Market cap $51.58M
Enterprise value $56.37M
Revenue $0.00
EBITDA N/A
Income -$5.18
Revenue Q/Q N/A
Revenue Y/Y N/A
P/E 6,975.64
Forward P/E N/A
EV/Sales N/A
EV/EBITDA N/A
EV/EBIT N/A
PEG N/A
Price/Sales N/A
P/FCF N/A
Price/Book -5.04
Book/Share -1.45
Cash/Share 0.00
FCF yield -2.07%
Employees N/A
RPE N/A
Volume 418.384k / 308.294k
Relative vol. 1.36 ×
EPS N/A
EPS Q/Q N/A
Est. EPS Q/Q N/A
Ret. on assets -1.39%
Ret. on equity 66.71%
ROIC -2.39%
ROCE -6.97%
Volatility 12.89%
Beta 0.12
RSI 32.44
Range $6.72 – $9.91
52 weeks $7.30 – $7.30
SMA 50 $9 -18.36%
SMA 200 $7 +0.00%
Shares outst. 7.065M
Shares float 3.439M 48.68%
Short % of float 6.53%
Short ratio 14.97

Recent East Stone Acquisition news

Monday, 24 May 2021
 
yahoo
East Stone Acquisition Corporation Confirms Funding to Extend Period to Consummate Initial Acquisition - Yahoo Finance
8-K 15 Nov 2022 Entry into a Material Definitive Agreement; Completion of Acquisition or Disposition of Assets; Notice of D...
8-K 10 Nov 2022 Other Events; Financial Statements and Exhibits
8-K 9 Nov 2022 Other Events; Financial Statements and Exhibits
8-K 8 Nov 2022 Other Events; Financial Statements and Exhibits
8-K 7 Nov 2022 Other Events; Financial Statements and Exhibits
8-K 4 Oct 2022 Entry into a Material Definitive Agreement; Financial Statements and Exhibits
8-K 29 Sep 2022 Entry into a Material Definitive Agreement; Termination of a Material Definitive Agreement; Unregistered Sa...
8-K 29 Aug 2022 Entry into a Material Definitive Agreement; Creation of a Direct Financial Obligation or an Obligation unde...
8-K 22 Aug 2022 Submission of Matters to a Vote of Security Holders
10-Q 18 Aug 2022 Quarterly report
8-K 12 Aug 2022 Entry into a Material Definitive Agreement; Unregistered Sales of Equity Securities; Financial Statements a...

18 people own East Stone Acquisition on Robinhood

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East Stone Acquisition executives

Insider Age Since Compensation
Xiaoma Lu (54) CEO and Director 54
Xiao Ma Lu (53) CEO and Director 53
Chunyi Hao (60) Chairman and CFO 60

East Stone Acquisition Corporation does not have significant operations. It intends to effect a merger, capital stock exchange, asset acquisition, stock purchase, reorganization, or other similar business combination with one or more operating businesses or assets. The company focuses on businesses primarily operating in the financial services industry or businesses providing technological services to the financial industry in North America and the Asia-Pacific. East Stone Acquisition Corporation was incorporated in 2018 and is based in Burlington, Massachusetts.

  • Finance > Shell Companies
  • East Stone Acquisition Corporation, 25 Mall Road, Burlington 01803, United States
  • 781 202 9128
  • Investor relations

Profit margin

Debt to assets

Cash flow

(in millions USD) 29 Jun 2022 30 Mar 2022 30 Dec 2021 29 Sep 2021
Current assets
Cash $0.003719 $0.013529 $0.038585 $0.056267
Short term investments
Net receivables
Inventory
Total current assets $0.103427 $0.039779 $0.064335 $0.136517
Long term investments
Property, plant & equipment
Goodwill & intangible assets
Total noncurrent assets
Total investments
Total assets $33.645076 $33.543052 $33.56916 $141.740938
Current liabilities
Accounts payable
Deferred revenue
Short long term debt
Total current liabilities $5.813255 $5.195622 $4.817691 $4.154704
Long term debt
Total noncurrent liabilities
Total debt
Total liabilities $43.335404 $41.653395 $43.797168 $144.743204
Stockholders' equity
Retained earnings -$13.528629 -$11.948644 -$14.066309 -$6.840567
Other stockholder equity
Total stockholder equity -$9.690328 -$8.110343 -$10.228008 -$3.002266
(in millions USD) 2021 2020 2020
Current assets
Cash $0.038585 $0.023486 $0.389361
Short term investments
Net receivables
Inventory
Total current assets $0.064335 $0.112373 $0.591846
Long term investments
Property, plant & equipment
Goodwill & intangible assets
Total noncurrent assets
Total investments
Total assets $33.56916 $138.946346 $139.418819
Current liabilities
Accounts payable
Deferred revenue
Short long term debt
Total current liabilities $4.817691 $0.060687 $0.038356
Long term debt
Total noncurrent liabilities
Total debt
Total liabilities $43.797168 $140.695287 $140.633356
Stockholders' equity
Retained earnings -$14.066309 -$5.587242 -$5.052838
Other stockholder equity
Total stockholder equity -$10.228008 -$1.748941 -$1.214537

Income statement

(in millions USD) 29 Jun 2022 30 Mar 2022 30 Dec 2021 29 Sep 2021
Revenue
Total revenue
Cost of revenue
Gross profit
Operating activities
Research & development
Selling, general & administrative $0.553983 $0.402487 $0.749365 $0.233485
Total operating expenses $0.553983 $0.402487 $0.749365 $0.233485
Operating income -$0.553983 -$0.402487 -$0.749365 -$0.233485
Income from continuing operations
EBIT -$0.553983 -$0.402487 -$0.749365 -$0.233485
Income tax expense
Interest expense
Net income
Net income -$1.534609 $0.216865 -$3.637742 -$0.219434
Income (for common shares) -$1.534609 $0.216865 -$3.637742 -$0.219434
(in millions USD) 2021 2020 2020
Revenue
Total revenue
Cost of revenue
Gross profit
Operating activities
Research & development
Selling, general & administrative $2.059243 $0.768214 $0.275927
Total operating expenses $2.059243 $0.768214 $0.275927
Operating income -$2.059243 -$0.768214 -$0.275927
Income from continuing operations
EBIT -$2.059243 -$0.768214 -$0.275927
Income tax expense
Interest expense
Net income
Net income -$4.891067 -$0.173113 $0.551046
Income (for common shares) -$4.891067 -$0.173113 $0.551046
(in millions USD) 29 Jun 2022 30 Mar 2022 30 Dec 2021 29 Sep 2021
Net income -$1.534609 $0.216865 -$3.637742 -$0.219434
Operating activities
Depreciation
Business acquisitions & disposals
Stock-based compensation
Total cash flows from operations -$0.622242 -$0.102083 -$0.281876 -$0.06057
Investing activities
Capital expenditures
Investments $0.003704 $108.102217 $108.102217
Total cash flows from investing $0.003704 $108.102217 -$1.38
Financing activities
Dividends paid
Sale and purchase of stock
Net borrowings $0.612432 $0.077027 $0.25 $1.38
Total cash flows from financing $0.612432 $0.073323 -$107.838023 $1.38
Effect of exchange rate
Change in cash and equivalents -$0.00981 -$0.025056 -$0.017682 -$0.06057
(in millions USD) 2021 2020 2020
Net income -$4.891067 -$0.173113 $0.551046
Operating activities
Depreciation
Business acquisitions & disposals
Stock-based compensation
Total cash flows from operations -$0.549095 -$0.821464 -$0.465106
Investing activities
Capital expenditures
Investments $108.102217 $108.102217 $108.102217
Total cash flows from investing $105.342217 -$138 -$138
Financing activities
Dividends paid
Sale and purchase of stock
Net borrowings $3.31 -$0.141571 -$0.1
Total cash flows from financing -$104.778023 $138.819683 $138.806745
Effect of exchange rate
Change in cash and equivalents $0.015099 -$0.001781 $0.341639

Recent institutional transactions

Quarter Shareholder Change
Shares owned
Shares
Value (in thousands USD)
2021 Q2 K2 Principal Fund, L.P.
Sold out
54,032 $545

Institutional shareholders

Shareholder Stake
Shares owned
Shares
Value (in thousands USD)
K2 Principal Fund, L.P. 0.76% 54,032