US Stock MarketDetailed Quotes

CETX Cemtrex

Watchlist
  • 1.4700
  • -0.1600-9.82%
Close Mar 28 16:00 ET
  • 1.4700
  • 0.00000.00%
Post 19:53 ET
2.62MMarket Cap-0.08P/E (TTM)

Cemtrex Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Dec 31, 2024
(FY)Sep 30, 2024
(Q4)Sep 30, 2024
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
48.79%4.24M
-26.80%3.91M
-26.80%3.91M
14.88%6.48M
-55.93%2.93M
-50.74%2.85M
-46.08%5.34M
-46.08%5.34M
-51.87%5.64M
-51.10%6.65M
-Cash and cash equivalents
48.99%4.22M
-26.87%3.9M
-26.87%3.9M
14.91%6.47M
-56.04%2.92M
-50.85%2.84M
-46.14%5.33M
-46.14%5.33M
-50.81%5.63M
-26.04%6.63M
-Short-term investments
6.36%14.15K
1.52%13.87K
1.52%13.87K
1.52%13.87K
1.39%13.85K
-3.02%13.31K
-0.42%13.66K
-0.42%13.66K
-95.13%13.66K
-99.70%13.66K
Receivables
-16.29%11.27M
4.03%12.89M
4.03%12.89M
8.36%9.69M
56.79%15.06M
50.13%13.46M
93.06%12.39M
93.06%12.39M
-18.74%8.94M
28.41%9.6M
-Accounts receivable
-14.68%9.73M
14.42%11.85M
14.42%11.85M
5.81%8.56M
69.47%13.02M
55.76%11.4M
91.75%10.35M
91.75%10.35M
6.90%8.09M
27.88%7.68M
-Loans receivable
----
----
----
--18.13K
-96.79%36.27K
-95.17%54.4K
----
----
----
--1.13M
-Taxes receivable
--0
-80.25%58.94K
-80.25%58.94K
--0
--24.84K
--311.49K
25.96%298.5K
25.96%298.5K
--289.37K
----
-Other receivables
-9.03%1.54M
-43.35%985.21K
-43.35%985.21K
96.83%1.12M
149.20%1.98M
225.06%1.69M
122.46%1.74M
122.46%1.74M
12.27%566.52K
--794.42K
Inventory
40.02%11.12M
-20.03%6.99M
-20.03%6.99M
-13.62%7.53M
-13.59%7.4M
-7.74%7.94M
2.96%8.74M
2.96%8.74M
3.09%8.72M
21.15%8.56M
Prepaid assets
21.23%1.15M
-26.01%1.31M
-26.01%1.31M
-32.71%1.46M
165.32%1.77M
-34.61%945.41K
30.22%1.77M
30.22%1.77M
394.91%2.17M
--665.53K
Restricted cash
4.96%1.24M
49.35%1.52M
49.35%1.52M
43.06%1.15M
81.69%1.17M
-26.23%1.18M
-35.38%1.02M
-35.38%1.02M
-46.98%805.27K
-61.12%645.3K
Current deferred assets
-3.10%34.89K
175.08%71.36K
175.08%71.36K
45.62%87.62K
--83.5K
--36K
-36.15%25.94K
-36.15%25.94K
--60.17K
----
Total current assets
9.97%29.04M
-8.86%26.7M
-8.86%26.7M
0.24%26.41M
8.74%28.41M
0.04%26.41M
-7.79%29.29M
-7.79%29.29M
-20.52%26.34M
-21.24%26.12M
Non current assets
Net PPE
2.38%11.53M
-3.82%11.07M
-3.82%11.07M
25.32%10.52M
50.95%11.1M
47.66%11.26M
45.25%11.51M
45.25%11.51M
-5.48%8.39M
-22.46%7.35M
-Gross PPE
6.72%23.57M
3.56%22.78M
3.56%22.78M
17.98%21.89M
26.99%22.25M
19.85%22.08M
18.94%22M
18.94%22M
-9.96%18.55M
-17.96%17.52M
-Accumulated depreciation
-11.23%-12.03M
-11.65%-11.71M
-11.65%-11.71M
-11.92%-11.37M
-9.67%-11.15M
-0.20%-10.82M
0.77%-10.49M
0.77%-10.49M
13.35%-10.16M
14.36%-10.17M
Goodwill and other intangible assets
-15.37%3.71M
-15.37%3.71M
-15.37%3.71M
8.50%4.24M
12.16%4.38M
12.16%4.38M
12.16%4.38M
12.16%4.38M
-50.05%3.91M
-50.05%3.91M
-Goodwill
-15.37%3.71M
-15.37%3.71M
-15.37%3.71M
8.50%4.24M
12.16%4.38M
12.16%4.38M
12.16%4.38M
12.16%4.38M
-50.05%3.91M
-50.05%3.91M
Investments and advances
8.33%1.3M
9.09%1.2M
9.09%1.2M
20.00%1.2M
20.00%1.2M
20.00%1.2M
10.00%1.1M
10.00%1.1M
0.00%1M
0.00%1M
Long-term notes receivables
----
--0
--0
--0
0.00%761.59K
0.00%761.59K
0.00%761.59K
0.00%761.59K
--761.59K
--761.59K
Non current accounts receivable
-43.72%274.76K
-32.34%456.61K
-32.34%456.61K
-34.45%453.33K
-35.13%440.05K
-26.60%488.17K
--674.89K
--674.89K
--691.61K
--678.33K
Non current prepaid assets
2.15%387.94K
48.90%545.64K
48.90%545.64K
79.26%567.11K
160.63%518.89K
512.15%379.78K
60.12%366.45K
60.12%366.45K
248.45%316.37K
119.28%199.09K
Other non current assets
7.50%441.62K
19.50%441.62K
19.50%441.62K
34.22%442.98K
14.81%442.98K
-15.13%410.82K
116.26%369.56K
116.26%369.56K
24.09%330.04K
103.51%385.82K
Total non current assets
-6.57%17.65M
-9.09%17.42M
-9.09%17.42M
13.12%17.42M
31.92%18.84M
30.18%18.89M
36.96%19.16M
36.96%19.16M
-14.72%15.4M
-23.14%14.28M
Total assets
3.07%46.69M
-8.95%44.12M
-8.95%44.12M
4.99%43.83M
16.93%47.25M
10.73%45.3M
5.89%48.45M
5.89%48.45M
-18.48%41.74M
-21.92%40.4M
Liabilities
Current liabilities
Payables
-17.53%3.64M
-26.63%4.91M
-26.63%4.91M
7.27%4.05M
83.85%6.19M
61.04%4.42M
110.03%6.69M
110.03%6.69M
-31.85%3.78M
-31.26%3.37M
-accounts payable
-17.26%3.47M
-27.85%4.52M
-27.85%4.52M
-3.01%3.62M
73.68%5.75M
52.91%4.19M
104.06%6.26M
104.06%6.26M
-30.97%3.73M
-30.51%3.31M
-Total tax payable
-22.55%172.69K
-8.62%387.85K
-8.62%387.85K
788.27%435.92K
673.01%441.78K
--222.96K
269.28%424.46K
269.28%424.46K
-65.31%49.08K
-57.79%57.15K
Current accrued expenses
267.85%6.78M
-26.94%2.03M
-26.94%2.03M
-33.61%2.35M
-12.63%2.68M
-43.23%1.84M
23.69%2.78M
23.69%2.78M
200.49%3.54M
133.89%3.06M
Current debt and capital lease obligation
-40.98%11.69M
1,072.00%8.69M
1,072.00%8.69M
481.96%4.17M
681.45%5.73M
2,414.51%19.8M
-1.72%741.49K
-1.72%741.49K
-12.52%716.9K
-19.04%732.68K
-Current debt
-43.16%10.84M
--7.86M
--7.86M
--3.39M
--4.93M
--19.07M
----
----
----
----
-Current capital lease obligation
16.01%845.54K
12.32%832.82K
12.32%832.82K
8.86%780.42K
8.12%792.14K
-7.45%728.88K
-1.72%741.49K
-1.72%741.49K
-12.52%716.9K
-19.04%732.68K
Current deferred liabilities
6.49%2.81M
12.94%2.96M
12.94%2.96M
63.88%3.43M
64.61%3.51M
-12.05%2.63M
61.38%2.62M
61.38%2.62M
-22.63%2.09M
-21.79%2.13M
Other current liabilities
----
----
----
----
----
----
-18.04%14.51M
-18.04%14.51M
0.23%17.19M
4.59%16.44M
Current liabilities
-13.18%24.91M
-32.00%18.59M
-32.00%18.59M
-48.72%14M
-29.66%18.11M
6.79%28.7M
7.17%27.34M
7.17%27.34M
-0.30%27.31M
0.69%25.74M
Non current liabilities
Long term debt and capital lease obligation
58.09%12.94M
25.08%14.43M
25.08%14.43M
254.98%18.11M
323.14%23.02M
101.42%8.19M
175.33%11.54M
175.33%11.54M
14.62%5.1M
-18.11%5.44M
-Long term debt
75.93%11.89M
33.65%13.27M
33.65%13.27M
368.60%16.89M
456.25%21.55M
189.92%6.76M
319.38%9.93M
319.38%9.93M
35.95%3.61M
-16.29%3.87M
-Long term capital lease obligation
-26.45%1.05M
-27.87%1.16M
-27.87%1.16M
-18.73%1.22M
-6.52%1.46M
-17.67%1.43M
-11.81%1.61M
-11.81%1.61M
-16.82%1.5M
-22.30%1.56M
Non current deferred liabilities
-19.24%560.65K
-9.60%658.02K
-9.60%658.02K
1.38%631.58K
12.63%654.62K
16.62%694.25K
19.86%727.93K
19.86%727.93K
6.68%623.01K
-0.14%581.19K
Derivative product liabilities
--9.45M
--5.2M
--5.2M
--10.43M
----
----
--0
--0
----
----
Other non current liabilities
-24.20%307.47K
-45.16%274.96K
-45.16%274.96K
-43.29%299.99K
-44.94%317.09K
-30.35%405.62K
-37.94%501.35K
-37.94%501.35K
-35.93%528.95K
-29.94%575.9K
Total non current liabilities
150.52%23.27M
61.07%20.56M
61.07%20.56M
371.25%29.47M
263.65%23.99M
77.15%9.29M
127.75%12.77M
127.75%12.77M
6.71%6.25M
-18.02%6.6M
Total liabilities
26.84%48.18M
-2.38%39.15M
-2.38%39.15M
29.53%43.47M
30.18%42.09M
18.28%37.98M
28.89%40.11M
28.89%40.11M
0.93%33.56M
-3.79%32.33M
Shareholders'equity
Share capital
25.64%4.42K
7.55%2.52K
7.55%2.52K
471.34%18.86K
14.80%3.51K
16.09%3.51K
-18.72%2.34K
-18.72%2.34K
-88.37%3.3K
-88.54%3.06K
-common stock
69.03%1.79K
1,300.00%14
1,300.00%14
1,606.99%16.35K
27.54%1.06K
33.00%1.06K
-99.87%1
-99.87%1
-96.35%958
-96.64%828
-Preferred stock
7.00%2.63K
7.00%2.51K
7.00%2.51K
7.00%2.51K
10.08%2.46K
10.08%2.46K
10.05%2.34K
10.05%2.34K
10.05%2.34K
10.00%2.23K
Retained earnings
-53.23%-100.11M
-11.27%-71.36M
-11.27%-71.36M
-20.40%-75.79M
-8.10%-66.81M
-6.74%-65.33M
-16.74%-64.13M
-16.74%-64.13M
-21.55%-62.95M
-20.92%-61.8M
Paid-in capital
39.09%95.88M
6.36%73.26M
6.36%73.26M
6.88%73M
2.82%68.94M
3.01%68.93M
3.36%68.88M
3.36%68.88M
2.68%68.3M
1.92%67.04M
Less: Treasury stock
0.00%148.29K
0.00%148.29K
0.00%148.29K
0.00%148.29K
47.01%218K
0.00%148.29K
0.00%148.29K
0.00%148.29K
0.00%148.29K
0.00%148.29K
Gains losses not affecting retained earnings
-14.73%2.82M
-4.14%2.95M
-4.14%2.95M
28.44%2.96M
21.45%2.77M
27.04%3.3M
29.41%3.08M
29.41%3.08M
-9.75%2.31M
-17.14%2.28M
Total stockholders'equity
-123.09%-1.56M
-38.72%4.71M
-38.72%4.71M
-99.36%47.96K
-36.46%4.69M
-17.24%6.76M
-44.87%7.69M
-44.87%7.69M
-56.22%7.52M
-57.36%7.38M
Noncontrolling interests
-87.49%70.01K
-61.88%250.17K
-61.88%250.17K
-54.02%304.97K
-32.75%463.26K
-11.65%559.77K
-5.28%656.18K
-5.28%656.18K
-15.03%663.25K
-17.15%688.84K
Total equity
-120.36%-1.49M
-40.54%4.96M
-40.54%4.96M
-95.69%352.92K
-36.14%5.15M
-16.84%7.32M
-43.00%8.34M
-43.00%8.34M
-54.43%8.18M
-55.51%8.07M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Dec 31, 2024(FY)Sep 30, 2024(Q4)Sep 30, 2024(Q3)Jun 30, 2024(Q2)Mar 31, 2024(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 48.79%4.24M-26.80%3.91M-26.80%3.91M14.88%6.48M-55.93%2.93M-50.74%2.85M-46.08%5.34M-46.08%5.34M-51.87%5.64M-51.10%6.65M
-Cash and cash equivalents 48.99%4.22M-26.87%3.9M-26.87%3.9M14.91%6.47M-56.04%2.92M-50.85%2.84M-46.14%5.33M-46.14%5.33M-50.81%5.63M-26.04%6.63M
-Short-term investments 6.36%14.15K1.52%13.87K1.52%13.87K1.52%13.87K1.39%13.85K-3.02%13.31K-0.42%13.66K-0.42%13.66K-95.13%13.66K-99.70%13.66K
Receivables -16.29%11.27M4.03%12.89M4.03%12.89M8.36%9.69M56.79%15.06M50.13%13.46M93.06%12.39M93.06%12.39M-18.74%8.94M28.41%9.6M
-Accounts receivable -14.68%9.73M14.42%11.85M14.42%11.85M5.81%8.56M69.47%13.02M55.76%11.4M91.75%10.35M91.75%10.35M6.90%8.09M27.88%7.68M
-Loans receivable --------------18.13K-96.79%36.27K-95.17%54.4K--------------1.13M
-Taxes receivable --0-80.25%58.94K-80.25%58.94K--0--24.84K--311.49K25.96%298.5K25.96%298.5K--289.37K----
-Other receivables -9.03%1.54M-43.35%985.21K-43.35%985.21K96.83%1.12M149.20%1.98M225.06%1.69M122.46%1.74M122.46%1.74M12.27%566.52K--794.42K
Inventory 40.02%11.12M-20.03%6.99M-20.03%6.99M-13.62%7.53M-13.59%7.4M-7.74%7.94M2.96%8.74M2.96%8.74M3.09%8.72M21.15%8.56M
Prepaid assets 21.23%1.15M-26.01%1.31M-26.01%1.31M-32.71%1.46M165.32%1.77M-34.61%945.41K30.22%1.77M30.22%1.77M394.91%2.17M--665.53K
Restricted cash 4.96%1.24M49.35%1.52M49.35%1.52M43.06%1.15M81.69%1.17M-26.23%1.18M-35.38%1.02M-35.38%1.02M-46.98%805.27K-61.12%645.3K
Current deferred assets -3.10%34.89K175.08%71.36K175.08%71.36K45.62%87.62K--83.5K--36K-36.15%25.94K-36.15%25.94K--60.17K----
Total current assets 9.97%29.04M-8.86%26.7M-8.86%26.7M0.24%26.41M8.74%28.41M0.04%26.41M-7.79%29.29M-7.79%29.29M-20.52%26.34M-21.24%26.12M
Non current assets
Net PPE 2.38%11.53M-3.82%11.07M-3.82%11.07M25.32%10.52M50.95%11.1M47.66%11.26M45.25%11.51M45.25%11.51M-5.48%8.39M-22.46%7.35M
-Gross PPE 6.72%23.57M3.56%22.78M3.56%22.78M17.98%21.89M26.99%22.25M19.85%22.08M18.94%22M18.94%22M-9.96%18.55M-17.96%17.52M
-Accumulated depreciation -11.23%-12.03M-11.65%-11.71M-11.65%-11.71M-11.92%-11.37M-9.67%-11.15M-0.20%-10.82M0.77%-10.49M0.77%-10.49M13.35%-10.16M14.36%-10.17M
Goodwill and other intangible assets -15.37%3.71M-15.37%3.71M-15.37%3.71M8.50%4.24M12.16%4.38M12.16%4.38M12.16%4.38M12.16%4.38M-50.05%3.91M-50.05%3.91M
-Goodwill -15.37%3.71M-15.37%3.71M-15.37%3.71M8.50%4.24M12.16%4.38M12.16%4.38M12.16%4.38M12.16%4.38M-50.05%3.91M-50.05%3.91M
Investments and advances 8.33%1.3M9.09%1.2M9.09%1.2M20.00%1.2M20.00%1.2M20.00%1.2M10.00%1.1M10.00%1.1M0.00%1M0.00%1M
Long-term notes receivables ------0--0--00.00%761.59K0.00%761.59K0.00%761.59K0.00%761.59K--761.59K--761.59K
Non current accounts receivable -43.72%274.76K-32.34%456.61K-32.34%456.61K-34.45%453.33K-35.13%440.05K-26.60%488.17K--674.89K--674.89K--691.61K--678.33K
Non current prepaid assets 2.15%387.94K48.90%545.64K48.90%545.64K79.26%567.11K160.63%518.89K512.15%379.78K60.12%366.45K60.12%366.45K248.45%316.37K119.28%199.09K
Other non current assets 7.50%441.62K19.50%441.62K19.50%441.62K34.22%442.98K14.81%442.98K-15.13%410.82K116.26%369.56K116.26%369.56K24.09%330.04K103.51%385.82K
Total non current assets -6.57%17.65M-9.09%17.42M-9.09%17.42M13.12%17.42M31.92%18.84M30.18%18.89M36.96%19.16M36.96%19.16M-14.72%15.4M-23.14%14.28M
Total assets 3.07%46.69M-8.95%44.12M-8.95%44.12M4.99%43.83M16.93%47.25M10.73%45.3M5.89%48.45M5.89%48.45M-18.48%41.74M-21.92%40.4M
Liabilities
Current liabilities
Payables -17.53%3.64M-26.63%4.91M-26.63%4.91M7.27%4.05M83.85%6.19M61.04%4.42M110.03%6.69M110.03%6.69M-31.85%3.78M-31.26%3.37M
-accounts payable -17.26%3.47M-27.85%4.52M-27.85%4.52M-3.01%3.62M73.68%5.75M52.91%4.19M104.06%6.26M104.06%6.26M-30.97%3.73M-30.51%3.31M
-Total tax payable -22.55%172.69K-8.62%387.85K-8.62%387.85K788.27%435.92K673.01%441.78K--222.96K269.28%424.46K269.28%424.46K-65.31%49.08K-57.79%57.15K
Current accrued expenses 267.85%6.78M-26.94%2.03M-26.94%2.03M-33.61%2.35M-12.63%2.68M-43.23%1.84M23.69%2.78M23.69%2.78M200.49%3.54M133.89%3.06M
Current debt and capital lease obligation -40.98%11.69M1,072.00%8.69M1,072.00%8.69M481.96%4.17M681.45%5.73M2,414.51%19.8M-1.72%741.49K-1.72%741.49K-12.52%716.9K-19.04%732.68K
-Current debt -43.16%10.84M--7.86M--7.86M--3.39M--4.93M--19.07M----------------
-Current capital lease obligation 16.01%845.54K12.32%832.82K12.32%832.82K8.86%780.42K8.12%792.14K-7.45%728.88K-1.72%741.49K-1.72%741.49K-12.52%716.9K-19.04%732.68K
Current deferred liabilities 6.49%2.81M12.94%2.96M12.94%2.96M63.88%3.43M64.61%3.51M-12.05%2.63M61.38%2.62M61.38%2.62M-22.63%2.09M-21.79%2.13M
Other current liabilities -------------------------18.04%14.51M-18.04%14.51M0.23%17.19M4.59%16.44M
Current liabilities -13.18%24.91M-32.00%18.59M-32.00%18.59M-48.72%14M-29.66%18.11M6.79%28.7M7.17%27.34M7.17%27.34M-0.30%27.31M0.69%25.74M
Non current liabilities
Long term debt and capital lease obligation 58.09%12.94M25.08%14.43M25.08%14.43M254.98%18.11M323.14%23.02M101.42%8.19M175.33%11.54M175.33%11.54M14.62%5.1M-18.11%5.44M
-Long term debt 75.93%11.89M33.65%13.27M33.65%13.27M368.60%16.89M456.25%21.55M189.92%6.76M319.38%9.93M319.38%9.93M35.95%3.61M-16.29%3.87M
-Long term capital lease obligation -26.45%1.05M-27.87%1.16M-27.87%1.16M-18.73%1.22M-6.52%1.46M-17.67%1.43M-11.81%1.61M-11.81%1.61M-16.82%1.5M-22.30%1.56M
Non current deferred liabilities -19.24%560.65K-9.60%658.02K-9.60%658.02K1.38%631.58K12.63%654.62K16.62%694.25K19.86%727.93K19.86%727.93K6.68%623.01K-0.14%581.19K
Derivative product liabilities --9.45M--5.2M--5.2M--10.43M----------0--0--------
Other non current liabilities -24.20%307.47K-45.16%274.96K-45.16%274.96K-43.29%299.99K-44.94%317.09K-30.35%405.62K-37.94%501.35K-37.94%501.35K-35.93%528.95K-29.94%575.9K
Total non current liabilities 150.52%23.27M61.07%20.56M61.07%20.56M371.25%29.47M263.65%23.99M77.15%9.29M127.75%12.77M127.75%12.77M6.71%6.25M-18.02%6.6M
Total liabilities 26.84%48.18M-2.38%39.15M-2.38%39.15M29.53%43.47M30.18%42.09M18.28%37.98M28.89%40.11M28.89%40.11M0.93%33.56M-3.79%32.33M
Shareholders'equity
Share capital 25.64%4.42K7.55%2.52K7.55%2.52K471.34%18.86K14.80%3.51K16.09%3.51K-18.72%2.34K-18.72%2.34K-88.37%3.3K-88.54%3.06K
-common stock 69.03%1.79K1,300.00%141,300.00%141,606.99%16.35K27.54%1.06K33.00%1.06K-99.87%1-99.87%1-96.35%958-96.64%828
-Preferred stock 7.00%2.63K7.00%2.51K7.00%2.51K7.00%2.51K10.08%2.46K10.08%2.46K10.05%2.34K10.05%2.34K10.05%2.34K10.00%2.23K
Retained earnings -53.23%-100.11M-11.27%-71.36M-11.27%-71.36M-20.40%-75.79M-8.10%-66.81M-6.74%-65.33M-16.74%-64.13M-16.74%-64.13M-21.55%-62.95M-20.92%-61.8M
Paid-in capital 39.09%95.88M6.36%73.26M6.36%73.26M6.88%73M2.82%68.94M3.01%68.93M3.36%68.88M3.36%68.88M2.68%68.3M1.92%67.04M
Less: Treasury stock 0.00%148.29K0.00%148.29K0.00%148.29K0.00%148.29K47.01%218K0.00%148.29K0.00%148.29K0.00%148.29K0.00%148.29K0.00%148.29K
Gains losses not affecting retained earnings -14.73%2.82M-4.14%2.95M-4.14%2.95M28.44%2.96M21.45%2.77M27.04%3.3M29.41%3.08M29.41%3.08M-9.75%2.31M-17.14%2.28M
Total stockholders'equity -123.09%-1.56M-38.72%4.71M-38.72%4.71M-99.36%47.96K-36.46%4.69M-17.24%6.76M-44.87%7.69M-44.87%7.69M-56.22%7.52M-57.36%7.38M
Noncontrolling interests -87.49%70.01K-61.88%250.17K-61.88%250.17K-54.02%304.97K-32.75%463.26K-11.65%559.77K-5.28%656.18K-5.28%656.18K-15.03%663.25K-17.15%688.84K
Total equity -120.36%-1.49M-40.54%4.96M-40.54%4.96M-95.69%352.92K-36.14%5.15M-16.84%7.32M-43.00%8.34M-43.00%8.34M-54.43%8.18M-55.51%8.07M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------
Market Insights
Fed Rate Cut Beneficiaries Fed Rate Cut Beneficiaries

Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.