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QMMM QMMM Holdings

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  • 0.7400
  • +0.0146+2.01%
Close May 6 16:00 ET
12.73MMarket Cap-8.04P/E (TTM)

QMMM Holdings Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Sep 30, 2024
(Q4)Sep 30, 2024
(Q2)Mar 31, 2024
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q2)Mar 31, 2023
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
(FY)Sep 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
282.48%497.99K
282.48%497.99K
-65.97%218.89K
-64.27%130.2K
-64.27%130.2K
--643.16K
12.20%364.45K
--364.45K
--324.82K
-Cash and cash equivalents
282.48%497.99K
282.48%497.99K
-65.97%218.89K
-64.27%130.2K
-64.27%130.2K
--643.16K
12.20%364.45K
--364.45K
--324.82K
Receivables
-48.71%266.38K
-48.71%266.38K
85.06%611.75K
12.03%519.37K
12.03%519.37K
--330.57K
-20.39%463.6K
--463.6K
--582.32K
-Accounts receivable
-48.71%266.38K
-48.71%266.38K
85.06%611.75K
12.03%519.37K
12.03%519.37K
--330.57K
28.26%463.6K
--463.6K
--361.46K
-Other receivables
----
----
----
----
----
----
----
----
--220.87K
Prepaid assets
--3.4M
--3.4M
569.39%51.17K
--0
--0
--7.64K
--49.83K
--49.83K
----
Current deferred assets
--440.33K
--440.33K
----
--0
--0
--201.35K
65.90%171.26K
--171.26K
--103.23K
Other current assets
----
----
-95.37%2.42K
2,119.48%53.56K
2,119.48%53.56K
--52.24K
134.96%2.41K
--2.41K
--1.03K
Total current assets
554.72%4.6M
554.72%4.6M
-28.40%884.23K
-33.13%703.12K
-33.13%703.12K
--1.23M
3.97%1.05M
--1.05M
--1.01M
Non current assets
Net PPE
-52.43%176.55K
-52.43%176.55K
166.46%275.02K
87.64%371.13K
87.64%371.13K
--103.21K
-45.66%197.79K
--197.79K
--363.98K
-Gross PPE
-26.34%471.06K
-26.34%471.06K
54.75%555.27K
44.44%639.47K
44.44%639.47K
--358.82K
-27.52%442.73K
--442.73K
--610.8K
-Accumulated depreciation
-9.75%-294.51K
-9.75%-294.51K
-9.64%-280.25K
-9.55%-268.34K
-9.55%-268.34K
---255.61K
0.76%-244.94K
---244.94K
---246.82K
Goodwill and other intangible assets
-42.10%14.21K
-42.10%14.21K
-34.89%19.33K
64.77%24.53K
64.77%24.53K
--29.68K
-27.31%14.89K
--14.89K
--20.48K
-Other intangible assets
-42.10%14.21K
-42.10%14.21K
-34.89%19.33K
64.77%24.53K
64.77%24.53K
--29.68K
-27.31%14.89K
--14.89K
--20.48K
Non current deferred assets
--0
--0
--87.75K
--87.75K
--87.75K
----
--0
--0
----
Non current prepaid assets
--1.18M
--1.18M
----
--0
--0
----
----
----
--49.25K
Total non current assets
183.53%1.37M
183.53%1.37M
187.52%382.1K
127.30%483.41K
127.30%483.41K
--132.89K
-50.96%212.68K
--212.68K
--433.72K
Total assets
403.49%5.97M
403.49%5.97M
-7.42%1.27M
-6.15%1.19M
-6.15%1.19M
--1.37M
-12.52%1.26M
--1.26M
--1.45M
Liabilities
Current liabilities
Payables
-76.66%380.6K
-76.66%380.6K
128.61%1.93M
487.65%1.63M
487.65%1.63M
--843.77K
-41.77%277.43K
--277.43K
--476.42K
-accounts payable
--0
--0
107.18%7.07K
-78.37%6.94K
-78.37%6.94K
--3.41K
-82.16%32.09K
--32.09K
--179.81K
-Total tax payable
-18.52%152.74K
-18.52%152.74K
-15.23%163.26K
-4.75%187.45K
-4.75%187.45K
--192.6K
150.99%196.8K
--196.8K
--78.41K
-Due to related parties current
-98.82%14.65K
-98.82%14.65K
151.66%1.63M
13,832.13%1.24M
13,832.13%1.24M
--647.76K
-95.92%8.9K
--8.9K
--218.2K
-Other payable
8.95%213.21K
8.95%213.21K
--128.41K
393.60%195.7K
393.60%195.7K
----
--39.65K
--39.65K
----
Current accrued expenses
9.28%151.61K
9.28%151.61K
-29.96%123.69K
--138.74K
--138.74K
--176.61K
--0
--0
--145.03K
Current debt and capital lease obligation
-10.35%154.25K
-10.35%154.25K
53.84%178.41K
-51.92%172.07K
-51.92%172.07K
--115.97K
-62.90%357.85K
--357.85K
--964.52K
-Current debt
----
----
----
----
----
--56.64K
-73.30%211.86K
--211.86K
--793.49K
-Current capital lease obligation
-10.35%154.25K
-10.35%154.25K
200.69%178.41K
17.86%172.07K
17.86%172.07K
--59.33K
-14.64%145.99K
--145.99K
--171.04K
Current deferred liabilities
-78.94%1.67K
-78.94%1.67K
-92.63%34.54K
-96.87%7.94K
-96.87%7.94K
--468.58K
83.24%254.16K
--254.16K
--138.71K
Current liabilities
-64.69%688.13K
-64.69%688.13K
41.16%2.27M
119.13%1.95M
119.13%1.95M
--1.6M
-48.43%889.45K
--889.45K
--1.72M
Non current liabilities
Long term debt and capital lease obligation
--0
--0
--62.35K
--153.04K
--153.04K
----
--0
--0
--147.28K
-Long term capital lease obligation
--0
--0
--62.35K
--153.04K
--153.04K
----
--0
--0
--147.28K
Total non current liabilities
--0
--0
--62.35K
--153.04K
--153.04K
--0
--0
--0
--147.28K
Total liabilities
-67.26%688.13K
-67.26%688.13K
45.05%2.33M
136.34%2.1M
136.34%2.1M
--1.6M
-52.49%889.45K
--889.45K
--1.87M
Shareholders'equity
Share capital
14.73%1.72K
14.73%1.72K
0.00%1.5K
0.00%1.5K
0.00%1.5K
--1.5K
0.00%1.5K
--1.5K
--1.5K
-common stock
14.73%1.72K
14.73%1.72K
0.00%1.5K
0.00%1.5K
0.00%1.5K
--1.5K
0.00%1.5K
--1.5K
--1.5K
Retained earnings
-169.27%-2.51M
-169.27%-2.51M
-324.56%-1.08M
-361.00%-933.55K
-361.00%-933.55K
---254.29K
180.76%357.68K
--357.68K
---442.88K
Paid-in capital
57,713.84%7.8M
57,713.84%7.8M
0.00%13.5K
0.00%13.5K
0.00%13.5K
--13.5K
0.00%13.5K
--13.5K
--13.5K
Gains losses not affecting retained earnings
-332.33%-6.88K
-332.33%-6.88K
37.01%3.04K
40.96%2.96K
40.96%2.96K
--2.22K
101.73%2.1K
--2.1K
--1.04K
Total stockholders'equity
677.33%5.29M
677.33%5.29M
-347.79%-1.06M
-344.30%-915.59K
-344.30%-915.59K
---237.07K
187.80%374.78K
--374.78K
---426.84K
Total equity
677.33%5.29M
677.33%5.29M
-347.79%-1.06M
-344.30%-915.59K
-344.30%-915.59K
---237.07K
187.80%374.78K
--374.78K
---426.84K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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(FY)Sep 30, 2024(Q4)Sep 30, 2024(Q2)Mar 31, 2024(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q2)Mar 31, 2023(FY)Sep 30, 2022(Q4)Sep 30, 2022(FY)Sep 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 282.48%497.99K282.48%497.99K-65.97%218.89K-64.27%130.2K-64.27%130.2K--643.16K12.20%364.45K--364.45K--324.82K
-Cash and cash equivalents 282.48%497.99K282.48%497.99K-65.97%218.89K-64.27%130.2K-64.27%130.2K--643.16K12.20%364.45K--364.45K--324.82K
Receivables -48.71%266.38K-48.71%266.38K85.06%611.75K12.03%519.37K12.03%519.37K--330.57K-20.39%463.6K--463.6K--582.32K
-Accounts receivable -48.71%266.38K-48.71%266.38K85.06%611.75K12.03%519.37K12.03%519.37K--330.57K28.26%463.6K--463.6K--361.46K
-Other receivables ----------------------------------220.87K
Prepaid assets --3.4M--3.4M569.39%51.17K--0--0--7.64K--49.83K--49.83K----
Current deferred assets --440.33K--440.33K------0--0--201.35K65.90%171.26K--171.26K--103.23K
Other current assets ---------95.37%2.42K2,119.48%53.56K2,119.48%53.56K--52.24K134.96%2.41K--2.41K--1.03K
Total current assets 554.72%4.6M554.72%4.6M-28.40%884.23K-33.13%703.12K-33.13%703.12K--1.23M3.97%1.05M--1.05M--1.01M
Non current assets
Net PPE -52.43%176.55K-52.43%176.55K166.46%275.02K87.64%371.13K87.64%371.13K--103.21K-45.66%197.79K--197.79K--363.98K
-Gross PPE -26.34%471.06K-26.34%471.06K54.75%555.27K44.44%639.47K44.44%639.47K--358.82K-27.52%442.73K--442.73K--610.8K
-Accumulated depreciation -9.75%-294.51K-9.75%-294.51K-9.64%-280.25K-9.55%-268.34K-9.55%-268.34K---255.61K0.76%-244.94K---244.94K---246.82K
Goodwill and other intangible assets -42.10%14.21K-42.10%14.21K-34.89%19.33K64.77%24.53K64.77%24.53K--29.68K-27.31%14.89K--14.89K--20.48K
-Other intangible assets -42.10%14.21K-42.10%14.21K-34.89%19.33K64.77%24.53K64.77%24.53K--29.68K-27.31%14.89K--14.89K--20.48K
Non current deferred assets --0--0--87.75K--87.75K--87.75K------0--0----
Non current prepaid assets --1.18M--1.18M------0--0--------------49.25K
Total non current assets 183.53%1.37M183.53%1.37M187.52%382.1K127.30%483.41K127.30%483.41K--132.89K-50.96%212.68K--212.68K--433.72K
Total assets 403.49%5.97M403.49%5.97M-7.42%1.27M-6.15%1.19M-6.15%1.19M--1.37M-12.52%1.26M--1.26M--1.45M
Liabilities
Current liabilities
Payables -76.66%380.6K-76.66%380.6K128.61%1.93M487.65%1.63M487.65%1.63M--843.77K-41.77%277.43K--277.43K--476.42K
-accounts payable --0--0107.18%7.07K-78.37%6.94K-78.37%6.94K--3.41K-82.16%32.09K--32.09K--179.81K
-Total tax payable -18.52%152.74K-18.52%152.74K-15.23%163.26K-4.75%187.45K-4.75%187.45K--192.6K150.99%196.8K--196.8K--78.41K
-Due to related parties current -98.82%14.65K-98.82%14.65K151.66%1.63M13,832.13%1.24M13,832.13%1.24M--647.76K-95.92%8.9K--8.9K--218.2K
-Other payable 8.95%213.21K8.95%213.21K--128.41K393.60%195.7K393.60%195.7K------39.65K--39.65K----
Current accrued expenses 9.28%151.61K9.28%151.61K-29.96%123.69K--138.74K--138.74K--176.61K--0--0--145.03K
Current debt and capital lease obligation -10.35%154.25K-10.35%154.25K53.84%178.41K-51.92%172.07K-51.92%172.07K--115.97K-62.90%357.85K--357.85K--964.52K
-Current debt ----------------------56.64K-73.30%211.86K--211.86K--793.49K
-Current capital lease obligation -10.35%154.25K-10.35%154.25K200.69%178.41K17.86%172.07K17.86%172.07K--59.33K-14.64%145.99K--145.99K--171.04K
Current deferred liabilities -78.94%1.67K-78.94%1.67K-92.63%34.54K-96.87%7.94K-96.87%7.94K--468.58K83.24%254.16K--254.16K--138.71K
Current liabilities -64.69%688.13K-64.69%688.13K41.16%2.27M119.13%1.95M119.13%1.95M--1.6M-48.43%889.45K--889.45K--1.72M
Non current liabilities
Long term debt and capital lease obligation --0--0--62.35K--153.04K--153.04K------0--0--147.28K
-Long term capital lease obligation --0--0--62.35K--153.04K--153.04K------0--0--147.28K
Total non current liabilities --0--0--62.35K--153.04K--153.04K--0--0--0--147.28K
Total liabilities -67.26%688.13K-67.26%688.13K45.05%2.33M136.34%2.1M136.34%2.1M--1.6M-52.49%889.45K--889.45K--1.87M
Shareholders'equity
Share capital 14.73%1.72K14.73%1.72K0.00%1.5K0.00%1.5K0.00%1.5K--1.5K0.00%1.5K--1.5K--1.5K
-common stock 14.73%1.72K14.73%1.72K0.00%1.5K0.00%1.5K0.00%1.5K--1.5K0.00%1.5K--1.5K--1.5K
Retained earnings -169.27%-2.51M-169.27%-2.51M-324.56%-1.08M-361.00%-933.55K-361.00%-933.55K---254.29K180.76%357.68K--357.68K---442.88K
Paid-in capital 57,713.84%7.8M57,713.84%7.8M0.00%13.5K0.00%13.5K0.00%13.5K--13.5K0.00%13.5K--13.5K--13.5K
Gains losses not affecting retained earnings -332.33%-6.88K-332.33%-6.88K37.01%3.04K40.96%2.96K40.96%2.96K--2.22K101.73%2.1K--2.1K--1.04K
Total stockholders'equity 677.33%5.29M677.33%5.29M-347.79%-1.06M-344.30%-915.59K-344.30%-915.59K---237.07K187.80%374.78K--374.78K---426.84K
Total equity 677.33%5.29M677.33%5.29M-347.79%-1.06M-344.30%-915.59K-344.30%-915.59K---237.07K187.80%374.78K--374.78K---426.84K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes----------------

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