AU Stock MarketDetailed Quotes

FFGO Fatfish Group Ltd

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  • 0.005
  • +0.001+25.00%
20min DelayMarket Closed Nov 27 15:27 AET
7.03MMarket Cap0.00P/E (Static)

Fatfish Group Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2023
(Q4)Dec 30, 2023
(FY)Dec 30, 2022
(Q4)Dec 30, 2022
(FY)Dec 30, 2021
(Q4)Dec 30, 2021
(FY)Dec 30, 2020
(Q4)Dec 30, 2020
(FY)Dec 30, 2019
(Q4)Dec 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
197.21%7.86M
197.21%7.86M
-52.08%2.64M
-52.08%2.64M
167.29%5.52M
167.29%5.52M
43.17%2.06M
43.17%2.06M
--1.44M
--1.44M
-Cash and cash equivalents
116.29%2.27M
116.29%2.27M
-74.21%1.05M
-74.21%1.05M
282.97%4.08M
282.97%4.08M
78.51%1.06M
78.51%1.06M
--596.47K
--596.47K
-Short term investments
250.65%5.58M
250.65%5.58M
10.64%1.59M
10.64%1.59M
44.02%1.44M
44.02%1.44M
18.23%999.16K
18.23%999.16K
--845.07K
--845.07K
Receivables
11.06%750.05K
11.06%750.05K
-32.09%675.33K
-32.09%675.33K
274.08%994.49K
274.08%994.49K
-24.69%265.85K
-24.69%265.85K
--353.03K
--353.03K
-Accounts receivable
27.26%747.52K
27.26%747.52K
7.50%587.38K
7.50%587.38K
128.63%546.37K
128.63%546.37K
-13.46%238.98K
-13.46%238.98K
--276.17K
--276.17K
-Other receivables
-21.35%130.92K
-21.35%130.92K
-62.85%166.47K
-62.85%166.47K
1,567.60%448.12K
1,567.60%448.12K
-65.04%26.87K
-65.04%26.87K
--76.87K
--76.87K
-Recievables adjustments allowances
-63.52%-128.39K
-63.52%-128.39K
---78.52K
---78.52K
----
----
----
----
----
----
Inventory
----
----
----
----
----
----
----
----
--130.99K
--130.99K
Prepaid assets
3,993.53%1.72M
3,993.53%1.72M
0.80%41.95K
0.80%41.95K
70.45%41.62K
70.45%41.62K
-54.30%24.42K
-54.30%24.42K
--53.42K
--53.42K
Total current assets
207.19%10.32M
207.19%10.32M
-48.71%3.36M
-48.71%3.36M
178.34%6.55M
178.34%6.55M
18.96%2.35M
18.96%2.35M
--1.98M
--1.98M
Non current assets
Net PPE
-43.88%318.61K
-43.88%318.61K
-2.66%567.74K
-2.66%567.74K
-13.57%583.27K
-13.57%583.27K
-26.57%674.87K
-26.57%674.87K
--919.09K
--919.09K
-Gross PPE
-0.54%3.51M
-0.54%3.51M
14.97%3.53M
14.97%3.53M
11.07%3.07M
11.07%3.07M
-5.02%2.77M
-5.02%2.77M
--2.91M
--2.91M
-Accumulated depreciation
-7.76%-3.2M
-7.76%-3.2M
-19.10%-2.97M
-19.10%-2.97M
-19.03%-2.49M
-19.03%-2.49M
-4.92%-2.09M
-4.92%-2.09M
---1.99M
---1.99M
Investments and advances
-64.66%3.24M
-64.66%3.24M
-49.94%9.16M
-49.94%9.16M
14.67%18.29M
14.67%18.29M
28.12%15.95M
28.12%15.95M
--12.45M
--12.45M
-Long term equity investment
----
----
----
----
19.33%14.81M
19.33%14.81M
46.18%12.41M
46.18%12.41M
--8.49M
--8.49M
-Financial asset investment
-43.93%3.06M
-43.93%3.06M
--5.46M
--5.46M
----
----
----
----
--2.61M
--2.61M
-Including:Trading securities
-43.93%3.06M
-43.93%3.06M
--5.46M
--5.46M
----
----
----
----
--2.61M
--2.61M
-Other investment
-95.22%176.94K
-95.22%176.94K
6.16%3.7M
6.16%3.7M
-1.66%3.49M
-1.66%3.49M
161.87%3.54M
161.87%3.54M
--1.35M
--1.35M
Goodwill and other intangible assets
-21.85%1.46M
-21.85%1.46M
-37.01%1.87M
-37.01%1.87M
1,794.63%2.96M
1,794.63%2.96M
-70.64%156.34K
-70.64%156.34K
--532.57K
--532.57K
-Goodwill
----
----
----
----
--998.22K
--998.22K
----
----
----
----
-Other intangible assets
-21.85%1.46M
-21.85%1.46M
-5.00%1.87M
-5.00%1.87M
1,156.13%1.96M
1,156.13%1.96M
-70.64%156.34K
-70.64%156.34K
--532.57K
--532.57K
Total non current assets
-56.75%5.01M
-56.75%5.01M
-46.92%11.59M
-46.92%11.59M
30.11%21.84M
30.11%21.84M
20.72%16.78M
20.72%16.78M
--13.9M
--13.9M
Total assets
2.58%15.34M
2.58%15.34M
-47.33%14.95M
-47.33%14.95M
48.35%28.39M
48.35%28.39M
20.50%19.14M
20.50%19.14M
--15.88M
--15.88M
Liabilities
Current liabilities
Current debt and capital lease obligation
29.78%9.24M
29.78%9.24M
-5.75%7.12M
-5.75%7.12M
939.72%7.55M
939.72%7.55M
-67.88%726.54K
-67.88%726.54K
--2.26M
--2.26M
-Current debt
31.63%9.16M
31.63%9.16M
-6.49%6.96M
-6.49%6.96M
1,013.16%7.44M
1,013.16%7.44M
-69.62%668.3K
-69.62%668.3K
--2.2M
--2.2M
-Current capital lease obligation
-49.36%82.45K
-49.36%82.45K
41.96%162.8K
41.96%162.8K
96.93%114.68K
96.93%114.68K
-6.66%58.23K
-6.66%58.23K
--62.39K
--62.39K
Payables
29.08%3.37M
29.08%3.37M
52.25%2.61M
52.25%2.61M
508.07%1.71M
508.07%1.71M
-73.50%281.9K
-73.50%281.9K
--1.06M
--1.06M
-accounts payable
-33.61%650.17K
-33.61%650.17K
-36.76%979.3K
-36.76%979.3K
770.34%1.55M
770.34%1.55M
24.03%177.92K
24.03%177.92K
--143.46K
--143.46K
-Other payable
66.72%2.72M
66.72%2.72M
884.44%1.63M
884.44%1.63M
59.30%165.64K
59.30%165.64K
-88.70%103.98K
-88.70%103.98K
--920.5K
--920.5K
Other current liabilities
----
----
--4.25M
--4.25M
----
----
----
----
--949.92K
--949.92K
Current liabilities
-9.83%12.61M
-9.83%12.61M
50.86%13.98M
50.86%13.98M
819.06%9.27M
819.06%9.27M
-76.42%1.01M
-76.42%1.01M
--4.28M
--4.28M
Non current liabilities
Long term debt and capital lease obligation
----
----
-16.70%65.22K
-16.70%65.22K
126.03%78.29K
126.03%78.29K
-33.46%34.64K
-33.46%34.64K
--52.05K
--52.05K
-Long term capital lease obligation
----
----
-16.70%65.22K
-16.70%65.22K
126.03%78.29K
126.03%78.29K
-33.46%34.64K
-33.46%34.64K
--52.05K
--52.05K
Total non current liabilities
--0
--0
-16.70%65.22K
-16.70%65.22K
126.03%78.29K
126.03%78.29K
-33.46%34.64K
-33.46%34.64K
--52.05K
--52.05K
Total liabilities
-10.25%12.61M
-10.25%12.61M
50.29%14.05M
50.29%14.05M
796.05%9.35M
796.05%9.35M
-75.90%1.04M
-75.90%1.04M
--4.33M
--4.33M
Shareholders'equity
Share capital
9.23%52M
9.23%52M
-0.92%47.6M
-0.92%47.6M
17.20%48.05M
17.20%48.05M
4.69%41M
4.69%41M
--39.16M
--39.16M
-common stock
9.23%52M
9.23%52M
-0.92%47.6M
-0.92%47.6M
17.20%48.05M
17.20%48.05M
4.69%41M
4.69%41M
--39.16M
--39.16M
Retained earnings
-5.55%-47.39M
-5.55%-47.39M
-45.57%-44.9M
-45.57%-44.9M
-42.71%-30.85M
-42.71%-30.85M
10.42%-21.61M
10.42%-21.61M
---24.13M
---24.13M
Gains losses not affecting retained earnings
-0.03%-16.99M
-0.03%-16.99M
-844.26%-16.98M
-844.26%-16.98M
373.13%2.28M
373.13%2.28M
83.66%-835.42K
83.66%-835.42K
---5.11M
---5.11M
Total stockholders'equity
13.28%-12.38M
13.28%-12.38M
-173.30%-14.28M
-173.30%-14.28M
5.06%19.48M
5.06%19.48M
86.97%18.55M
86.97%18.55M
--9.92M
--9.92M
Noncontrolling interests
-0.47%15.11M
-0.47%15.11M
3,550.05%15.19M
3,550.05%15.19M
2.45%-440.15K
2.45%-440.15K
-127.60%-451.18K
-127.60%-451.18K
--1.63M
--1.63M
Total equity
201.70%2.73M
201.70%2.73M
-95.25%904.67K
-95.25%904.67K
5.24%19.04M
5.24%19.04M
56.62%18.09M
56.62%18.09M
--11.55M
--11.55M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 30, 2023(Q4)Dec 30, 2023(FY)Dec 30, 2022(Q4)Dec 30, 2022(FY)Dec 30, 2021(Q4)Dec 30, 2021(FY)Dec 30, 2020(Q4)Dec 30, 2020(FY)Dec 30, 2019(Q4)Dec 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments 197.21%7.86M197.21%7.86M-52.08%2.64M-52.08%2.64M167.29%5.52M167.29%5.52M43.17%2.06M43.17%2.06M--1.44M--1.44M
-Cash and cash equivalents 116.29%2.27M116.29%2.27M-74.21%1.05M-74.21%1.05M282.97%4.08M282.97%4.08M78.51%1.06M78.51%1.06M--596.47K--596.47K
-Short term investments 250.65%5.58M250.65%5.58M10.64%1.59M10.64%1.59M44.02%1.44M44.02%1.44M18.23%999.16K18.23%999.16K--845.07K--845.07K
Receivables 11.06%750.05K11.06%750.05K-32.09%675.33K-32.09%675.33K274.08%994.49K274.08%994.49K-24.69%265.85K-24.69%265.85K--353.03K--353.03K
-Accounts receivable 27.26%747.52K27.26%747.52K7.50%587.38K7.50%587.38K128.63%546.37K128.63%546.37K-13.46%238.98K-13.46%238.98K--276.17K--276.17K
-Other receivables -21.35%130.92K-21.35%130.92K-62.85%166.47K-62.85%166.47K1,567.60%448.12K1,567.60%448.12K-65.04%26.87K-65.04%26.87K--76.87K--76.87K
-Recievables adjustments allowances -63.52%-128.39K-63.52%-128.39K---78.52K---78.52K------------------------
Inventory ----------------------------------130.99K--130.99K
Prepaid assets 3,993.53%1.72M3,993.53%1.72M0.80%41.95K0.80%41.95K70.45%41.62K70.45%41.62K-54.30%24.42K-54.30%24.42K--53.42K--53.42K
Total current assets 207.19%10.32M207.19%10.32M-48.71%3.36M-48.71%3.36M178.34%6.55M178.34%6.55M18.96%2.35M18.96%2.35M--1.98M--1.98M
Non current assets
Net PPE -43.88%318.61K-43.88%318.61K-2.66%567.74K-2.66%567.74K-13.57%583.27K-13.57%583.27K-26.57%674.87K-26.57%674.87K--919.09K--919.09K
-Gross PPE -0.54%3.51M-0.54%3.51M14.97%3.53M14.97%3.53M11.07%3.07M11.07%3.07M-5.02%2.77M-5.02%2.77M--2.91M--2.91M
-Accumulated depreciation -7.76%-3.2M-7.76%-3.2M-19.10%-2.97M-19.10%-2.97M-19.03%-2.49M-19.03%-2.49M-4.92%-2.09M-4.92%-2.09M---1.99M---1.99M
Investments and advances -64.66%3.24M-64.66%3.24M-49.94%9.16M-49.94%9.16M14.67%18.29M14.67%18.29M28.12%15.95M28.12%15.95M--12.45M--12.45M
-Long term equity investment ----------------19.33%14.81M19.33%14.81M46.18%12.41M46.18%12.41M--8.49M--8.49M
-Financial asset investment -43.93%3.06M-43.93%3.06M--5.46M--5.46M------------------2.61M--2.61M
-Including:Trading securities -43.93%3.06M-43.93%3.06M--5.46M--5.46M------------------2.61M--2.61M
-Other investment -95.22%176.94K-95.22%176.94K6.16%3.7M6.16%3.7M-1.66%3.49M-1.66%3.49M161.87%3.54M161.87%3.54M--1.35M--1.35M
Goodwill and other intangible assets -21.85%1.46M-21.85%1.46M-37.01%1.87M-37.01%1.87M1,794.63%2.96M1,794.63%2.96M-70.64%156.34K-70.64%156.34K--532.57K--532.57K
-Goodwill ------------------998.22K--998.22K----------------
-Other intangible assets -21.85%1.46M-21.85%1.46M-5.00%1.87M-5.00%1.87M1,156.13%1.96M1,156.13%1.96M-70.64%156.34K-70.64%156.34K--532.57K--532.57K
Total non current assets -56.75%5.01M-56.75%5.01M-46.92%11.59M-46.92%11.59M30.11%21.84M30.11%21.84M20.72%16.78M20.72%16.78M--13.9M--13.9M
Total assets 2.58%15.34M2.58%15.34M-47.33%14.95M-47.33%14.95M48.35%28.39M48.35%28.39M20.50%19.14M20.50%19.14M--15.88M--15.88M
Liabilities
Current liabilities
Current debt and capital lease obligation 29.78%9.24M29.78%9.24M-5.75%7.12M-5.75%7.12M939.72%7.55M939.72%7.55M-67.88%726.54K-67.88%726.54K--2.26M--2.26M
-Current debt 31.63%9.16M31.63%9.16M-6.49%6.96M-6.49%6.96M1,013.16%7.44M1,013.16%7.44M-69.62%668.3K-69.62%668.3K--2.2M--2.2M
-Current capital lease obligation -49.36%82.45K-49.36%82.45K41.96%162.8K41.96%162.8K96.93%114.68K96.93%114.68K-6.66%58.23K-6.66%58.23K--62.39K--62.39K
Payables 29.08%3.37M29.08%3.37M52.25%2.61M52.25%2.61M508.07%1.71M508.07%1.71M-73.50%281.9K-73.50%281.9K--1.06M--1.06M
-accounts payable -33.61%650.17K-33.61%650.17K-36.76%979.3K-36.76%979.3K770.34%1.55M770.34%1.55M24.03%177.92K24.03%177.92K--143.46K--143.46K
-Other payable 66.72%2.72M66.72%2.72M884.44%1.63M884.44%1.63M59.30%165.64K59.30%165.64K-88.70%103.98K-88.70%103.98K--920.5K--920.5K
Other current liabilities ----------4.25M--4.25M------------------949.92K--949.92K
Current liabilities -9.83%12.61M-9.83%12.61M50.86%13.98M50.86%13.98M819.06%9.27M819.06%9.27M-76.42%1.01M-76.42%1.01M--4.28M--4.28M
Non current liabilities
Long term debt and capital lease obligation ---------16.70%65.22K-16.70%65.22K126.03%78.29K126.03%78.29K-33.46%34.64K-33.46%34.64K--52.05K--52.05K
-Long term capital lease obligation ---------16.70%65.22K-16.70%65.22K126.03%78.29K126.03%78.29K-33.46%34.64K-33.46%34.64K--52.05K--52.05K
Total non current liabilities --0--0-16.70%65.22K-16.70%65.22K126.03%78.29K126.03%78.29K-33.46%34.64K-33.46%34.64K--52.05K--52.05K
Total liabilities -10.25%12.61M-10.25%12.61M50.29%14.05M50.29%14.05M796.05%9.35M796.05%9.35M-75.90%1.04M-75.90%1.04M--4.33M--4.33M
Shareholders'equity
Share capital 9.23%52M9.23%52M-0.92%47.6M-0.92%47.6M17.20%48.05M17.20%48.05M4.69%41M4.69%41M--39.16M--39.16M
-common stock 9.23%52M9.23%52M-0.92%47.6M-0.92%47.6M17.20%48.05M17.20%48.05M4.69%41M4.69%41M--39.16M--39.16M
Retained earnings -5.55%-47.39M-5.55%-47.39M-45.57%-44.9M-45.57%-44.9M-42.71%-30.85M-42.71%-30.85M10.42%-21.61M10.42%-21.61M---24.13M---24.13M
Gains losses not affecting retained earnings -0.03%-16.99M-0.03%-16.99M-844.26%-16.98M-844.26%-16.98M373.13%2.28M373.13%2.28M83.66%-835.42K83.66%-835.42K---5.11M---5.11M
Total stockholders'equity 13.28%-12.38M13.28%-12.38M-173.30%-14.28M-173.30%-14.28M5.06%19.48M5.06%19.48M86.97%18.55M86.97%18.55M--9.92M--9.92M
Noncontrolling interests -0.47%15.11M-0.47%15.11M3,550.05%15.19M3,550.05%15.19M2.45%-440.15K2.45%-440.15K-127.60%-451.18K-127.60%-451.18K--1.63M--1.63M
Total equity 201.70%2.73M201.70%2.73M-95.25%904.67K-95.25%904.67K5.24%19.04M5.24%19.04M56.62%18.09M56.62%18.09M--11.55M--11.55M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

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Price Target

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Symbol
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% Chg

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