US Stock MarketDetailed Quotes

FUST FUSE GROUP HOLDING INC

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  • 0.060
  • 0.0000.00%
15min DelayClose Jul 19 16:00 ET
3.98MMarket Cap-8571P/E (TTM)

FUSE GROUP HOLDING INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
(Q1)Dec 31, 2022
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
(Q3)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-4.22%38.05K
-16.52%56.42K
-19.42%26.59K
-19.42%26.59K
-54.01%22.08K
-70.95%39.72K
-16.56%67.58K
-75.65%33K
-75.65%33K
-62.16%48K
-Cash and cash equivalents
-4.22%38.05K
-16.52%56.42K
-19.42%26.59K
-19.42%26.59K
-54.01%22.08K
-70.95%39.72K
-16.56%67.58K
-75.65%33K
-75.65%33K
-62.16%48K
Prepaid assets
-1.30%5.17K
7.51%8.92K
5.41%12.67K
5.41%12.67K
5.13%16.35K
12.19%5.24K
-24.39%8.3K
-47.48%12.02K
-47.48%12.02K
-20.75%15.56K
Total current assets
-3.88%43.22K
-13.89%65.34K
-12.79%39.26K
-12.79%39.26K
-39.54%38.43K
-68.21%44.96K
-46.55%75.88K
-71.58%45.01K
-71.58%45.01K
-56.61%63.56K
Non current assets
Net PPE
-60.13%18.82K
-52.58%25.7K
-46.08%32.95K
-46.08%32.95K
-40.97%40.11K
-36.84%47.2K
1,388.00%54.19K
819.52%61.11K
819.52%61.11K
-93.30%67.96K
-Gross PPE
-44.70%33.41K
-39.83%40.3K
-35.87%47.09K
-35.87%47.09K
-32.60%53.8K
-29.85%60.43K
358.76%66.97K
330.59%73.43K
330.59%73.43K
-92.20%79.82K
-Accumulated depreciation
-10.32%-14.6K
-14.25%-14.6K
-14.78%-14.14K
-14.78%-14.14K
-15.35%-13.69K
-15.96%-13.23K
-16.62%-12.78K
-18.39%-12.32K
-18.39%-12.32K
-20.34%-11.87K
Non current prepaid assets
----
----
----
----
----
----
--0
----
----
----
Total non current assets
-60.13%18.82K
-52.58%25.7K
-46.08%32.95K
-46.08%32.95K
-40.97%40.11K
-36.84%47.2K
1,388.00%54.19K
819.52%61.11K
819.52%61.11K
-96.63%67.96K
Total assets
-32.69%62.03K
-30.01%91.04K
-31.96%72.21K
-31.96%72.21K
-40.28%78.54K
-57.37%92.16K
-10.67%130.07K
-35.69%106.13K
-35.69%106.13K
-93.91%131.51K
Liabilities
Current liabilities
Payables
2,893.57%146.24K
3,532.35%142.82K
878.33%45.69K
878.33%45.69K
-76.56%2.97K
-58.74%4.89K
-39.16%3.93K
-82.57%4.67K
-82.57%4.67K
172.88%12.67K
-Total tax payable
5.17%2.01K
-85.01%330
--1.95K
--1.95K
----
-28.18%1.91K
1,210.71%2.2K
----
----
----
-Due to related parties current
--139.52K
--139.52K
--35.97K
--35.97K
----
----
----
--0
--0
----
-Other payable
58.20%4.7K
71.73%2.97K
66.25%7.76K
66.25%7.76K
-76.56%2.97K
-67.61%2.97K
-72.52%1.73K
-82.57%4.67K
-82.57%4.67K
172.88%12.67K
Current accrued expenses
-92.27%1.13K
13.03%8.76K
266.82%16.38K
266.82%16.38K
730.46%16.77K
3,258.58%14.68K
--7.75K
--4.47K
--4.47K
--2.02K
Current debt and capital lease obligation
-90.56%21.68K
-0.33%29.15K
9.24%31.06K
9.24%31.06K
916.31%280.33K
727.53%229.79K
989.83%29.25K
298.95%28.44K
298.95%28.44K
100.59%27.58K
-Current debt
-99.12%1.78K
-13.19%1.95K
-13.18%1.94K
-13.18%1.94K
11,299.00%251.92K
6,177.94%202.09K
-16.13%2.25K
-16.26%2.23K
-16.26%2.23K
-16.38%2.21K
-Current capital lease obligation
-28.14%19.91K
0.74%27.2K
11.15%29.13K
11.15%29.13K
11.97%28.41K
12.84%27.7K
--27K
486.94%26.21K
486.94%26.21K
128.42%25.37K
Current liabilities
-32.20%169.05K
341.55%180.74K
147.87%93.13K
147.87%93.13K
609.84%300.07K
522.69%249.35K
347.50%40.93K
10.76%37.57K
10.76%37.57K
129.81%42.27K
Non current liabilities
Long term debt and capital lease obligation
-71.20%150.6K
-76.03%151.2K
-67.88%156.83K
-67.88%156.83K
42.79%564.9K
48.19%522.86K
496.23%630.74K
359.18%488.27K
359.18%488.27K
270.13%395.6K
-Long term debt
-70.06%150.6K
-74.95%151.2K
-66.57%151.79K
-66.57%151.79K
55.74%552.38K
64.78%502.96K
470.52%603.54K
327.05%454.11K
327.05%454.11K
231.83%354.67K
-Long term capital lease obligation
--0
--0
-85.25%5.04K
-85.25%5.04K
-69.41%12.52K
-58.19%19.91K
--27.2K
--34.17K
--34.17K
--40.93K
Total non current liabilities
-71.20%150.6K
-76.03%151.2K
-67.88%156.83K
-67.88%156.83K
42.79%564.9K
48.19%522.86K
496.23%630.74K
359.18%488.27K
359.18%488.27K
270.13%395.6K
Total liabilities
-58.61%319.65K
-50.58%331.94K
-52.46%249.96K
-52.46%249.96K
97.54%864.96K
96.55%772.21K
484.40%671.67K
274.91%525.85K
274.91%525.85K
249.53%437.87K
Shareholders'equity
Share capital
2.46%66.37K
2.46%66.37K
2.46%66.37K
2.46%66.37K
0.00%64.78K
0.00%64.78K
0.00%64.78K
0.00%64.78K
0.00%64.78K
-18.07%64.78K
-common stock
2.46%66.37K
2.46%66.37K
2.46%66.37K
2.46%66.37K
0.00%64.78K
0.00%64.78K
0.00%64.78K
0.00%64.78K
0.00%64.78K
-18.07%64.78K
Retained earnings
-3.83%-7.99M
-5.51%-7.97M
-6.39%-7.91M
-6.39%-7.91M
-6.56%-7.8M
-7.00%-7.69M
-8.19%-7.56M
-6.36%-7.43M
-6.36%-7.43M
-22.44%-7.32M
Paid-in capital
10.29%7.66M
10.29%7.66M
10.29%7.66M
10.29%7.66M
0.00%6.95M
0.00%6.95M
0.00%6.95M
0.00%6.95M
0.00%6.95M
-12.42%6.95M
Total stockholders'equity
62.12%-257.62K
55.52%-240.9K
57.65%-177.76K
57.65%-177.76K
-156.70%-786.42K
-284.81%-680.06K
-1,865.67%-541.6K
-1,794.48%-419.72K
-1,794.48%-419.72K
-115.05%-306.36K
Total equity
62.12%-257.62K
55.52%-240.9K
57.65%-177.76K
57.65%-177.76K
-156.70%-786.42K
-284.81%-680.06K
-1,865.67%-541.6K
-1,794.48%-419.72K
-1,794.48%-419.72K
-115.05%-306.36K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
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--
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Unqualified Opinion with Explanatory Notes
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(Q2)Mar 31, 2024(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023(Q1)Dec 31, 2022(FY)Sep 30, 2022(Q4)Sep 30, 2022(Q3)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -4.22%38.05K-16.52%56.42K-19.42%26.59K-19.42%26.59K-54.01%22.08K-70.95%39.72K-16.56%67.58K-75.65%33K-75.65%33K-62.16%48K
-Cash and cash equivalents -4.22%38.05K-16.52%56.42K-19.42%26.59K-19.42%26.59K-54.01%22.08K-70.95%39.72K-16.56%67.58K-75.65%33K-75.65%33K-62.16%48K
Prepaid assets -1.30%5.17K7.51%8.92K5.41%12.67K5.41%12.67K5.13%16.35K12.19%5.24K-24.39%8.3K-47.48%12.02K-47.48%12.02K-20.75%15.56K
Total current assets -3.88%43.22K-13.89%65.34K-12.79%39.26K-12.79%39.26K-39.54%38.43K-68.21%44.96K-46.55%75.88K-71.58%45.01K-71.58%45.01K-56.61%63.56K
Non current assets
Net PPE -60.13%18.82K-52.58%25.7K-46.08%32.95K-46.08%32.95K-40.97%40.11K-36.84%47.2K1,388.00%54.19K819.52%61.11K819.52%61.11K-93.30%67.96K
-Gross PPE -44.70%33.41K-39.83%40.3K-35.87%47.09K-35.87%47.09K-32.60%53.8K-29.85%60.43K358.76%66.97K330.59%73.43K330.59%73.43K-92.20%79.82K
-Accumulated depreciation -10.32%-14.6K-14.25%-14.6K-14.78%-14.14K-14.78%-14.14K-15.35%-13.69K-15.96%-13.23K-16.62%-12.78K-18.39%-12.32K-18.39%-12.32K-20.34%-11.87K
Non current prepaid assets --------------------------0------------
Total non current assets -60.13%18.82K-52.58%25.7K-46.08%32.95K-46.08%32.95K-40.97%40.11K-36.84%47.2K1,388.00%54.19K819.52%61.11K819.52%61.11K-96.63%67.96K
Total assets -32.69%62.03K-30.01%91.04K-31.96%72.21K-31.96%72.21K-40.28%78.54K-57.37%92.16K-10.67%130.07K-35.69%106.13K-35.69%106.13K-93.91%131.51K
Liabilities
Current liabilities
Payables 2,893.57%146.24K3,532.35%142.82K878.33%45.69K878.33%45.69K-76.56%2.97K-58.74%4.89K-39.16%3.93K-82.57%4.67K-82.57%4.67K172.88%12.67K
-Total tax payable 5.17%2.01K-85.01%330--1.95K--1.95K-----28.18%1.91K1,210.71%2.2K------------
-Due to related parties current --139.52K--139.52K--35.97K--35.97K--------------0--0----
-Other payable 58.20%4.7K71.73%2.97K66.25%7.76K66.25%7.76K-76.56%2.97K-67.61%2.97K-72.52%1.73K-82.57%4.67K-82.57%4.67K172.88%12.67K
Current accrued expenses -92.27%1.13K13.03%8.76K266.82%16.38K266.82%16.38K730.46%16.77K3,258.58%14.68K--7.75K--4.47K--4.47K--2.02K
Current debt and capital lease obligation -90.56%21.68K-0.33%29.15K9.24%31.06K9.24%31.06K916.31%280.33K727.53%229.79K989.83%29.25K298.95%28.44K298.95%28.44K100.59%27.58K
-Current debt -99.12%1.78K-13.19%1.95K-13.18%1.94K-13.18%1.94K11,299.00%251.92K6,177.94%202.09K-16.13%2.25K-16.26%2.23K-16.26%2.23K-16.38%2.21K
-Current capital lease obligation -28.14%19.91K0.74%27.2K11.15%29.13K11.15%29.13K11.97%28.41K12.84%27.7K--27K486.94%26.21K486.94%26.21K128.42%25.37K
Current liabilities -32.20%169.05K341.55%180.74K147.87%93.13K147.87%93.13K609.84%300.07K522.69%249.35K347.50%40.93K10.76%37.57K10.76%37.57K129.81%42.27K
Non current liabilities
Long term debt and capital lease obligation -71.20%150.6K-76.03%151.2K-67.88%156.83K-67.88%156.83K42.79%564.9K48.19%522.86K496.23%630.74K359.18%488.27K359.18%488.27K270.13%395.6K
-Long term debt -70.06%150.6K-74.95%151.2K-66.57%151.79K-66.57%151.79K55.74%552.38K64.78%502.96K470.52%603.54K327.05%454.11K327.05%454.11K231.83%354.67K
-Long term capital lease obligation --0--0-85.25%5.04K-85.25%5.04K-69.41%12.52K-58.19%19.91K--27.2K--34.17K--34.17K--40.93K
Total non current liabilities -71.20%150.6K-76.03%151.2K-67.88%156.83K-67.88%156.83K42.79%564.9K48.19%522.86K496.23%630.74K359.18%488.27K359.18%488.27K270.13%395.6K
Total liabilities -58.61%319.65K-50.58%331.94K-52.46%249.96K-52.46%249.96K97.54%864.96K96.55%772.21K484.40%671.67K274.91%525.85K274.91%525.85K249.53%437.87K
Shareholders'equity
Share capital 2.46%66.37K2.46%66.37K2.46%66.37K2.46%66.37K0.00%64.78K0.00%64.78K0.00%64.78K0.00%64.78K0.00%64.78K-18.07%64.78K
-common stock 2.46%66.37K2.46%66.37K2.46%66.37K2.46%66.37K0.00%64.78K0.00%64.78K0.00%64.78K0.00%64.78K0.00%64.78K-18.07%64.78K
Retained earnings -3.83%-7.99M-5.51%-7.97M-6.39%-7.91M-6.39%-7.91M-6.56%-7.8M-7.00%-7.69M-8.19%-7.56M-6.36%-7.43M-6.36%-7.43M-22.44%-7.32M
Paid-in capital 10.29%7.66M10.29%7.66M10.29%7.66M10.29%7.66M0.00%6.95M0.00%6.95M0.00%6.95M0.00%6.95M0.00%6.95M-12.42%6.95M
Total stockholders'equity 62.12%-257.62K55.52%-240.9K57.65%-177.76K57.65%-177.76K-156.70%-786.42K-284.81%-680.06K-1,865.67%-541.6K-1,794.48%-419.72K-1,794.48%-419.72K-115.05%-306.36K
Total equity 62.12%-257.62K55.52%-240.9K57.65%-177.76K57.65%-177.76K-156.70%-786.42K-284.81%-680.06K-1,865.67%-541.6K-1,794.48%-419.72K-1,794.48%-419.72K-115.05%-306.36K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

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