US Stock MarketDetailed Quotes

MAYS J. W. Mays

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  • 37.550
  • -1.450-3.72%
Close May 15 16:00 ET
  • 37.550
  • 0.0000.00%
Post 16:05 ET
75.69MMarket Cap-288.85P/E (TTM)

J. W. Mays Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jan 31, 2025
(Q1)Oct 31, 2024
(FY)Jul 31, 2024
(Q4)Jul 31, 2024
(Q3)Apr 30, 2024
(Q2)Jan 31, 2024
(Q1)Oct 31, 2023
(FY)Jul 31, 2023
(Q4)Jul 31, 2023
(Q3)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
55.87%-383.43K
2.57%1.8M
-35.43%1.43M
-36.08%-1.42M
31.92%1.96M
-13.07%-868.95K
-30.91%1.76M
31.52%2.22M
-19.25%-1.04M
-15.67%1.49M
Net income from continuing operations
-60.80%-157.68K
113.84%26.66K
-390.05%-406.57K
79.00%-31.09K
-116.75%-84.88K
-319.19%-98.06K
-423.51%-192.54K
88.35%-82.96K
-115.35%-148.06K
31.34%-39.16K
Operating gains losses
----
----
13.52%-112.43K
--24.35K
--0
----
----
1.35%-130.01K
----
----
Depreciation and amortization
3.73%445.27K
3.69%444.07K
2.18%1.73M
3.18%438.55K
1.66%429.22K
1.52%429.26K
2.33%428.26K
-3.09%1.69M
1.95%425.04K
0.08%422.21K
Deferred tax
-1,250.00%-46K
110.91%6K
-120.97%-137K
134.25%25K
-484.21%-111K
-73.33%4K
-466.67%-55K
78.62%-62K
-40.38%-73K
-11.76%-19K
Other non cash items
257.18%311.66K
24.84%236.79K
-63.34%552.94K
-24.79%255.36K
-0.77%306.19K
-146.14%-198.28K
-55.95%189.68K
9.33%1.51M
678.58%339.51K
-26.84%308.56K
Change In working capital
-16.31%-946.28K
-13.39%1.09M
83.22%-164.65K
-24.64%-2.03M
67.81%1.42M
51.96%-813.59K
-15.82%1.26M
6.16%-980.93K
-19.10%-1.62M
-10.09%844.73K
-Change in receivables
-267.78%-514.1K
114.65%159.66K
-174.53%-515.17K
26.18%-303.52K
-1,615.55%-146.25K
-4.47%-139.78K
-79.67%74.38K
73.47%-187.66K
11.81%-411.19K
-104.49%-8.53K
-Change in prepaid assets
-5.53%-1.04M
7.15%1.35M
-90.43%-275.04K
2.66%-1.45M
-17.70%897.29K
-4.20%-983.61K
5.19%1.26M
40.77%-144.43K
-5.85%-1.49M
13.24%1.09M
-Change in payables and accrued expense
95.56%605.84K
-419.87%-425.83K
196.41%625.57K
-196.36%-268.81K
381.16%666.49K
150.30%309.8K
-9.46%-81.91K
-588.91%-648.83K
-45.52%278.95K
-11.19%-237.05K
Cash from discontinued investing activities
Operating cash flow
55.87%-383.43K
2.57%1.8M
-35.43%1.43M
-36.08%-1.42M
31.92%1.96M
-13.07%-868.95K
-30.91%1.76M
31.52%2.22M
-19.25%-1.04M
-15.67%1.49M
Investing cash flow
Cash flow from continuing investing activities
49.22%-202.75K
-47.13%-460.1K
92.85%-58.79K
699.52%1.82M
-620.47%-1.17M
-66.79%-399.3K
51.75%-312.73K
3.95%-821.88K
-15.90%228.09K
69.22%-162.45K
Net PPE purchase and sale
64.82%-202.75K
-47.13%-460.1K
-137.42%-2.48M
-611.66%-421.32K
-608.09%-1.17M
-232.69%-576.26K
51.75%-312.73K
39.65%-1.05M
82.08%-59.2K
68.80%-165.78K
Net investment purchase and sale
----
----
980.67%2.43M
681.41%2.24M
3.84%3.46K
----
----
-74.44%224.43K
-52.25%287.29K
-7.83%3.33K
Cash from discontinued investing activities
Investing cash flow
49.22%-202.75K
-47.13%-460.1K
92.85%-58.79K
699.52%1.82M
-620.47%-1.17M
-66.79%-399.3K
51.75%-312.73K
3.95%-821.88K
-15.90%228.09K
69.22%-162.45K
Financing cash flow
Cash flow from continuing financing activities
26.41%-239.27K
-4.51%-336.07K
-4.46%-1.31M
-4.46%-332.48K
-4.37%-328.87K
-4.51%-325.15K
-4.51%-321.57K
-4.47%-1.25M
-4.46%-318.28K
-4.41%-315.09K
Net issuance payments of debt
26.41%-239.27K
-4.51%-336.07K
-4.46%-1.31M
-4.46%-332.48K
-4.37%-328.87K
-4.51%-325.15K
-4.51%-321.57K
-4.47%-1.25M
-4.46%-318.28K
-4.41%-315.09K
Cash from discontinued financing activities
Financing cash flow
26.41%-239.27K
-4.51%-336.07K
-4.46%-1.31M
-4.46%-332.48K
-4.37%-328.87K
-4.51%-325.15K
-4.51%-321.57K
-4.47%-1.25M
-4.46%-318.28K
-4.41%-315.09K
Net cash flow
Beginning cash position
-1.46%3.29M
3.06%2.29M
7.14%2.22M
-33.96%2.21M
-25.28%1.75M
-8.66%3.34M
7.14%2.22M
-14.98%2.07M
12.52%3.35M
14.57%2.34M
Current changes in cash
48.20%-825.45K
-10.38%1.01M
-54.09%67.87K
106.51%73.72K
-54.06%464.44K
-20.80%-1.59M
-29.26%1.12M
140.52%147.84K
-24.79%-1.13M
8.04%1.01M
End cash Position
41.16%2.47M
-1.46%3.29M
3.06%2.29M
3.06%2.29M
-33.96%2.21M
-25.28%1.75M
-8.66%3.34M
7.14%2.22M
7.14%2.22M
12.52%3.35M
Free cash flow
59.44%-586.18K
-7.07%1.34M
-189.27%-1.05M
-67.03%-1.84M
-40.29%789.86K
-53.46%-1.45M
-23.78%1.44M
2,755.59%1.18M
8.56%-1.1M
7.20%1.32M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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--
--
Unqualified Opinion
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(Q2)Jan 31, 2025(Q1)Oct 31, 2024(FY)Jul 31, 2024(Q4)Jul 31, 2024(Q3)Apr 30, 2024(Q2)Jan 31, 2024(Q1)Oct 31, 2023(FY)Jul 31, 2023(Q4)Jul 31, 2023(Q3)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 55.87%-383.43K2.57%1.8M-35.43%1.43M-36.08%-1.42M31.92%1.96M-13.07%-868.95K-30.91%1.76M31.52%2.22M-19.25%-1.04M-15.67%1.49M
Net income from continuing operations -60.80%-157.68K113.84%26.66K-390.05%-406.57K79.00%-31.09K-116.75%-84.88K-319.19%-98.06K-423.51%-192.54K88.35%-82.96K-115.35%-148.06K31.34%-39.16K
Operating gains losses --------13.52%-112.43K--24.35K--0--------1.35%-130.01K--------
Depreciation and amortization 3.73%445.27K3.69%444.07K2.18%1.73M3.18%438.55K1.66%429.22K1.52%429.26K2.33%428.26K-3.09%1.69M1.95%425.04K0.08%422.21K
Deferred tax -1,250.00%-46K110.91%6K-120.97%-137K134.25%25K-484.21%-111K-73.33%4K-466.67%-55K78.62%-62K-40.38%-73K-11.76%-19K
Other non cash items 257.18%311.66K24.84%236.79K-63.34%552.94K-24.79%255.36K-0.77%306.19K-146.14%-198.28K-55.95%189.68K9.33%1.51M678.58%339.51K-26.84%308.56K
Change In working capital -16.31%-946.28K-13.39%1.09M83.22%-164.65K-24.64%-2.03M67.81%1.42M51.96%-813.59K-15.82%1.26M6.16%-980.93K-19.10%-1.62M-10.09%844.73K
-Change in receivables -267.78%-514.1K114.65%159.66K-174.53%-515.17K26.18%-303.52K-1,615.55%-146.25K-4.47%-139.78K-79.67%74.38K73.47%-187.66K11.81%-411.19K-104.49%-8.53K
-Change in prepaid assets -5.53%-1.04M7.15%1.35M-90.43%-275.04K2.66%-1.45M-17.70%897.29K-4.20%-983.61K5.19%1.26M40.77%-144.43K-5.85%-1.49M13.24%1.09M
-Change in payables and accrued expense 95.56%605.84K-419.87%-425.83K196.41%625.57K-196.36%-268.81K381.16%666.49K150.30%309.8K-9.46%-81.91K-588.91%-648.83K-45.52%278.95K-11.19%-237.05K
Cash from discontinued investing activities
Operating cash flow 55.87%-383.43K2.57%1.8M-35.43%1.43M-36.08%-1.42M31.92%1.96M-13.07%-868.95K-30.91%1.76M31.52%2.22M-19.25%-1.04M-15.67%1.49M
Investing cash flow
Cash flow from continuing investing activities 49.22%-202.75K-47.13%-460.1K92.85%-58.79K699.52%1.82M-620.47%-1.17M-66.79%-399.3K51.75%-312.73K3.95%-821.88K-15.90%228.09K69.22%-162.45K
Net PPE purchase and sale 64.82%-202.75K-47.13%-460.1K-137.42%-2.48M-611.66%-421.32K-608.09%-1.17M-232.69%-576.26K51.75%-312.73K39.65%-1.05M82.08%-59.2K68.80%-165.78K
Net investment purchase and sale --------980.67%2.43M681.41%2.24M3.84%3.46K---------74.44%224.43K-52.25%287.29K-7.83%3.33K
Cash from discontinued investing activities
Investing cash flow 49.22%-202.75K-47.13%-460.1K92.85%-58.79K699.52%1.82M-620.47%-1.17M-66.79%-399.3K51.75%-312.73K3.95%-821.88K-15.90%228.09K69.22%-162.45K
Financing cash flow
Cash flow from continuing financing activities 26.41%-239.27K-4.51%-336.07K-4.46%-1.31M-4.46%-332.48K-4.37%-328.87K-4.51%-325.15K-4.51%-321.57K-4.47%-1.25M-4.46%-318.28K-4.41%-315.09K
Net issuance payments of debt 26.41%-239.27K-4.51%-336.07K-4.46%-1.31M-4.46%-332.48K-4.37%-328.87K-4.51%-325.15K-4.51%-321.57K-4.47%-1.25M-4.46%-318.28K-4.41%-315.09K
Cash from discontinued financing activities
Financing cash flow 26.41%-239.27K-4.51%-336.07K-4.46%-1.31M-4.46%-332.48K-4.37%-328.87K-4.51%-325.15K-4.51%-321.57K-4.47%-1.25M-4.46%-318.28K-4.41%-315.09K
Net cash flow
Beginning cash position -1.46%3.29M3.06%2.29M7.14%2.22M-33.96%2.21M-25.28%1.75M-8.66%3.34M7.14%2.22M-14.98%2.07M12.52%3.35M14.57%2.34M
Current changes in cash 48.20%-825.45K-10.38%1.01M-54.09%67.87K106.51%73.72K-54.06%464.44K-20.80%-1.59M-29.26%1.12M140.52%147.84K-24.79%-1.13M8.04%1.01M
End cash Position 41.16%2.47M-1.46%3.29M3.06%2.29M3.06%2.29M-33.96%2.21M-25.28%1.75M-8.66%3.34M7.14%2.22M7.14%2.22M12.52%3.35M
Free cash flow 59.44%-586.18K-7.07%1.34M-189.27%-1.05M-67.03%-1.84M-40.29%789.86K-53.46%-1.45M-23.78%1.44M2,755.59%1.18M8.56%-1.1M7.20%1.32M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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