US Stock MarketDetailed Quotes

OCG Oriental Culture

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  • 1.4100
  • +0.0300+2.17%
Close May 15 16:00 ET
  • 1.3400
  • -0.0700-4.96%
Post 18:28 ET
6.44MMarket Cap-1678P/E (TTM)

Oriental Culture Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
21.77%20.93M
21.77%20.93M
-46.85%21.57M
-48.14%17.19M
-48.14%17.19M
-9.93%40.58M
48.21%33.15M
--33.15M
339.86%45.06M
128.14%22.37M
-Cash and cash equivalents
2.88%17.68M
2.88%17.68M
-44.28%21.57M
-41.53%17.19M
-41.53%17.19M
-9.21%38.71M
37.96%29.4M
--29.4M
419.32%42.63M
164.57%21.31M
-Short-term investments
--3.25M
--3.25M
----
--0
--0
-22.62%1.88M
254.91%3.75M
--3.75M
19.25%2.43M
-39.61%1.06M
Receivables
-89.97%346.11K
-89.97%346.11K
-75.36%1.23M
250.67%3.45M
250.67%3.45M
135.95%4.97M
-68.56%984.07K
--984.07K
109.77%2.11M
147.74%3.13M
-Accounts receivable
--0
--0
-19.85%41.72K
-46.48%29.52K
-46.48%29.52K
-92.45%52.06K
-86.29%55.15K
--55.15K
-31.41%689.16K
-68.14%402.43K
-Related party accounts receivable
-89.88%346.11K
-89.88%346.11K
-86.57%542.6K
268.32%3.42M
268.32%3.42M
--4.04M
-65.94%928.91K
--928.91K
----
--2.73M
-Other receivables
----
----
-27.09%641.24K
----
----
-38.00%879.5K
----
----
--1.42M
----
Prepaid assets
-96.99%133.71K
-96.99%133.71K
----
220.63%4.44M
220.63%4.44M
----
-89.76%1.39M
--1.39M
----
40,981.46%13.53M
Restricted cash
-3.61%16.48M
-3.61%16.48M
2,576.15%16.06M
2,749.95%17.1M
2,749.95%17.1M
--600K
--600K
--600K
----
--0
Total current assets
-10.17%37.89M
-10.17%37.89M
-15.83%38.85M
16.79%42.18M
16.79%42.18M
-2.14%46.16M
-7.46%36.12M
--36.12M
298.26%47.17M
219.12%39.03M
Non current assets
Net PPE
-2.91%9.18M
-2.91%9.18M
-4.84%9.09M
-4.62%9.46M
-4.62%9.46M
1,166.10%9.56M
2,563.99%9.92M
--9.92M
88.85%754.81K
-19.24%372.22K
-Gross PPE
0.00%10.22M
0.00%10.22M
-4.84%9.09M
-1.58%10.22M
-1.58%10.22M
1,166.10%9.56M
1,514.76%10.38M
--10.38M
26.64%754.81K
6.86%642.84K
-Accumulated depreciation
-36.36%-1.03M
-36.36%-1.03M
----
-63.19%-758.04K
-63.19%-758.04K
----
-71.65%-464.52K
---464.52K
----
-92.34%-270.62K
Goodwill and other intangible assets
-35.16%529.65K
-35.16%529.65K
-30.23%689.56K
-27.07%816.89K
-27.07%816.89K
106.12%988.32K
95.47%1.12M
--1.12M
-27.15%479.5K
-22.55%572.99K
-Other intangible assets
-35.16%529.65K
-35.16%529.65K
----
-27.07%816.89K
-27.07%816.89K
----
95.47%1.12M
--1.12M
----
-22.55%572.99K
Investments and advances
-1.67%917K
-1.67%917K
-7.12%898.84K
70.13%932.55K
70.13%932.55K
78.88%967.73K
2.34%548.15K
--548.15K
9.59%540.99K
6.92%535.62K
Related parties assets
-89.88%346.11K
-89.88%346.11K
-86.57%542.6K
268.32%3.42M
268.32%3.42M
--4.04M
-65.94%928.91K
--928.91K
----
--2.73M
Non current prepaid assets
--108.32K
--108.32K
----
--0
--0
--0
--3.14M
--3.14M
--928.78K
--0
Other non current assets
----
----
----
----
----
----
----
----
--600K
--600K
Total non current assets
-4.19%10.74M
-4.19%10.74M
-7.21%10.68M
-23.87%11.21M
-23.87%11.21M
248.44%11.51M
607.45%14.72M
--14.72M
31.03%3.3M
-16.22%2.08M
Total assets
-8.91%48.63M
-8.91%48.63M
-14.11%49.53M
5.02%53.39M
5.02%53.39M
14.27%57.67M
23.67%50.84M
--50.84M
251.35%50.47M
179.39%41.11M
Liabilities
Current liabilities
Payables
-12.27%2.89M
-12.27%2.89M
-35.29%2.77M
11.98%3.29M
11.98%3.29M
14.02%4.29M
-59.71%2.94M
--2.94M
305.33%3.76M
407.43%7.3M
-accounts payable
-13.17%2.59M
-13.17%2.59M
-34.79%2.41M
83.83%2.99M
83.83%2.99M
14.72%3.7M
-73.18%1.63M
--1.63M
1,284.45%3.23M
1,019.73%6.06M
-Total tax payable
25.82%16.83K
25.82%16.83K
-89.00%18.72K
-55.17%13.37K
-55.17%13.37K
-12.86%170.12K
-83.85%29.83K
--29.83K
1,147.41%195.22K
32.43%184.69K
-Due to related parties current
----
----
----
----
----
----
----
----
2.92%6.71K
-88.08%7.31K
-Other payable
-4.73%276.41K
-4.73%276.41K
-17.70%341.39K
-77.41%290.15K
-77.41%290.15K
25.36%414.79K
23.08%1.28M
--1.28M
-50.78%330.88K
49.95%1.04M
Current debt and capital lease obligation
-44.84%11.48K
-44.84%11.48K
-33.21%22.83K
81.03%20.81K
81.03%20.81K
62.85%34.19K
--11.49K
--11.49K
--21K
----
-Current capital lease obligation
-44.84%11.48K
-44.84%11.48K
-33.21%22.83K
81.03%20.81K
81.03%20.81K
62.85%34.19K
--11.49K
--11.49K
--21K
--0
Current deferred liabilities
-59.48%181.93K
-59.48%181.93K
-65.09%240.27K
-35.66%449.04K
-35.66%449.04K
-77.87%688.29K
186.77%697.86K
--697.86K
2,079.60%3.11M
37.91%243.36K
Current liabilities
-18.09%3.08M
-18.09%3.08M
-39.37%3.04M
3.09%3.76M
3.09%3.76M
-27.30%5.01M
-51.60%3.65M
--3.65M
543.83%6.89M
367.04%7.54M
Non current liabilities
Long term debt and capital lease obligation
--0
--0
--0
--11.49K
--11.49K
--11.42K
--0
--0
----
----
-Long term capital lease obligation
--0
--0
--0
--11.49K
--11.49K
--11.42K
--0
--0
----
----
Total non current liabilities
--0
--0
--0
--11.49K
--11.49K
--11.42K
--0
--0
--0
--0
Total liabilities
-18.34%3.08M
-18.34%3.08M
-39.51%3.04M
3.40%3.77M
3.40%3.77M
-27.14%5.02M
-51.60%3.65M
--3.65M
543.83%6.89M
367.04%7.54M
Shareholders'equity
Share capital
0.06%1.54K
0.06%1.54K
0.00%1.54K
0.59%1.54K
0.59%1.54K
2.59%1.54K
2.00%1.53K
--1.53K
21.21%1.5K
21.21%1.5K
-common stock
0.06%1.54K
0.06%1.54K
0.00%1.54K
0.59%1.54K
0.59%1.54K
2.59%1.54K
2.00%1.53K
--1.53K
21.21%1.5K
21.21%1.5K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-12.81%24.69M
-12.81%24.69M
-14.82%26.16M
12.85%28.32M
12.85%28.32M
29.45%30.72M
83.85%25.09M
--25.09M
98.18%23.73M
17.66%13.65M
Paid-in capital
0.42%22.44M
0.42%22.44M
1.68%22.44M
2.12%22.35M
2.12%22.35M
16.87%22.07M
15.89%21.88M
--21.88M
1,074.41%18.88M
1,074.41%18.88M
Less: Treasury stock
0.00%481
0.00%481
0.00%481
0.00%481
0.00%481
0.00%481
0.00%481
--481
0.00%481
0.00%481
Gains losses not affecting retained earnings
-50.69%-1.58M
-50.69%-1.58M
-1,434.41%-2.11M
-186.78%-1.05M
-186.78%-1.05M
-114.23%-137.47K
16.89%1.21M
--1.21M
436.46%965.87K
1,048.27%1.04M
Other equity interest
----
----
----
----
----
----
---1M
---1M
----
----
Total stockholders'equity
-8.20%45.55M
-8.20%45.55M
-11.69%46.5M
5.14%49.62M
5.14%49.62M
20.81%52.65M
40.57%47.19M
--47.19M
227.80%43.58M
156.27%33.57M
Total equity
-8.20%45.55M
-8.20%45.55M
-11.69%46.5M
5.14%49.62M
5.14%49.62M
20.81%52.65M
40.57%47.19M
--47.19M
227.80%43.58M
156.27%33.57M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 21.77%20.93M21.77%20.93M-46.85%21.57M-48.14%17.19M-48.14%17.19M-9.93%40.58M48.21%33.15M--33.15M339.86%45.06M128.14%22.37M
-Cash and cash equivalents 2.88%17.68M2.88%17.68M-44.28%21.57M-41.53%17.19M-41.53%17.19M-9.21%38.71M37.96%29.4M--29.4M419.32%42.63M164.57%21.31M
-Short-term investments --3.25M--3.25M------0--0-22.62%1.88M254.91%3.75M--3.75M19.25%2.43M-39.61%1.06M
Receivables -89.97%346.11K-89.97%346.11K-75.36%1.23M250.67%3.45M250.67%3.45M135.95%4.97M-68.56%984.07K--984.07K109.77%2.11M147.74%3.13M
-Accounts receivable --0--0-19.85%41.72K-46.48%29.52K-46.48%29.52K-92.45%52.06K-86.29%55.15K--55.15K-31.41%689.16K-68.14%402.43K
-Related party accounts receivable -89.88%346.11K-89.88%346.11K-86.57%542.6K268.32%3.42M268.32%3.42M--4.04M-65.94%928.91K--928.91K------2.73M
-Other receivables ---------27.09%641.24K---------38.00%879.5K----------1.42M----
Prepaid assets -96.99%133.71K-96.99%133.71K----220.63%4.44M220.63%4.44M-----89.76%1.39M--1.39M----40,981.46%13.53M
Restricted cash -3.61%16.48M-3.61%16.48M2,576.15%16.06M2,749.95%17.1M2,749.95%17.1M--600K--600K--600K------0
Total current assets -10.17%37.89M-10.17%37.89M-15.83%38.85M16.79%42.18M16.79%42.18M-2.14%46.16M-7.46%36.12M--36.12M298.26%47.17M219.12%39.03M
Non current assets
Net PPE -2.91%9.18M-2.91%9.18M-4.84%9.09M-4.62%9.46M-4.62%9.46M1,166.10%9.56M2,563.99%9.92M--9.92M88.85%754.81K-19.24%372.22K
-Gross PPE 0.00%10.22M0.00%10.22M-4.84%9.09M-1.58%10.22M-1.58%10.22M1,166.10%9.56M1,514.76%10.38M--10.38M26.64%754.81K6.86%642.84K
-Accumulated depreciation -36.36%-1.03M-36.36%-1.03M-----63.19%-758.04K-63.19%-758.04K-----71.65%-464.52K---464.52K-----92.34%-270.62K
Goodwill and other intangible assets -35.16%529.65K-35.16%529.65K-30.23%689.56K-27.07%816.89K-27.07%816.89K106.12%988.32K95.47%1.12M--1.12M-27.15%479.5K-22.55%572.99K
-Other intangible assets -35.16%529.65K-35.16%529.65K-----27.07%816.89K-27.07%816.89K----95.47%1.12M--1.12M-----22.55%572.99K
Investments and advances -1.67%917K-1.67%917K-7.12%898.84K70.13%932.55K70.13%932.55K78.88%967.73K2.34%548.15K--548.15K9.59%540.99K6.92%535.62K
Related parties assets -89.88%346.11K-89.88%346.11K-86.57%542.6K268.32%3.42M268.32%3.42M--4.04M-65.94%928.91K--928.91K------2.73M
Non current prepaid assets --108.32K--108.32K------0--0--0--3.14M--3.14M--928.78K--0
Other non current assets ----------------------------------600K--600K
Total non current assets -4.19%10.74M-4.19%10.74M-7.21%10.68M-23.87%11.21M-23.87%11.21M248.44%11.51M607.45%14.72M--14.72M31.03%3.3M-16.22%2.08M
Total assets -8.91%48.63M-8.91%48.63M-14.11%49.53M5.02%53.39M5.02%53.39M14.27%57.67M23.67%50.84M--50.84M251.35%50.47M179.39%41.11M
Liabilities
Current liabilities
Payables -12.27%2.89M-12.27%2.89M-35.29%2.77M11.98%3.29M11.98%3.29M14.02%4.29M-59.71%2.94M--2.94M305.33%3.76M407.43%7.3M
-accounts payable -13.17%2.59M-13.17%2.59M-34.79%2.41M83.83%2.99M83.83%2.99M14.72%3.7M-73.18%1.63M--1.63M1,284.45%3.23M1,019.73%6.06M
-Total tax payable 25.82%16.83K25.82%16.83K-89.00%18.72K-55.17%13.37K-55.17%13.37K-12.86%170.12K-83.85%29.83K--29.83K1,147.41%195.22K32.43%184.69K
-Due to related parties current --------------------------------2.92%6.71K-88.08%7.31K
-Other payable -4.73%276.41K-4.73%276.41K-17.70%341.39K-77.41%290.15K-77.41%290.15K25.36%414.79K23.08%1.28M--1.28M-50.78%330.88K49.95%1.04M
Current debt and capital lease obligation -44.84%11.48K-44.84%11.48K-33.21%22.83K81.03%20.81K81.03%20.81K62.85%34.19K--11.49K--11.49K--21K----
-Current capital lease obligation -44.84%11.48K-44.84%11.48K-33.21%22.83K81.03%20.81K81.03%20.81K62.85%34.19K--11.49K--11.49K--21K--0
Current deferred liabilities -59.48%181.93K-59.48%181.93K-65.09%240.27K-35.66%449.04K-35.66%449.04K-77.87%688.29K186.77%697.86K--697.86K2,079.60%3.11M37.91%243.36K
Current liabilities -18.09%3.08M-18.09%3.08M-39.37%3.04M3.09%3.76M3.09%3.76M-27.30%5.01M-51.60%3.65M--3.65M543.83%6.89M367.04%7.54M
Non current liabilities
Long term debt and capital lease obligation --0--0--0--11.49K--11.49K--11.42K--0--0--------
-Long term capital lease obligation --0--0--0--11.49K--11.49K--11.42K--0--0--------
Total non current liabilities --0--0--0--11.49K--11.49K--11.42K--0--0--0--0
Total liabilities -18.34%3.08M-18.34%3.08M-39.51%3.04M3.40%3.77M3.40%3.77M-27.14%5.02M-51.60%3.65M--3.65M543.83%6.89M367.04%7.54M
Shareholders'equity
Share capital 0.06%1.54K0.06%1.54K0.00%1.54K0.59%1.54K0.59%1.54K2.59%1.54K2.00%1.53K--1.53K21.21%1.5K21.21%1.5K
-common stock 0.06%1.54K0.06%1.54K0.00%1.54K0.59%1.54K0.59%1.54K2.59%1.54K2.00%1.53K--1.53K21.21%1.5K21.21%1.5K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -12.81%24.69M-12.81%24.69M-14.82%26.16M12.85%28.32M12.85%28.32M29.45%30.72M83.85%25.09M--25.09M98.18%23.73M17.66%13.65M
Paid-in capital 0.42%22.44M0.42%22.44M1.68%22.44M2.12%22.35M2.12%22.35M16.87%22.07M15.89%21.88M--21.88M1,074.41%18.88M1,074.41%18.88M
Less: Treasury stock 0.00%4810.00%4810.00%4810.00%4810.00%4810.00%4810.00%481--4810.00%4810.00%481
Gains losses not affecting retained earnings -50.69%-1.58M-50.69%-1.58M-1,434.41%-2.11M-186.78%-1.05M-186.78%-1.05M-114.23%-137.47K16.89%1.21M--1.21M436.46%965.87K1,048.27%1.04M
Other equity interest ---------------------------1M---1M--------
Total stockholders'equity -8.20%45.55M-8.20%45.55M-11.69%46.5M5.14%49.62M5.14%49.62M20.81%52.65M40.57%47.19M--47.19M227.80%43.58M156.27%33.57M
Total equity -8.20%45.55M-8.20%45.55M-11.69%46.5M5.14%49.62M5.14%49.62M20.81%52.65M40.57%47.19M--47.19M227.80%43.58M156.27%33.57M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion----Unqualified Opinion----Unqualified Opinion----Unqualified Opinion

Analysis

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