E-Smart (ESMR) Cash from Financing Activities (2023 - 2026)

E-Smart (ESMR) reported Cash from Financing Activities of $31710.0 for Q1 2026, up 864.42% on a YoY basis from $3288.0 in Q1 2025, and up 336.0% quarter-over-quarter from $7273.0 in Q4 2025.

E-Smart (ESMR) Cash from Financing Activities (2023 - 2026) Analysis & Trends

E-Smart has reported Cash from Financing Activities for 4 years, with the latest figure at $31710.0 in Q1 2026.

  • For the quarter ending Q1 2026, Cash from Financing Activities rose 864.42% year-over-year to $31710.0; the trailing twelve-month figure through Feb 2026 stood at $62966.0 (up 67.69% YoY), and the FY2025 full-year result was $49731.0, down 70.5% from the prior year.
  • Cash from Financing Activities for Q1 2026 stood at $31710.0, up from $7273.0 in the prior quarter.
  • The five-year high for Cash from Financing Activities was $80100.0 in Q1 2024, with the low at -$1256.0 in Q3 2025.
  • Historically, Cash from Financing Activities has averaged $28589.8 across 4 years, with a median of $22460.0 in 2024.
  • Annual changes were most pronounced in 2025 — Cash from Financing Activities sank 95.9% — and 2026, when it surged 864.42%.
  • E-Smart's Cash from Financing Activities stood at $76694.0 in 2023, then sank by 70.71% to $22460.0 in 2024, then sank by 67.62% to $7273.0 in 2025, then jumped by 336.0% to $31710.0 in 2026.
  • The last three Cash from Financing Activities figures came in at $31710.0 (Q1 2026), $7273.0 (Q4 2025), and -$1256.0 (Q3 2025), per Business Quant data.

Peer Comparison

Historic Data

Download Data
DateValue
Feb 28, 2026 31,710.00
Feb 28, 2026 31,710.00
Nov 30, 2025 7,273.00
Nov 30, 2025 7,273.00
Aug 31, 2025 -1,256.00
Aug 31, 2025 -1,256.00
May 31, 2025 25,239.00
May 31, 2025 25,239.00
Feb 28, 2025 3,288.00
Feb 28, 2025 3,288.00
Nov 30, 2024 22,460.00
Nov 30, 2024 22,460.00
May 31, 2024 11,800.00
May 31, 2024 11,800.00
Feb 29, 2024 80,100.00
Feb 29, 2024 80,100.00
Nov 30, 2023 76,694.00
Nov 30, 2023 76,694.00