains losses -4.08%-949.6K-1,017.31%-86.47K42.14%-273.77K-33.57%-461.09K-23.95%-128.28K63.80%-912.4K-88.33%9.43K-6.20%-473.13K82.16%-345.21K53.13%-103.49K
Depreciation and amortization -4.15%1.55M-4.81%380.96K-3.20%389.1K-4.47%383.51K-4.11%392.58K17.55%1.61M3.95%400.19K25.73%401.96K21.95%401.45K21.02%409.42K
Deferred tax 2,275.61%1.83M670.72%1.72M-73.64%57.11K-71.54%59K99.42%-1.2K9.22%-84.19K26.59%-300.82K-31.84%216.63K27,090.63%207.29K---207.29K
Other non cash items -71.56%118.88K-85.45%48.86K53.89%53.46K68.11%48.43K-270.55%-31.88K139.64%417.99K134.47%335.75K146.17%34.74K102.47%28.81K196.58%18.69K
Change In working capital -319.97%-3.99M-112.93%-472.81K217.63%772.67K119.02%434.93K-529.31%-4.73M-42.40%1.82M100.32%3.66M-128.67%-656.84K-740.53%-2.29M183.23%1.1M
-Change in receivables -62.63%3.04M-91.21%847.86K-86.60%641.36K149.37%612.9K118.55%938.15K102.40%8.13M1,224.52%9.65M324.71%4.79M-172.76%-1.24M-1,206.27%-5.06M
-Change in inventory -100.36%-7.1K-33.06%212.61K-87.28%46.59K-142.34%-324.36K-88.45%58.07K1,735.60%1.95M-70.30%317.64K119.82%366.11K36.79%766.06K410.05%502.83K
-Change in payables and accrued expense -193.38%-4.43M-213.13%-701.09K137.21%668.69K136.83%695.95K-427.79%-5.1M46.35%-1.51M36.42%619.71K-272.52%-1.8M24.70%-1.89M186.21%1.56M
-Change in other current assets -267.60%-45.73K-1,073.37%-1.98K-3,657.63%-15.52K587.35%1.66K-205.94%-29.88K6.39%27.28K-100.15%-16999.59%-413-46.55%-340145.30%28.21K
-Change in other current liabilities 7.50%-2.55M-39.39%-830.2K54.67%-568.44K16.54%-551.21K-146.35%-595.36K-353.89%-2.75M-283.62%-595.58K-208.43%-1.25M-301.66%-660.48K32.80%-241.67K
-Change in other working capital ---------------------252.35%-4.04M-631.73%-6.33M-211.40%-2.76M-3.31%739.19K1,477.15%4.31M
Cash from discontinued investing activities
Operating cash flow -323.17%-9.13M-129.27%-1.31M-79.53%203.62K56.72%-1.62M-370.74%-6.4M307.51%4.09M132.93%4.48M41.98%994.59K-45.68%-3.75M216.86%2.36M
Investing cash flow
Cash flow from continuing investing activities -96,325.42%-6.32M1,034,716.54%1.38M-5,486.46%-18.16K-2,334.81%-688.22K-31,603.23%-6.99M97.67%-6.55K-100.53%-133-100.90%-32546.24%-28.27K107.68%22.17K
Net PPE purchase and sale 420.18%20.97K--02,099.69%6.5K--0-34.73%14.47K-178.61%-6.55K-100.53%-133-100.90%-32546.24%-28.27K--22.17K
Net investment purchase and sale ---6.34M--1.38M---24.66K---688.22K---7M--0--0--0--0--0
Cash from discontinued investing activities
Investing cash flow -96,325.42%-6.32M1,034,716.54%1.38M-5,486.46%-18.16K-2,334.81%-688.22K-31,603.23%-6.99M97.67%-6.55K-100.53%-133-100.90%-32546.24%-28.27K107.68%22.17K
Financing cash flow
Cash flow from continuing financing activities 350.09%13.31M89.78%-546.2K41.66%-360.58K2.98%-1.36M664.01%15.57M29.04%-5.32M-108.51%-5.34M8.92%-618.03K-46.58%-1.4M161.68%2.04M
Net issuance payments of debt 4.21%-4.65M71.83%-199.77K29.42%-291.52K5.21%-1.15M-19.49%-3M32.12%-4.85M72.40%-709.15K42.36%-413.02K-17.54%-1.21M11.02%-2.51M
Net common stock issuance --18.95M--373.18K--0--0--18.58M--0--0--0--0--0
Net other financing activities -110.56%-995.87K84.47%-719.6K66.31%-69.07K---------32.73%-472.95K-67,027.03%-4.63M-638.95%-205.01K-338.88%-185.7K1,050.35%4.55M
Cash from discontinued financing activities
Financing cash flow 350.09%13.31M89.78%-546.2K41.66%-360.58K2.98%-1.36M664.01%15.57M29.04%-5.32M-108.51%-5.34M8.92%-618.03K-46.58%-1.4M161.68%2.04M
Net cash flow
Beginning cash position -30.59%2.89M-72.52%1.15M-58.34%1.67M-38.04%5.29M-30.59%2.89M-68.89%4.17M-18.15%4.19M-13.07%4.02M9.80%8.53M-68.89%4.17M
Current changes in cash -72.69%-2.14M44.23%-481.67K-146.55%-175.12K29.13%-3.67M-50.57%2.19M87.31%-1.24M-40.53%-863.62K549.11%376.23K-44.57%-5.17M178.78%4.42M
Effect of exchange rate changes 907.94%305.9K190.48%392.88K-71.86%-346.36K-91.82%53.9K436.04%205.48K-107.30%-37.86K-28.70%-434.24K-145.59%-201.54K53.61%659.06K-307.25%-61.15K
End cash Position -63.26%1.06M-63.26%1.06M-72.52%1.15M-58.34%1.67M-38.04%5.29M-30.59%2.89M-30.59%2.89M-18.15%4.19M-13.07%4.02M9.80%8.53M
Free cash flow -324.70%-9.13M-129.27%-1.31M-79.53%203.62K57.04%-1.62M-370.74%-6.4M297.72%4.06M133.42%4.48M47.64%994.59K-43.83%-3.78M216.86%2.36M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

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