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3 E Network Technology Group Ltd


Can this company survive a downturn?

How efficiently does it turn assets into profit?

Is the business becoming more valuable over time?
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Balance Sheet

Showing financial position from 2023-06-30 to 2025-06-30.
* Currently collecting and mapping data

 2025-06-302024-12-312024-06-302023-12-312023-06-30
Assets
   Total🔒 Login5,3663,86100
   Current
      Total🔒 Login3,1852,224045
      Cash🔒 Login721100
      Cash Equivalents🔒 Login052019
      Short Term Investments🔒 Login0000
      Accounts Receivable🔒 Login2,79254000
      Inventory
         Total🔒 Login0000
         Inventory Finished Goods🔒 Login0000
         Inventory Raw Materials🔒 Login0000
         Inventory Parts🔒 Login0000
         Inventory WIP🔒 Login0000
      Prepaid Expenses🔒 Login42525025
   Noncurrent
      Property Plant And Equipment🔒 Login91100
      Intangible Assets🔒 Login0000
      Goodwill🔒 Login0000
      Right Of Use Assets🔒 Login0000
      Long Term Investments🔒 Login0000
      Deferred Tax Assets🔒 Login4010500
      Other Assets🔒 Login0000
      Total🔒 Login4911600
Liabilities
   Total🔒 Login1,5731,12400
   Current
      Total🔒 Login1,4871,12402
      Accounts Payable🔒 Login800000
      Accrued Liabilities🔒 Login238002
      Short Term Debt🔒 Login0000
      Deferred Revenue🔒 Login2100
      Lease Liabilities🔒 Login0000
      Other Current Liabilities🔒 Login0000
   Noncurrent
      Long Term Debt🔒 Login0000
      Lease Liabilities🔒 Login0000
      Operating Lease Liabilities🔒 Login0000
      Deferred Revenue🔒 Login0000
      Deferred Tax Liabilities🔒 Login0000
      Total🔒 Login8600132
Equity
   Total🔒 Login3,7942,7371,9241,196
   Common Stock🔒 Login0000
   Preferred Stock🔒 Login0000
   Additional Paid In Capital🔒 Login0000
   Retained Earnings🔒 Login3,8782,83900
   Accumulated Other Comprehensive Income🔒 Login-180-16800
   Treasury Stock🔒 Login0000
   Minority Interest🔒 Login0000
   Temporary Equity🔒 Login0000

Income Statement

Performance overview from 2023-06-30 to 2025-06-30.

 2025-06-302024-12-312024-06-302023-12-312023-06-30
Revenue
   Total🔒 Login3,1288592,97237
   Segments
      Segment1🔒 Login0000
      Segment2🔒 Login0000
      Segment3🔒 Login0000
Cost Of Revenue
   Total🔒 Login1,535311,9057
Gross Profit🔒 Login1,5948281,06730
Operating Expenses
   Total🔒 Login3281127712
   Research And Development🔒 Login15001190
   Selling General And Administrative🔒 Login2001113012
   Stock Based Compensation🔒 Login0000
   Allocated Stock Based Compensation🔒 Login0000
   Impairment Charges🔒 Login0000
   Restructuring Charges🔒 Login0000
   Other Operating Expenses🔒 Login0000
Operating Income🔒 Login1,26681879118
Non Operating
   Interest Income🔒 Login0000
   Interest Expense🔒 Login0000
   Gain On Asset Sales🔒 Login0000
   Other Non Operating Income🔒 Login0000
Income Before Tax🔒 Login1,26781880116
Income Tax🔒 Login1981151172
Net Income🔒 Login1,06970368414

Cash Flow Statement

Operational cash dynamics from 2023-06-30 to 2025-06-30.

 2025-06-302024-12-312024-06-302023-12-312023-06-30
Operating Activities
   Net Income🔒 Login1,0691,548684996
   Adjustments
      Depreciation And Amortization🔒 Login3030
      Stock Based Compensation🔒 Login0000
      Impairments🔒 Login0000
      Deferred Taxes🔒 Login660910
      Gain On Asset Sales🔒 Login0000
      Change In Working Capital🔒 Login0000
   Cash From Operations🔒 Login389929868901
Investing Activities
   Cash From Investing🔒 Login000-11
   Capital Expenditures🔒 Login0000
   Acquisitions🔒 Login0000
   Purchase Of Investments🔒 Login0000
   Sale Of Investments🔒 Login0000
Financing Activities
   Cash From Financing🔒 Login-356-889-796-871
   Debt Issued🔒 Login0000
   Debt Repaid🔒 Login0000
   Convertible Debt Repaid🔒 Login0000
   Debt Issuance Costs🔒 Login0000
   Dividends Paid🔒 Login0000
   Share Repurchases🔒 Login0000
   Share Issuance🔒 Login0000
   Lease Principal Payments🔒 Login0000
   Minority Interest Distributions🔒 Login0000
Other
   Taxes Paid🔒 Login0000
   Interest Paid🔒 Login0000
   Effect Of Exchange Rate On Cash🔒 Login0000
Summary
   Net Change In Cash🔒 Login203295-27
   Beginning Cash🔒 Login7263019
   Ending Cash-----
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