US Stock MarketDetailed Quotes

FAMI Farmmi

Watchlist
  • 1.0900
  • +0.0300+2.83%
Close 03/01 16:00 ET
  • 1.1000
  • +0.0100+0.92%
Post 19:47 ET
6.86MMarket Cap3.63P/E (TTM)

Farmmi Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)2023/09/30
(Q4)2023/09/30
(Q2)2023/03/31
(FY)2022/09/30
(Q4)2022/09/30
(Q2)2022/03/31
(FY)2021/09/30
(Q4)2021/09/30
(Q2)2021/03/31
(FY)2020/09/30
Assets
Current assets
Cash, cash equivalents and short term investments
-83.24%12.79M
-83.24%12.79M
26.35%69.36M
23.00%76.32M
23.00%76.32M
220.76%54.89M
12,775.01%62.05M
--62.05M
235.54%17.11M
256.64%481.91K
-Cash and cash equivalents
-68.93%12.79M
-68.93%12.79M
354.12%69.36M
-30.52%41.17M
-30.52%41.17M
6.31%15.27M
12,195.32%59.25M
--59.25M
181.68%14.37M
256.64%481.91K
-Short-term investments
--0
--0
-100.00%648
1,158.26%35.15M
1,158.26%35.15M
1,342.13%39.62M
--2.79M
--2.79M
--2.75M
--0
Receivables
-9.47%24.79M
-9.47%24.79M
-12.59%27.38M
11.88%27.38M
11.88%27.38M
126.92%31.32M
133.23%24.47M
--24.47M
8.93%13.8M
-24.11%10.49M
-Accounts receivable
50.92%24.68M
50.92%24.68M
42.76%27.34M
-33.21%16.35M
-33.21%16.35M
38.76%19.15M
133.31%24.48M
--24.48M
52.77%13.8M
-24.11%10.49M
-Notes receivable
--0
--0
-99.64%14.28K
--3.53M
--3.53M
--3.94M
--0
--0
----
----
-Related party accounts receivable
84.98%110.96K
84.98%110.96K
-93.81%20.92K
122,314.29%59.98K
122,314.29%59.98K
--337.75K
--49
--49
----
----
-Other receivables
----
----
----
--7.44M
--7.44M
--7.89M
----
----
----
----
-Recievables adjustments allowances
----
----
----
----
----
----
---8.09K
---8.09K
----
----
Inventory
444.74%3.9M
444.74%3.9M
-91.68%442.18K
-47.78%716.28K
-47.78%716.28K
529.05%5.32M
1,007.04%1.37M
--1.37M
18.99%845K
-91.51%123.89K
Prepaid assets
139.23%116.34M
139.23%116.34M
-16.51%58.98M
-27.11%48.63M
-27.11%48.63M
440.39%70.64M
185.73%66.72M
--66.72M
11.42%13.07M
66.38%23.35M
Restricted cash
----
----
----
----
----
----
----
----
179.82%1.68M
8,551.69%1.62M
Other current assets
68.10%347.23K
68.10%347.23K
4.77%410.36K
-57.90%206.57K
-57.90%206.57K
202.28%391.68K
297.72%490.7K
--490.7K
-32.29%129.58K
-46.36%123.38K
Total current assets
3.21%158.17M
3.21%158.17M
-3.69%156.56M
-1.32%153.25M
-1.32%153.25M
248.53%162.56M
319.49%155.31M
--155.31M
50.43%46.64M
24.63%37.02M
Non current assets
Net PPE
-6.60%540.99K
-6.60%540.99K
-94.91%613.46K
-32.35%579.22K
-32.35%579.22K
1,102.92%12.06M
169.85%856.15K
--856.15K
69.94%1M
127.48%317.27K
-Gross PPE
-3.20%646.93K
-3.20%646.93K
-94.08%718.64K
-27.57%668.3K
-27.57%668.3K
900.64%12.14M
157.06%922.61K
--922.61K
46.69%1.21M
-0.81%358.91K
-Accumulated depreciation
-18.93%-105.94K
-18.93%-105.94K
-22.32%-105.18K
-34.02%-89.08K
-34.02%-89.08K
59.29%-85.99K
-59.61%-66.47K
---66.47K
11.06%-211.24K
81.27%-41.64K
Goodwill and other intangible assets
--0
--0
--0
-83.16%6.75K
-83.16%6.75K
-63.26%22.72K
-50.31%40.08K
--40.08K
-47.42%61.83K
111.46%80.64K
Investments and advances
4,808.51%6.9M
4,808.51%6.9M
4,547.84%7.33M
--140.58K
--140.58K
--157.75K
--0
--0
----
----
Related parties assets
84.98%110.96K
84.98%110.96K
-93.81%20.92K
122,314.29%59.98K
122,314.29%59.98K
--337.75K
--49
--49
----
----
Non current deferred assets
--0
--0
--169.05K
--163.21K
--163.21K
----
--0
--0
----
----
Non current prepaid assets
----
----
----
----
----
--0
--9.31M
--9.31M
----
--0
Other non current assets
-4.68%9.19M
-4.68%9.19M
--9.87M
5,462.22%9.64M
5,462.22%9.64M
----
-77.54%173.29K
--173.29K
----
28.61%771.67K
Total non current assets
57.94%16.63M
57.94%16.63M
46.96%17.99M
1.42%10.53M
1.42%10.53M
1,049.99%12.24M
787.62%10.38M
--10.38M
50.43%1.06M
50.41%1.17M
Total assets
6.73%174.8M
6.73%174.8M
-0.14%174.55M
-1.15%163.78M
-1.15%163.78M
266.41%174.8M
333.83%165.69M
--165.69M
50.43%47.71M
25.29%38.19M
Liabilities
Current liabilities
Payables
475.25%1.14M
475.25%1.14M
69.95%1.21M
73.62%198.09K
73.62%198.09K
-68.87%710.07K
-93.41%114.09K
--114.09K
-20.68%2.28M
-41.23%1.73M
-accounts payable
460.87%1.11M
460.87%1.11M
69.77%1.21M
249.18%197.14K
249.18%197.14K
171.42%710.07K
237.26%56.46K
--56.46K
-41.13%261.61K
-94.29%16.74K
-Due to related parties current
3,466.88%33.81K
3,466.88%33.81K
--1.27K
-98.36%948
-98.36%948
--0
-96.64%57.63K
--57.63K
14.01%2.02M
-35.36%1.71M
Current debt and capital lease obligation
139.03%8.95M
139.03%8.95M
285.41%9.35M
60.75%3.74M
60.75%3.74M
-55.69%2.42M
-40.55%2.33M
--2.33M
45.18%5.47M
-9.49%3.92M
-Current debt
140.17%8.88M
140.17%8.88M
319.96%9.27M
70.12%3.7M
70.12%3.7M
-58.54%2.21M
-43.15%2.17M
--2.17M
43.42%5.33M
-11.68%3.82M
-Current capital lease obligation
48.38%69.06K
48.38%69.06K
-67.35%70.62K
-70.07%46.54K
-70.07%46.54K
48.50%216.29K
64.56%155.53K
--155.53K
162.47%145.65K
--94.52K
Other current liabilities
-85.58%627.13K
-85.58%627.13K
826.92%1.31M
155.18%4.35M
155.18%4.35M
-9.78%140.94K
-37.34%1.7M
--1.7M
2,125.20%156.21K
211.96%2.72M
Current liabilities
29.24%10.71M
29.24%10.71M
262.01%11.86M
99.91%8.29M
99.91%8.29M
-58.58%3.28M
-50.45%4.15M
--4.15M
18.00%7.91M
2.73%8.37M
Non current liabilities
Long term debt and capital lease obligation
160.82%2.11M
160.82%2.11M
-19.82%700.79K
8.21%809.44K
8.21%809.44K
51.46%873.98K
384.58%748.06K
--748.06K
122.90%577.02K
--154.37K
-Long term debt
465.39%1.65M
465.39%1.65M
81.05%176.8K
105.45%292.29K
105.45%292.29K
--97.65K
--142.26K
--142.26K
----
----
-Long term capital lease obligation
-11.32%458.62K
-11.32%458.62K
-32.50%523.99K
-14.63%517.16K
-14.63%517.16K
34.54%776.33K
292.42%605.79K
--605.79K
122.90%577.02K
--154.37K
Total non current liabilities
160.82%2.11M
160.82%2.11M
-19.82%700.79K
8.21%809.44K
8.21%809.44K
51.46%873.98K
11.78%748.06K
--748.06K
122.90%577.02K
--669.2K
Total liabilities
40.94%12.82M
40.94%12.82M
202.65%12.56M
85.90%9.1M
85.90%9.1M
-51.10%4.15M
-45.84%4.89M
--4.89M
21.90%8.49M
10.95%9.04M
Shareholders'equity
Share capital
103.89%1.22M
103.89%1.22M
0.00%597.68K
7.17%597.77K
7.17%597.77K
2,066.75%597.68K
2,618.50%557.78K
--557.78K
73.53%27.58K
62.97%20.52K
-common stock
103.89%1.22M
103.89%1.22M
0.00%597.68K
7.17%597.77K
7.17%597.77K
2,066.75%597.68K
2,618.50%557.78K
--557.78K
73.53%27.58K
62.97%20.52K
Retained earnings
13.43%16.91M
13.43%16.91M
39.63%17.11M
63.28%14.9M
63.28%14.9M
50.75%12.26M
34.81%9.13M
--9.13M
29.78%8.13M
7.10%6.77M
Paid-in capital
5.53%160.57M
5.53%160.57M
-0.00%152.16M
3.45%152.16M
3.45%152.16M
446.51%152.16M
623.32%147.09M
--147.09M
54.41%27.84M
29.01%20.34M
Gains losses not affecting retained earnings
-28.82%-16.72M
-28.82%-16.72M
-239.92%-7.88M
-518.36%-12.98M
-518.36%-12.98M
143.18%5.63M
167.69%3.1M
--3.1M
679.52%2.32M
293.70%1.16M
Total stockholders'equity
4.71%161.98M
4.71%161.98M
-5.07%161.99M
-3.25%154.68M
-3.25%154.68M
345.37%170.65M
465.23%159.88M
--159.88M
60.23%38.32M
31.57%28.29M
Noncontrolling interests
--0
--0
--0
--0
--0
--0
5.35%916.51K
--916.51K
7.66%902.62K
3.69%869.98K
Total equity
4.71%161.98M
4.71%161.98M
-5.07%161.99M
-3.80%154.68M
-3.80%154.68M
335.12%170.65M
451.51%160.79M
--160.79M
58.45%39.22M
30.52%29.16M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
(FY)2023/09/30(Q4)2023/09/30(Q2)2023/03/31(FY)2022/09/30(Q4)2022/09/30(Q2)2022/03/31(FY)2021/09/30(Q4)2021/09/30(Q2)2021/03/31(FY)2020/09/30
Assets
Current assets
Cash, cash equivalents and short term investments -83.24%12.79M-83.24%12.79M26.35%69.36M23.00%76.32M23.00%76.32M220.76%54.89M12,775.01%62.05M--62.05M235.54%17.11M256.64%481.91K
-Cash and cash equivalents -68.93%12.79M-68.93%12.79M354.12%69.36M-30.52%41.17M-30.52%41.17M6.31%15.27M12,195.32%59.25M--59.25M181.68%14.37M256.64%481.91K
-Short-term investments --0--0-100.00%6481,158.26%35.15M1,158.26%35.15M1,342.13%39.62M--2.79M--2.79M--2.75M--0
Receivables -9.47%24.79M-9.47%24.79M-12.59%27.38M11.88%27.38M11.88%27.38M126.92%31.32M133.23%24.47M--24.47M8.93%13.8M-24.11%10.49M
-Accounts receivable 50.92%24.68M50.92%24.68M42.76%27.34M-33.21%16.35M-33.21%16.35M38.76%19.15M133.31%24.48M--24.48M52.77%13.8M-24.11%10.49M
-Notes receivable --0--0-99.64%14.28K--3.53M--3.53M--3.94M--0--0--------
-Related party accounts receivable 84.98%110.96K84.98%110.96K-93.81%20.92K122,314.29%59.98K122,314.29%59.98K--337.75K--49--49--------
-Other receivables --------------7.44M--7.44M--7.89M----------------
-Recievables adjustments allowances ---------------------------8.09K---8.09K--------
Inventory 444.74%3.9M444.74%3.9M-91.68%442.18K-47.78%716.28K-47.78%716.28K529.05%5.32M1,007.04%1.37M--1.37M18.99%845K-91.51%123.89K
Prepaid assets 139.23%116.34M139.23%116.34M-16.51%58.98M-27.11%48.63M-27.11%48.63M440.39%70.64M185.73%66.72M--66.72M11.42%13.07M66.38%23.35M
Restricted cash --------------------------------179.82%1.68M8,551.69%1.62M
Other current assets 68.10%347.23K68.10%347.23K4.77%410.36K-57.90%206.57K-57.90%206.57K202.28%391.68K297.72%490.7K--490.7K-32.29%129.58K-46.36%123.38K
Total current assets 3.21%158.17M3.21%158.17M-3.69%156.56M-1.32%153.25M-1.32%153.25M248.53%162.56M319.49%155.31M--155.31M50.43%46.64M24.63%37.02M
Non current assets
Net PPE -6.60%540.99K-6.60%540.99K-94.91%613.46K-32.35%579.22K-32.35%579.22K1,102.92%12.06M169.85%856.15K--856.15K69.94%1M127.48%317.27K
-Gross PPE -3.20%646.93K-3.20%646.93K-94.08%718.64K-27.57%668.3K-27.57%668.3K900.64%12.14M157.06%922.61K--922.61K46.69%1.21M-0.81%358.91K
-Accumulated depreciation -18.93%-105.94K-18.93%-105.94K-22.32%-105.18K-34.02%-89.08K-34.02%-89.08K59.29%-85.99K-59.61%-66.47K---66.47K11.06%-211.24K81.27%-41.64K
Goodwill and other intangible assets --0--0--0-83.16%6.75K-83.16%6.75K-63.26%22.72K-50.31%40.08K--40.08K-47.42%61.83K111.46%80.64K
Investments and advances 4,808.51%6.9M4,808.51%6.9M4,547.84%7.33M--140.58K--140.58K--157.75K--0--0--------
Related parties assets 84.98%110.96K84.98%110.96K-93.81%20.92K122,314.29%59.98K122,314.29%59.98K--337.75K--49--49--------
Non current deferred assets --0--0--169.05K--163.21K--163.21K------0--0--------
Non current prepaid assets ----------------------0--9.31M--9.31M------0
Other non current assets -4.68%9.19M-4.68%9.19M--9.87M5,462.22%9.64M5,462.22%9.64M-----77.54%173.29K--173.29K----28.61%771.67K
Total non current assets 57.94%16.63M57.94%16.63M46.96%17.99M1.42%10.53M1.42%10.53M1,049.99%12.24M787.62%10.38M--10.38M50.43%1.06M50.41%1.17M
Total assets 6.73%174.8M6.73%174.8M-0.14%174.55M-1.15%163.78M-1.15%163.78M266.41%174.8M333.83%165.69M--165.69M50.43%47.71M25.29%38.19M
Liabilities
Current liabilities
Payables 475.25%1.14M475.25%1.14M69.95%1.21M73.62%198.09K73.62%198.09K-68.87%710.07K-93.41%114.09K--114.09K-20.68%2.28M-41.23%1.73M
-accounts payable 460.87%1.11M460.87%1.11M69.77%1.21M249.18%197.14K249.18%197.14K171.42%710.07K237.26%56.46K--56.46K-41.13%261.61K-94.29%16.74K
-Due to related parties current 3,466.88%33.81K3,466.88%33.81K--1.27K-98.36%948-98.36%948--0-96.64%57.63K--57.63K14.01%2.02M-35.36%1.71M
Current debt and capital lease obligation 139.03%8.95M139.03%8.95M285.41%9.35M60.75%3.74M60.75%3.74M-55.69%2.42M-40.55%2.33M--2.33M45.18%5.47M-9.49%3.92M
-Current debt 140.17%8.88M140.17%8.88M319.96%9.27M70.12%3.7M70.12%3.7M-58.54%2.21M-43.15%2.17M--2.17M43.42%5.33M-11.68%3.82M
-Current capital lease obligation 48.38%69.06K48.38%69.06K-67.35%70.62K-70.07%46.54K-70.07%46.54K48.50%216.29K64.56%155.53K--155.53K162.47%145.65K--94.52K
Other current liabilities -85.58%627.13K-85.58%627.13K826.92%1.31M155.18%4.35M155.18%4.35M-9.78%140.94K-37.34%1.7M--1.7M2,125.20%156.21K211.96%2.72M
Current liabilities 29.24%10.71M29.24%10.71M262.01%11.86M99.91%8.29M99.91%8.29M-58.58%3.28M-50.45%4.15M--4.15M18.00%7.91M2.73%8.37M
Non current liabilities
Long term debt and capital lease obligation 160.82%2.11M160.82%2.11M-19.82%700.79K8.21%809.44K8.21%809.44K51.46%873.98K384.58%748.06K--748.06K122.90%577.02K--154.37K
-Long term debt 465.39%1.65M465.39%1.65M81.05%176.8K105.45%292.29K105.45%292.29K--97.65K--142.26K--142.26K--------
-Long term capital lease obligation -11.32%458.62K-11.32%458.62K-32.50%523.99K-14.63%517.16K-14.63%517.16K34.54%776.33K292.42%605.79K--605.79K122.90%577.02K--154.37K
Total non current liabilities 160.82%2.11M160.82%2.11M-19.82%700.79K8.21%809.44K8.21%809.44K51.46%873.98K11.78%748.06K--748.06K122.90%577.02K--669.2K
Total liabilities 40.94%12.82M40.94%12.82M202.65%12.56M85.90%9.1M85.90%9.1M-51.10%4.15M-45.84%4.89M--4.89M21.90%8.49M10.95%9.04M
Shareholders'equity
Share capital 103.89%1.22M103.89%1.22M0.00%597.68K7.17%597.77K7.17%597.77K2,066.75%597.68K2,618.50%557.78K--557.78K73.53%27.58K62.97%20.52K
-common stock 103.89%1.22M103.89%1.22M0.00%597.68K7.17%597.77K7.17%597.77K2,066.75%597.68K2,618.50%557.78K--557.78K73.53%27.58K62.97%20.52K
Retained earnings 13.43%16.91M13.43%16.91M39.63%17.11M63.28%14.9M63.28%14.9M50.75%12.26M34.81%9.13M--9.13M29.78%8.13M7.10%6.77M
Paid-in capital 5.53%160.57M5.53%160.57M-0.00%152.16M3.45%152.16M3.45%152.16M446.51%152.16M623.32%147.09M--147.09M54.41%27.84M29.01%20.34M
Gains losses not affecting retained earnings -28.82%-16.72M-28.82%-16.72M-239.92%-7.88M-518.36%-12.98M-518.36%-12.98M143.18%5.63M167.69%3.1M--3.1M679.52%2.32M293.70%1.16M
Total stockholders'equity 4.71%161.98M4.71%161.98M-5.07%161.99M-3.25%154.68M-3.25%154.68M345.37%170.65M465.23%159.88M--159.88M60.23%38.32M31.57%28.29M
Noncontrolling interests --0--0--0--0--0--05.35%916.51K--916.51K7.66%902.62K3.69%869.98K
Total equity 4.71%161.98M4.71%161.98M-5.07%161.99M-3.80%154.68M-3.80%154.68M335.12%170.65M451.51%160.79M--160.79M58.45%39.22M30.52%29.16M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion----Unqualified Opinion----Unqualified Opinion----Unqualified Opinion

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