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CREG Smart Powerr

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  • 0.6889
  • -0.0091-1.30%
Close Apr 28 16:00 ET
17.09MMarket Cap-3.83P/E (TTM)

Smart Powerr 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
Assets
Current assets
Cash, cash equivalents and short term investments
-21.71%25.34K
-21.71%25.34K
1.72%69.12M
14,829.59%68.1M
173,927.48%68.58M
-99.98%32.37K
-99.98%32.37K
-50.12%67.95M
-99.68%456.16K
-99.97%39.41K
-Cash and cash equivalents
-21.71%25.34K
-21.71%25.34K
1.72%69.12M
14,829.59%68.1M
173,927.48%68.58M
-99.98%32.37K
-99.98%32.37K
-50.12%67.95M
-99.68%456.16K
-99.97%39.41K
Receivables
-19.01%55.88M
-19.01%55.88M
3.59%226.47K
-99.68%216.52K
-99.84%223.97K
30,799.65%68.99M
30,799.65%68.99M
19.93%218.62K
36,159.34%67.29M
71,580.78%140.8M
-Loans receivable
-19.07%55.66M
-19.07%55.66M
--0
--0
--0
--68.77M
--68.77M
----
--67.12M
--140.58M
-Taxes receivable
-2.97%165.63K
-2.97%165.63K
2.46%172.53K
1.39%169.64K
-3.15%170.4K
-1.67%170.69K
-1.67%170.69K
-1.11%168.39K
-7.12%167.31K
-7.62%175.94K
-Other receivables
2.53%49.75K
2.53%49.75K
7.38%53.94K
--46.88K
15.28%53.57K
-2.36%48.52K
-2.36%48.52K
318.68%50.23K
----
676.94%46.47K
Prepaid assets
-3.30%65.21M
-3.30%65.21M
2.45%68.17M
1.30%67.02M
145,259.19%67.33M
211,160.72%67.44M
211,160.72%67.44M
7,291.09%66.54M
7,206.93%66.17M
-94.90%46.32K
Other current assets
----
----
----
----
----
----
----
--15.27K
3,033,500.00%30.33K
--47.46K
Total current assets
-11.25%121.12M
-11.25%121.12M
2.07%137.51M
1.05%135.34M
-3.41%136.13M
-1.92%136.47M
-1.92%136.47M
-1.88%134.72M
-7.84%133.94M
-8.33%140.93M
Non current assets
Net PPE
2,878.04%118.94K
2,878.04%118.94K
3,082.12%143.64K
3,386.33%156.33K
3,550.19%172.14K
-14.16%3.99K
-14.16%3.99K
-94.41%4.51K
-95.56%4.48K
-96.16%4.72K
-Gross PPE
2,878.04%118.94K
2,878.04%118.94K
--143.64K
--156.33K
--172.14K
--3.99K
--3.99K
----
----
----
Total non current assets
2,878.04%118.94K
2,878.04%118.94K
3,082.12%143.64K
3,386.33%156.33K
3,550.19%172.14K
-14.16%3.99K
-14.16%3.99K
-95.31%4.51K
-96.18%4.48K
-96.63%4.72K
Total assets
-11.16%121.23M
-11.16%121.23M
2.17%137.65M
1.16%135.5M
-3.29%136.3M
-1.92%136.47M
-1.92%136.47M
-1.94%134.73M
-7.91%133.94M
-8.41%140.94M
Liabilities
Current liabilities
Payables
-0.03%5.05M
-0.03%5.05M
11.15%5.01M
10.35%4.95M
8.98%4.87M
13.34%5.05M
13.34%5.05M
16.47%4.51M
14.67%4.48M
11.84%4.47M
-accounts payable
-2.97%68K
-2.97%68K
2.46%70.84K
1.39%69.65K
-3.15%69.96K
-1.67%70.08K
-1.67%70.08K
-1.12%69.13K
-7.12%68.7K
-12.54%72.24K
-Total tax payable
-0.01%4.28M
-0.01%4.28M
16.13%4.28M
14.84%4.28M
16.80%4.29M
16.18%4.28M
16.18%4.28M
20.64%3.68M
22.24%3.72M
19.25%3.67M
-Other payable
0.19%701.77K
0.19%701.77K
-12.31%662.4K
-13.03%599.2K
-29.52%510.02K
-0.06%700.47K
-0.06%700.47K
4.53%755.4K
-9.74%688.94K
-10.50%723.64K
Current accrued expenses
20.31%3.29M
20.31%3.29M
11.54%3.04M
9.75%2.97M
0.93%2.88M
-12.31%2.73M
-12.31%2.73M
219.25%2.72M
228.22%2.71M
287.37%2.85M
Current debt and capital lease obligation
-70.40%4.76M
-70.40%4.76M
-0.50%15.95M
-1.22%15.89M
-5.20%15.91M
-4.29%16.09M
-4.29%16.09M
-3.24%16.03M
-5.04%16.09M
-4.67%16.78M
-Current debt
-70.76%4.71M
-70.76%4.71M
-0.88%15.89M
-1.41%15.83M
-5.21%15.88M
-3.94%16.09M
-3.94%16.09M
-2.89%16.03M
-4.87%16.06M
-4.31%16.75M
-Current capital lease obligation
--58.53K
--58.53K
--61.39K
102.81%61.52K
-1.93%30.9K
--0
--0
--0
-51.79%30.33K
-68.57%31.51K
Current liabilities
-45.14%13.1M
-45.14%13.1M
3.17%24M
2.29%23.81M
-1.85%23.66M
-2.09%23.87M
-2.09%23.87M
9.25%23.27M
7.39%23.28M
7.91%24.1M
Non current liabilities
Long term debt and capital lease obligation
--56.54K
--56.54K
--62.57K
--90.84K
--121.81K
----
----
----
----
----
-Long term capital lease obligation
--56.54K
--56.54K
--62.57K
--90.84K
--121.81K
--0
--0
----
----
----
Total non current liabilities
1.69%3.41M
1.69%3.41M
-13.78%3.41M
-13.06%3.44M
-12.28%3.47M
-15.36%3.35M
-15.36%3.35M
-13.31%3.96M
-13.93%3.96M
-13.96%3.96M
Total liabilities
-39.38%16.5M
-39.38%16.5M
0.70%27.42M
0.05%27.25M
-3.32%27.13M
-3.95%27.22M
-3.95%27.22M
5.27%27.22M
3.66%27.24M
4.17%28.06M
Shareholders'equity
Share capital
15.04%9.16K
15.04%9.16K
10.08%8.77K
9.35%8.52K
6.47%8.13K
7.72%7.96K
7.72%7.96K
8.22%7.96K
5.84%7.79K
3.75%7.63K
-common stock
15.04%9.16K
15.04%9.16K
10.08%8.77K
9.35%8.52K
6.47%8.13K
7.72%7.96K
7.72%7.96K
8.22%7.96K
5.84%7.79K
3.75%7.63K
Retained earnings
-2.58%-62.06M
-2.58%-62.06M
-1.96%-61.45M
-1.84%-61.19M
-1.60%-60.78M
-1.29%-60.5M
-1.29%-60.5M
-6.89%-60.27M
-7.42%-60.08M
-7.39%-59.82M
Paid-in capital
0.66%165.96M
0.66%165.96M
0.59%165.58M
0.56%165.33M
0.63%165.19M
0.74%164.87M
0.74%164.87M
0.65%164.61M
0.52%164.41M
0.37%164.15M
Gains losses not affecting retained earnings
-83.18%818.45K
-83.18%818.45K
93.68%6.1M
72.50%4.1M
-44.38%4.75M
-28.97%4.87M
-28.97%4.87M
-27.76%3.15M
-79.44%2.38M
-55.27%8.53M
Total stockholders'equity
-4.13%104.73M
-4.13%104.73M
2.55%110.24M
1.44%108.25M
-3.28%109.17M
-1.40%109.25M
-1.40%109.25M
-3.61%107.5M
-10.46%106.71M
-11.08%112.87M
Total equity
-4.13%104.73M
-4.13%104.73M
2.55%110.24M
1.44%108.25M
-3.28%109.17M
-1.40%109.25M
-1.40%109.25M
-3.61%107.5M
-10.46%106.71M
-11.08%112.87M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
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Unqualified Opinion
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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
Assets
Current assets
Cash, cash equivalents and short term investments -21.71%25.34K-21.71%25.34K1.72%69.12M14,829.59%68.1M173,927.48%68.58M-99.98%32.37K-99.98%32.37K-50.12%67.95M-99.68%456.16K-99.97%39.41K
-Cash and cash equivalents -21.71%25.34K-21.71%25.34K1.72%69.12M14,829.59%68.1M173,927.48%68.58M-99.98%32.37K-99.98%32.37K-50.12%67.95M-99.68%456.16K-99.97%39.41K
Receivables -19.01%55.88M-19.01%55.88M3.59%226.47K-99.68%216.52K-99.84%223.97K30,799.65%68.99M30,799.65%68.99M19.93%218.62K36,159.34%67.29M71,580.78%140.8M
-Loans receivable -19.07%55.66M-19.07%55.66M--0--0--0--68.77M--68.77M------67.12M--140.58M
-Taxes receivable -2.97%165.63K-2.97%165.63K2.46%172.53K1.39%169.64K-3.15%170.4K-1.67%170.69K-1.67%170.69K-1.11%168.39K-7.12%167.31K-7.62%175.94K
-Other receivables 2.53%49.75K2.53%49.75K7.38%53.94K--46.88K15.28%53.57K-2.36%48.52K-2.36%48.52K318.68%50.23K----676.94%46.47K
Prepaid assets -3.30%65.21M-3.30%65.21M2.45%68.17M1.30%67.02M145,259.19%67.33M211,160.72%67.44M211,160.72%67.44M7,291.09%66.54M7,206.93%66.17M-94.90%46.32K
Other current assets ------------------------------15.27K3,033,500.00%30.33K--47.46K
Total current assets -11.25%121.12M-11.25%121.12M2.07%137.51M1.05%135.34M-3.41%136.13M-1.92%136.47M-1.92%136.47M-1.88%134.72M-7.84%133.94M-8.33%140.93M
Non current assets
Net PPE 2,878.04%118.94K2,878.04%118.94K3,082.12%143.64K3,386.33%156.33K3,550.19%172.14K-14.16%3.99K-14.16%3.99K-94.41%4.51K-95.56%4.48K-96.16%4.72K
-Gross PPE 2,878.04%118.94K2,878.04%118.94K--143.64K--156.33K--172.14K--3.99K--3.99K------------
Total non current assets 2,878.04%118.94K2,878.04%118.94K3,082.12%143.64K3,386.33%156.33K3,550.19%172.14K-14.16%3.99K-14.16%3.99K-95.31%4.51K-96.18%4.48K-96.63%4.72K
Total assets -11.16%121.23M-11.16%121.23M2.17%137.65M1.16%135.5M-3.29%136.3M-1.92%136.47M-1.92%136.47M-1.94%134.73M-7.91%133.94M-8.41%140.94M
Liabilities
Current liabilities
Payables -0.03%5.05M-0.03%5.05M11.15%5.01M10.35%4.95M8.98%4.87M13.34%5.05M13.34%5.05M16.47%4.51M14.67%4.48M11.84%4.47M
-accounts payable -2.97%68K-2.97%68K2.46%70.84K1.39%69.65K-3.15%69.96K-1.67%70.08K-1.67%70.08K-1.12%69.13K-7.12%68.7K-12.54%72.24K
-Total tax payable -0.01%4.28M-0.01%4.28M16.13%4.28M14.84%4.28M16.80%4.29M16.18%4.28M16.18%4.28M20.64%3.68M22.24%3.72M19.25%3.67M
-Other payable 0.19%701.77K0.19%701.77K-12.31%662.4K-13.03%599.2K-29.52%510.02K-0.06%700.47K-0.06%700.47K4.53%755.4K-9.74%688.94K-10.50%723.64K
Current accrued expenses 20.31%3.29M20.31%3.29M11.54%3.04M9.75%2.97M0.93%2.88M-12.31%2.73M-12.31%2.73M219.25%2.72M228.22%2.71M287.37%2.85M
Current debt and capital lease obligation -70.40%4.76M-70.40%4.76M-0.50%15.95M-1.22%15.89M-5.20%15.91M-4.29%16.09M-4.29%16.09M-3.24%16.03M-5.04%16.09M-4.67%16.78M
-Current debt -70.76%4.71M-70.76%4.71M-0.88%15.89M-1.41%15.83M-5.21%15.88M-3.94%16.09M-3.94%16.09M-2.89%16.03M-4.87%16.06M-4.31%16.75M
-Current capital lease obligation --58.53K--58.53K--61.39K102.81%61.52K-1.93%30.9K--0--0--0-51.79%30.33K-68.57%31.51K
Current liabilities -45.14%13.1M-45.14%13.1M3.17%24M2.29%23.81M-1.85%23.66M-2.09%23.87M-2.09%23.87M9.25%23.27M7.39%23.28M7.91%24.1M
Non current liabilities
Long term debt and capital lease obligation --56.54K--56.54K--62.57K--90.84K--121.81K--------------------
-Long term capital lease obligation --56.54K--56.54K--62.57K--90.84K--121.81K--0--0------------
Total non current liabilities 1.69%3.41M1.69%3.41M-13.78%3.41M-13.06%3.44M-12.28%3.47M-15.36%3.35M-15.36%3.35M-13.31%3.96M-13.93%3.96M-13.96%3.96M
Total liabilities -39.38%16.5M-39.38%16.5M0.70%27.42M0.05%27.25M-3.32%27.13M-3.95%27.22M-3.95%27.22M5.27%27.22M3.66%27.24M4.17%28.06M
Shareholders'equity
Share capital 15.04%9.16K15.04%9.16K10.08%8.77K9.35%8.52K6.47%8.13K7.72%7.96K7.72%7.96K8.22%7.96K5.84%7.79K3.75%7.63K
-common stock 15.04%9.16K15.04%9.16K10.08%8.77K9.35%8.52K6.47%8.13K7.72%7.96K7.72%7.96K8.22%7.96K5.84%7.79K3.75%7.63K
Retained earnings -2.58%-62.06M-2.58%-62.06M-1.96%-61.45M-1.84%-61.19M-1.60%-60.78M-1.29%-60.5M-1.29%-60.5M-6.89%-60.27M-7.42%-60.08M-7.39%-59.82M
Paid-in capital 0.66%165.96M0.66%165.96M0.59%165.58M0.56%165.33M0.63%165.19M0.74%164.87M0.74%164.87M0.65%164.61M0.52%164.41M0.37%164.15M
Gains losses not affecting retained earnings -83.18%818.45K-83.18%818.45K93.68%6.1M72.50%4.1M-44.38%4.75M-28.97%4.87M-28.97%4.87M-27.76%3.15M-79.44%2.38M-55.27%8.53M
Total stockholders'equity -4.13%104.73M-4.13%104.73M2.55%110.24M1.44%108.25M-3.28%109.17M-1.40%109.25M-1.40%109.25M-3.61%107.5M-10.46%106.71M-11.08%112.87M
Total equity -4.13%104.73M-4.13%104.73M2.55%110.24M1.44%108.25M-3.28%109.17M-1.40%109.25M-1.40%109.25M-3.61%107.5M-10.46%106.71M-11.08%112.87M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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