US Stock MarketDetailed Quotes

FAMI Farmmi

Watchlist
  • 0.2802
  • -0.0038-1.34%
Close Dec 20 16:00 ET
  • 0.2835
  • +0.0033+1.18%
Post 20:01 ET
2.99MMarket Cap14.01P/E (TTM)

Farmmi Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Mar 31, 2024
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q2)Mar 31, 2023
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
(Q2)Mar 31, 2022
(FY)Sep 30, 2021
(Q4)Sep 30, 2021
(Q2)Mar 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-98.38%1.12M
-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
12,775.01%62.05M
235.54%17.11M
-Cash and cash equivalents
-98.38%1.12M
-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
12,195.32%59.25M
181.68%14.37M
-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
Receivables
-15.53%23.13M
-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
133.23%24.47M
8.93%13.8M
-Accounts receivable
-15.82%23.02M
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
133.31%24.48M
52.77%13.8M
-Notes receivable
----
--0
--0
-99.64%14.28K
--3.53M
--3.53M
--3.94M
--0
--0
----
-Related party accounts receivable
424.64%109.76K
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
6,750.92%30.29M
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
1,007.04%1.37M
18.99%845K
Prepaid assets
70.31%100.44M
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
185.73%66.72M
11.42%13.07M
Restricted cash
----
----
----
----
----
----
----
----
----
179.82%1.68M
Other current assets
-30.92%283.49K
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
297.72%490.7K
-32.29%129.58K
Total current assets
-0.83%155.27M
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
319.49%155.31M
50.43%46.64M
Non current assets
Net PPE
-19.74%492.36K
-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
169.85%856.15K
69.94%1M
-Gross PPE
-24.70%541.16K
-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
157.06%922.61K
46.69%1.21M
-Accumulated depreciation
53.61%-48.8K
-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
-59.61%-66.47K
11.06%-211.24K
Goodwill and other intangible assets
----
--0
--0
--0
-83.16%6.75K
-83.16%6.75K
-63.26%22.72K
-50.31%40.08K
-50.31%40.08K
-47.42%61.83K
Investments and advances
-4.90%6.97M
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
424.64%109.76K
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
----
Other non current assets
-7.04%9.18M
-4.68%9.19M
-4.68%9.19M
--9.87M
5,462.22%9.64M
5,462.22%9.64M
----
-77.54%173.29K
-77.54%173.29K
----
Total non current assets
-7.47%16.64M
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
787.62%10.38M
50.43%1.06M
Total assets
-1.51%171.91M
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
333.83%165.69M
50.43%47.71M
Liabilities
Current liabilities
Payables
-65.31%418.66K
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
-93.41%114.09K
-20.68%2.28M
-accounts payable
-96.72%39.58K
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
237.26%56.46K
-41.13%261.61K
-Due to related parties current
29,866.96%379.08K
3,466.88%33.81K
3,466.88%33.81K
--1.27K
-98.36%948
-98.36%948
--0
-96.64%57.63K
-96.64%57.63K
14.01%2.02M
Current debt and capital lease obligation
-36.54%5.93M
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
-40.55%2.33M
45.18%5.47M
-Current debt
-36.63%5.88M
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
-43.15%2.17M
43.42%5.33M
-Current capital lease obligation
-24.76%53.13K
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
64.56%155.53K
162.47%145.65K
Other current liabilities
-41.03%770.39K
-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
-37.34%1.7M
2,125.20%156.21K
Current liabilities
-39.96%7.12M
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
-50.45%4.15M
18.00%7.91M
Non current liabilities
Long term debt and capital lease obligation
-37.71%436.54K
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
384.58%748.06K
122.90%577.02K
-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
-16.69%436.54K
-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
292.42%605.79K
122.90%577.02K
Total non current liabilities
-37.71%436.54K
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
11.78%748.06K
122.90%577.02K
Total liabilities
-39.84%7.56M
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
-45.84%4.89M
21.90%8.49M
Shareholders'equity
Share capital
135.77%1.41M
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
2,618.50%557.78K
73.53%27.58K
-common stock
135.77%1.41M
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
2,618.50%557.78K
73.53%27.58K
Retained earnings
8.18%18.51M
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
34.81%9.13M
29.78%8.13M
Paid-in capital
6.03%161.34M
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
623.32%147.09M
54.41%27.84M
Gains losses not affecting retained earnings
-114.45%-16.9M
-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
167.69%3.1M
679.52%2.32M
Total stockholders'equity
1.46%164.35M
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
465.23%159.88M
60.23%38.32M
Noncontrolling interests
----
--0
--0
--0
--0
--0
--0
5.35%916.51K
5.35%916.51K
7.66%902.62K
Total equity
1.46%164.35M
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
451.51%160.79M
58.45%39.22M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
(Q2)Mar 31, 2024(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q2)Mar 31, 2023(FY)Sep 30, 2022(Q4)Sep 30, 2022(Q2)Mar 31, 2022(FY)Sep 30, 2021(Q4)Sep 30, 2021(Q2)Mar 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -98.38%1.12M-83.24%12.79M-83.24%12.79M26.35%69.36M23.00%76.32M23.00%76.32M220.76%54.89M12,775.01%62.05M12,775.01%62.05M235.54%17.11M
-Cash and cash equivalents -98.38%1.12M-68.93%12.79M-68.93%12.79M354.12%69.36M-30.52%41.17M-30.52%41.17M6.31%15.27M12,195.32%59.25M12,195.32%59.25M181.68%14.37M
-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
Receivables -15.53%23.13M-9.47%24.79M-9.47%24.79M-12.59%27.38M11.88%27.38M11.88%27.38M126.92%31.32M133.23%24.47M133.23%24.47M8.93%13.8M
-Accounts receivable -15.82%23.02M50.92%24.68M50.92%24.68M42.76%27.34M-33.21%16.35M-33.21%16.35M38.76%19.15M133.31%24.48M133.31%24.48M52.77%13.8M
-Notes receivable ------0--0-99.64%14.28K--3.53M--3.53M--3.94M--0--0----
-Related party accounts receivable 424.64%109.76K84.98%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 6,750.92%30.29M444.74%3.9M444.74%3.9M-91.68%442.18K-47.78%716.28K-47.78%716.28K529.05%5.32M1,007.04%1.37M1,007.04%1.37M18.99%845K
Prepaid assets 70.31%100.44M139.23%116.34M139.23%116.34M-16.51%58.98M-27.11%48.63M-27.11%48.63M440.39%70.64M185.73%66.72M185.73%66.72M11.42%13.07M
Restricted cash ------------------------------------179.82%1.68M
Other current assets -30.92%283.49K68.10%347.23K68.10%347.23K4.77%410.36K-57.90%206.57K-57.90%206.57K202.28%391.68K297.72%490.7K297.72%490.7K-32.29%129.58K
Total current assets -0.83%155.27M3.21%158.17M3.21%158.17M-3.69%156.56M-1.32%153.25M-1.32%153.25M248.53%162.56M319.49%155.31M319.49%155.31M50.43%46.64M
Non current assets
Net PPE -19.74%492.36K-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%856.15K169.85%856.15K69.94%1M
-Gross PPE -24.70%541.16K-3.20%646.93K-3.20%646.93K-94.08%718.64K-27.57%668.3K-27.57%668.3K900.64%12.14M157.06%922.61K157.06%922.61K46.69%1.21M
-Accumulated depreciation 53.61%-48.8K-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-59.61%-66.47K11.06%-211.24K
Goodwill and other intangible assets ------0--0--0-83.16%6.75K-83.16%6.75K-63.26%22.72K-50.31%40.08K-50.31%40.08K-47.42%61.83K
Investments and advances -4.90%6.97M4,808.51%6.9M4,808.51%6.9M4,547.84%7.33M--140.58K--140.58K--157.75K--0--0----
Related parties assets 424.64%109.76K84.98%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----
Other non current assets -7.04%9.18M-4.68%9.19M-4.68%9.19M--9.87M5,462.22%9.64M5,462.22%9.64M-----77.54%173.29K-77.54%173.29K----
Total non current assets -7.47%16.64M57.94%16.63M57.94%16.63M46.96%17.99M1.42%10.53M1.42%10.53M1,049.99%12.24M787.62%10.38M787.62%10.38M50.43%1.06M
Total assets -1.51%171.91M6.73%174.8M6.73%174.8M-0.14%174.55M-1.15%163.78M-1.15%163.78M266.41%174.8M333.83%165.69M333.83%165.69M50.43%47.71M
Liabilities
Current liabilities
Payables -65.31%418.66K475.25%1.14M475.25%1.14M69.95%1.21M73.62%198.09K73.62%198.09K-68.87%710.07K-93.41%114.09K-93.41%114.09K-20.68%2.28M
-accounts payable -96.72%39.58K460.87%1.11M460.87%1.11M69.77%1.21M249.18%197.14K249.18%197.14K171.42%710.07K237.26%56.46K237.26%56.46K-41.13%261.61K
-Due to related parties current 29,866.96%379.08K3,466.88%33.81K3,466.88%33.81K--1.27K-98.36%948-98.36%948--0-96.64%57.63K-96.64%57.63K14.01%2.02M
Current debt and capital lease obligation -36.54%5.93M139.03%8.95M139.03%8.95M285.41%9.35M60.75%3.74M60.75%3.74M-55.69%2.42M-40.55%2.33M-40.55%2.33M45.18%5.47M
-Current debt -36.63%5.88M140.17%8.88M140.17%8.88M319.96%9.27M70.12%3.7M70.12%3.7M-58.54%2.21M-43.15%2.17M-43.15%2.17M43.42%5.33M
-Current capital lease obligation -24.76%53.13K48.38%69.06K48.38%69.06K-67.35%70.62K-70.07%46.54K-70.07%46.54K48.50%216.29K64.56%155.53K64.56%155.53K162.47%145.65K
Other current liabilities -41.03%770.39K-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-37.34%1.7M2,125.20%156.21K
Current liabilities -39.96%7.12M29.24%10.71M29.24%10.71M262.01%11.86M99.91%8.29M99.91%8.29M-58.58%3.28M-50.45%4.15M-50.45%4.15M18.00%7.91M
Non current liabilities
Long term debt and capital lease obligation -37.71%436.54K160.82%2.11M160.82%2.11M-19.82%700.79K8.21%809.44K8.21%809.44K51.46%873.98K384.58%748.06K384.58%748.06K122.90%577.02K
-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 -16.69%436.54K-11.32%458.62K-11.32%458.62K-32.50%523.99K-14.63%517.16K-14.63%517.16K34.54%776.33K292.42%605.79K292.42%605.79K122.90%577.02K
Total non current liabilities -37.71%436.54K160.82%2.11M160.82%2.11M-19.82%700.79K8.21%809.44K8.21%809.44K51.46%873.98K11.78%748.06K11.78%748.06K122.90%577.02K
Total liabilities -39.84%7.56M40.94%12.82M40.94%12.82M202.65%12.56M85.90%9.1M85.90%9.1M-51.10%4.15M-45.84%4.89M-45.84%4.89M21.90%8.49M
Shareholders'equity
Share capital 135.77%1.41M103.89%1.22M103.89%1.22M0.00%597.68K7.17%597.77K7.17%597.77K2,066.75%597.68K2,618.50%557.78K2,618.50%557.78K73.53%27.58K
-common stock 135.77%1.41M103.89%1.22M103.89%1.22M0.00%597.68K7.17%597.77K7.17%597.77K2,066.75%597.68K2,618.50%557.78K2,618.50%557.78K73.53%27.58K
Retained earnings 8.18%18.51M13.43%16.91M13.43%16.91M39.63%17.11M63.28%14.9M63.28%14.9M50.75%12.26M34.81%9.13M34.81%9.13M29.78%8.13M
Paid-in capital 6.03%161.34M5.53%160.57M5.53%160.57M-0.00%152.16M3.45%152.16M3.45%152.16M446.51%152.16M623.32%147.09M623.32%147.09M54.41%27.84M
Gains losses not affecting retained earnings -114.45%-16.9M-28.82%-16.72M-28.82%-16.72M-239.92%-7.88M-518.36%-12.98M-518.36%-12.98M143.18%5.63M167.69%3.1M167.69%3.1M679.52%2.32M
Total stockholders'equity 1.46%164.35M4.71%161.98M4.71%161.98M-5.07%161.99M-3.25%154.68M-3.25%154.68M345.37%170.65M465.23%159.88M465.23%159.88M60.23%38.32M
Noncontrolling interests ------0--0--0--0--0--05.35%916.51K5.35%916.51K7.66%902.62K
Total equity 1.46%164.35M4.71%161.98M4.71%161.98M-5.07%161.99M-3.80%154.68M-3.80%154.68M335.12%170.65M451.51%160.79M451.51%160.79M58.45%39.22M
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