• LAST PRICE
    2.0200
  • TODAY'S CHANGE (%)
    Trending Down-0.2800 (-12.1739%)
  • Bid / Lots
    2.0200/ 3
  • Ask / Lots
    2.1400/ 1
  • Open / Previous Close
    2.2000 / 2.3000
  • Day Range
    Low 2.0200
    High 2.3600
  • 52 Week Range
    Low 1.2600
    High 5.4900
  • Volume
    15,915
    above average

Search Criteria

Filter search criteria using below inputs

Click on magnifying glass icon to search

Search Criteria - - - Stocks (0)
CompanyCountrySymbol

TD Direct Investing offers more research reports than any other discount brokerage in Canada. Provided from the industry's most trusted sources, our service includes timely, relevant information for the current trading day and comprehensive industry, sector, and insider trading reports for further analysis.

Open a New Account, or Login if you're a client.

  • Oct 30, 2024

      Show headlines and story abstract
    • 8:30AM ET on Wednesday Oct 30, 2024 by PR Newswire
      Companies Mentioned: RCON

      Recon Technology, Ltd (NASDAQ: RCON) ("Recon" or the "Company"), a China-based independent solutions integrator in the oilfield service and environmental protection, electric power and coal chemical industries, today announced its financial results for fiscal year 2024.

    • 8:30AM ET on Wednesday Oct 30, 2024 by Dow Jones
      Companies Mentioned: RCON
      Proceeds from sale of prefunded warrants, net of issuance costs 93,321 3,750,282 -- -- Redemption of warrants -- -- (32,617,499) (4,488,317) ------------- --- ------------- --- ------------- ------------ Net cash (used in) provided by financing activities (9,999,380) 56,383,273 45,024,057 6,195,518 ------------- --- ------------- --- ------------- ------------ Effect of exchange rate fluctuation on cash and restricted cash 10,275,148 27,688,659 1,722,165 236,978 ------------- --- ------------- --- ------------- ------------ Net increase (decrease) in cash and restricted cash (26,300,153) (212,841,072) 5,983,265 823,328 Cash and restricted cash at beginning of year 343,998,570 317,698,417 104,857,345 14,428,851 ------------- --- ------------- --- ------------- ------------ Cash and restricted cash at end of year Yen 317,698,417 Yen 104,857,345 Yen 110,840,610 $ 15,252,179 === ============= === ============= === ============= ============ Supplemental cash flow information Cash paid during the year for interest Yen 1,427,174 Yen 1,200,699 Yen 659,472 $ 90,945 === ============= === ============= === ============= ============ Cash paid during the year for taxes Yen 10,214 Yen 18,339 Yen 2,137,166 $ 294,729 === ============= === ============= === ============= ============ Reconciliation of cash and restricted cash, beginning of year Cash Yen 343,998,570 Yen 316,974,857 Yen 104,125,800 $ 14,328,187 Restricted cash -- 723,560 731,545 100,664 ------------- --- ------------- --- ------------- ------------ Cash and restricted cash, beginning of year Yen 343,998,570 Yen 317,698,417 Yen 104,857,345 $ 14,428,851 === ============= === ============= === ============= ============ Reconciliation of cash and restricted cash, end of year Cash Yen 316,974,857 Yen 104,125,800 Yen 109,991,674 $ 15,135,362 Restricted cash 723,560 731,545 848,936 116,817 ------------- --- ------------- --- ------------- ------------ Cash and restricted cash, end of year Yen 317,698,417 Yen 104,857,345 Yen 110,840,610 $ 15,252,179 === ============= === ============= === ============= ============ Non-cash investing and financing activities Cancellation of shares issued to Starry Lab Yen (27,675,450) Yen -- Yen -- $ -- Right-of-use assets obtained in exchange for operating lease obligations Yen 937,672 Yen 75,182 Yen 8,303,099 $ 1,145,050 Reduction of right-of-use assets and operating lease obligations due to early termination of lease agreement Yen -- Yen 62,357 Yen 61,301 $ 8,454 Inventories transferred to and used as fixed assets Yen -- Yen (65,456) Yen -- $ -- Receivable for disposal of property and equipment Yen 3,000 Yen -- Yen -- $ -- Other payable due to non-controlling interest converted into capital contribution Yen 1,130,000 Yen -- Yen $
    • 8:30AM ET on Wednesday Oct 30, 2024 by Dow Jones
      Companies Mentioned: RCON
      Proceeds from sale of prefunded warrants, net of issuance costs 93,321 3,750,282 -- -- Redemption of warrants -- -- (32,617,499) (4,488,317) ------------- --- ------------- --- ------------- ------------ Net cash (used in) provided by financing activities (9,999,380) 56,383,273 45,024,057 6,195,518 ------------- --- ------------- --- ------------- ------------ Effect of exchange rate fluctuation on cash and restricted cash 10,275,148 27,688,659 1,722,165 236,978 ------------- --- ------------- --- ------------- ------------ Net increase (decrease) in cash and restricted cash (26,300,153) (212,841,072) 5,983,265 823,328 Cash and restricted cash at beginning of year 343,998,570 317,698,417 104,857,345 14,428,851 ------------- --- ------------- --- ------------- ------------ Cash and restricted cash at end of year Yen 317,698,417 Yen 104,857,345 Yen 110,840,610 $ 15,252,179 === ============= === ============= === ============= ============ Supplemental cash flow information Cash paid during the year for interest Yen 1,427,174 Yen 1,200,699 Yen 659,472 $ 90,945 === ============= === ============= === ============= ============ Cash paid during the year for taxes Yen 10,214 Yen 18,339 Yen 2,137,166 $ 294,729 === ============= === ============= === ============= ============ Reconciliation of cash and restricted cash, beginning of year Cash Yen 343,998,570 Yen 316,974,857 Yen 104,125,800 $ 14,328,187 Restricted cash -- 723,560 731,545 100,664 ------------- --- ------------- --- ------------- ------------ Cash and restricted cash, beginning of year Yen 343,998,570 Yen 317,698,417 Yen 104,857,345 $ 14,428,851 === ============= === ============= === ============= ============ Reconciliation of cash and restricted cash, end of year Cash Yen 316,974,857 Yen 104,125,800 Yen 109,991,674 $ 15,135,362 Restricted cash 723,560 731,545 848,936 116,817 ------------- --- ------------- --- ------------- ------------ Cash and restricted cash, end of year Yen 317,698,417 Yen 104,857,345 Yen 110,840,610 $ 15,252,179 === ============= === ============= === ============= ============ Non-cash investing and financing activities Cancellation of shares issued to Starry Lab Yen (27,675,450) Yen -- Yen -- $ -- Right-of-use assets obtained in exchange for operating lease obligations Yen 937,672 Yen 75,182 Yen 8,303,099 $ 1,145,050 Reduction of right-of-use assets and operating lease obligations due to early termination of lease agreement Yen -- Yen 62,357 Yen 61,301 $ 8,454 Inventories transferred to and used as fixed assets Yen -- Yen (65,456) Yen -- $ -- Receivable for disposal of property and equipment Yen 3,000 Yen -- Yen -- $ -- Other payable due to non-controlling interest converted into capital contribution Yen 1,130,000 Yen -- Yen $

Peers Headlines

No documents available