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GYMFF TUT FITNESS GROUP INC

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15min DelayClose Dec 20 09:30 ET
0Market Cap0.00P/E (TTM)

TUT FITNESS GROUP INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Mar 31, 2024
(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
(Q2)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-89.49%10K
-71.84%110.45K
-71.84%110.45K
-81.09%116.54K
-89.89%95.18K
-86.04%190.33K
-83.89%392.21K
-83.89%392.21K
--616.12K
--941.02K
-Cash and cash equivalents
-89.49%10K
-71.84%110.45K
-71.84%110.45K
-81.09%116.54K
-89.89%95.18K
-86.04%190.33K
-83.89%392.21K
-83.89%392.21K
--616.12K
--941.02K
Receivables
-42.07%28.08K
-83.73%10.28K
-83.73%10.28K
-11.41%48.96K
-52.24%48.48K
63.45%108.55K
144.14%63.21K
144.14%63.21K
--55.27K
--101.51K
-Accounts receivable
271.90%13.09K
--414
--414
--12.04K
-79.23%3.52K
89.38%45.29K
--0
--0
--0
--16.95K
-Taxes receivable
-66.66%14.99K
-71.74%9.87K
-71.74%9.87K
55.99%36.92K
-7.98%44.96K
5.19%37.36K
50.18%34.92K
50.18%34.92K
--23.67K
--48.85K
-Related party accounts receivable
----
--0
--0
--0
--0
271.06%25.9K
1,094.59%28.29K
1,094.59%28.29K
--31.6K
--35.71K
Inventory
-29.11%366.72K
-26.67%415.15K
-26.67%415.15K
80.78%505.86K
371.29%517.34K
428.62%543.06K
399.65%566.11K
399.65%566.11K
--279.83K
--109.77K
Prepaid assets
-62.31%7.98K
-73.52%10K
-73.52%10K
-96.68%11.11K
-95.33%21.17K
-95.91%15.58K
-80.20%37.78K
-80.20%37.78K
--334.97K
--453.37K
Total current assets
-39.49%412.78K
-48.47%545.89K
-48.47%545.89K
-46.94%682.47K
-57.51%682.17K
-55.18%857.51K
-61.68%1.06M
-61.68%1.06M
--1.29M
--1.61M
Non current assets
Net PPE
-20.20%135.09K
-16.14%152.1K
-16.14%152.1K
-15.09%160.68K
-16.56%169.29K
-6.16%173.44K
2,241.83%181.38K
2,241.83%181.38K
--189.23K
--202.9K
-Gross PPE
0.01%217.97K
2.21%217.97K
2.21%217.97K
2.77%217.97K
2.52%217.95K
12.61%213.6K
2,102.48%213.24K
2,102.48%213.24K
--212.09K
--212.59K
-Accumulated depreciation
-70.32%-82.88K
-106.68%-65.87K
-106.68%-65.87K
-150.65%-57.29K
-402.08%-48.66K
-726.85%-40.16K
-1,545.28%-31.87K
-1,545.28%-31.87K
---22.86K
---9.69K
Goodwill and other intangible assets
-98.98%6.57K
-98.56%9.22K
-98.56%9.22K
-44.77%642.67K
-45.37%641.63K
-45.93%644.14K
-46.76%638.45K
-46.76%638.45K
--1.16M
--1.17M
-Other intangible assets
-98.98%6.57K
-98.56%9.22K
-98.56%9.22K
-44.77%642.67K
-45.37%641.63K
-45.93%644.14K
-46.76%638.45K
-46.76%638.45K
--1.16M
--1.17M
Related parties assets
----
--0
--0
--0
--0
271.06%25.9K
1,094.59%28.29K
1,094.59%28.29K
--31.6K
--35.71K
Total non current assets
-82.53%141.65K
-80.32%161.32K
-80.32%161.32K
-40.61%803.34K
-41.13%810.92K
-40.59%817.57K
-32.08%819.82K
-32.08%819.82K
--1.35M
--1.38M
Total assets
-62.87%554.43K
-62.37%707.21K
-62.37%707.21K
-43.70%1.49M
-49.95%1.49M
-49.07%1.68M
-52.68%1.88M
-52.68%1.88M
--2.64M
--2.98M
Liabilities
Current liabilities
Payables
119.66%346.21K
541.07%217.38K
541.07%217.38K
372.33%170.58K
121.40%157.61K
-51.15%44.6K
-91.31%33.91K
-91.31%33.91K
--36.12K
--71.19K
-accounts payable
122.44%315.14K
728.72%214.38K
728.72%214.38K
552.38%169.4K
400.02%141.67K
-44.54%38.47K
-93.00%25.87K
-93.00%25.87K
--25.97K
--28.33K
-Due to related parties current
----
----
----
----
----
----
----
----
--0
--31.98K
-Other payable
94.90%31.07K
-62.67%3K
-62.67%3K
-88.37%1.18K
46.60%15.94K
33.88%6.14K
-3.83%8.04K
-3.83%8.04K
--10.15K
--10.87K
Current accrued expenses
1,960.00%76.22K
112.88%77.7K
112.88%77.7K
--3.75K
--3.7K
89.74%29.6K
-48.20%36.5K
-48.20%36.5K
--0
--0
Current debt and capital lease obligation
-3.72%32.49K
1.50%34K
1.50%34K
2.03%33.87K
-1.03%33.75K
1.51%33.63K
--33.5K
--33.5K
--33.2K
--34.1K
-Current capital lease obligation
-3.72%32.49K
1.50%34K
1.50%34K
2.03%33.87K
-1.03%33.75K
1.51%33.63K
--33.5K
--33.5K
--33.2K
--34.1K
Current liabilities
133.22%454.92K
216.70%329.08K
216.70%329.08K
200.37%208.21K
85.26%195.06K
-23.00%107.83K
-77.44%103.91K
-77.44%103.91K
--69.32K
--105.29K
Non current liabilities
Long term debt and capital lease obligation
-19.47%78.86K
-18.07%87.89K
-18.07%87.89K
-16.49%92.97K
-17.97%97.93K
-14.94%102.72K
--107.27K
--107.27K
--111.33K
--119.38K
-Long term capital lease obligation
-19.47%78.86K
-18.07%87.89K
-18.07%87.89K
-16.49%92.97K
-17.97%97.93K
-14.94%102.72K
--107.27K
--107.27K
--111.33K
--119.38K
Total non current liabilities
-19.47%78.86K
-18.07%87.89K
-18.07%87.89K
-16.49%92.97K
-17.97%97.93K
-14.94%102.72K
--107.27K
--107.27K
--111.33K
--119.38K
Total liabilities
82.19%533.79K
97.45%416.97K
97.45%416.97K
66.73%301.18K
30.41%292.99K
-19.27%210.55K
-54.15%211.18K
-54.15%211.18K
--180.64K
--224.67K
Shareholders'equity
Share capital
3.42%5.16M
3.44%5.16M
3.44%5.16M
-0.00%4.99M
-0.00%4.99M
0.01%4.99M
0.01%4.99M
0.01%4.99M
--4.99M
--4.99M
-common stock
3.42%5.16M
3.44%5.16M
3.44%5.16M
-0.00%4.99M
-0.00%4.99M
0.01%4.99M
0.01%4.99M
0.01%4.99M
--4.99M
--4.99M
Retained earnings
-32.86%-6.04M
-40.75%-5.7M
-40.75%-5.7M
-31.76%-4.72M
-38.92%-4.55M
-46.83%-4.28M
-69.93%-4.05M
-69.93%-4.05M
---3.58M
---3.27M
Gains losses not affecting retained earnings
0.20%-173.11K
15.23%-173.11K
15.23%-173.11K
-1,031.68%-144.22K
-557.47%-173.47K
-1,450.30%-173.56K
-20,853.25%-204.21K
-20,853.25%-204.21K
--15.48K
--37.92K
Other equity interest
15.45%1.07M
7.40%998.11K
7.40%998.11K
2.21%1.05M
-7.30%930.32K
-3.80%929.33K
3.03%929.33K
3.03%929.33K
--1.03M
--1M
Total stockholders'equity
-98.28%20.64K
-82.60%290.24K
-82.60%290.24K
-51.81%1.18M
-56.49%1.2M
-51.64%1.46M
-52.49%1.67M
-52.49%1.67M
--2.46M
--2.76M
Total equity
-98.28%20.64K
-82.60%290.24K
-82.60%290.24K
-51.81%1.18M
-56.49%1.2M
-51.64%1.46M
-52.49%1.67M
-52.49%1.67M
--2.46M
--2.76M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q2)Mar 31, 2024(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(Q2)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -89.49%10K-71.84%110.45K-71.84%110.45K-81.09%116.54K-89.89%95.18K-86.04%190.33K-83.89%392.21K-83.89%392.21K--616.12K--941.02K
-Cash and cash equivalents -89.49%10K-71.84%110.45K-71.84%110.45K-81.09%116.54K-89.89%95.18K-86.04%190.33K-83.89%392.21K-83.89%392.21K--616.12K--941.02K
Receivables -42.07%28.08K-83.73%10.28K-83.73%10.28K-11.41%48.96K-52.24%48.48K63.45%108.55K144.14%63.21K144.14%63.21K--55.27K--101.51K
-Accounts receivable 271.90%13.09K--414--414--12.04K-79.23%3.52K89.38%45.29K--0--0--0--16.95K
-Taxes receivable -66.66%14.99K-71.74%9.87K-71.74%9.87K55.99%36.92K-7.98%44.96K5.19%37.36K50.18%34.92K50.18%34.92K--23.67K--48.85K
-Related party accounts receivable ------0--0--0--0271.06%25.9K1,094.59%28.29K1,094.59%28.29K--31.6K--35.71K
Inventory -29.11%366.72K-26.67%415.15K-26.67%415.15K80.78%505.86K371.29%517.34K428.62%543.06K399.65%566.11K399.65%566.11K--279.83K--109.77K
Prepaid assets -62.31%7.98K-73.52%10K-73.52%10K-96.68%11.11K-95.33%21.17K-95.91%15.58K-80.20%37.78K-80.20%37.78K--334.97K--453.37K
Total current assets -39.49%412.78K-48.47%545.89K-48.47%545.89K-46.94%682.47K-57.51%682.17K-55.18%857.51K-61.68%1.06M-61.68%1.06M--1.29M--1.61M
Non current assets
Net PPE -20.20%135.09K-16.14%152.1K-16.14%152.1K-15.09%160.68K-16.56%169.29K-6.16%173.44K2,241.83%181.38K2,241.83%181.38K--189.23K--202.9K
-Gross PPE 0.01%217.97K2.21%217.97K2.21%217.97K2.77%217.97K2.52%217.95K12.61%213.6K2,102.48%213.24K2,102.48%213.24K--212.09K--212.59K
-Accumulated depreciation -70.32%-82.88K-106.68%-65.87K-106.68%-65.87K-150.65%-57.29K-402.08%-48.66K-726.85%-40.16K-1,545.28%-31.87K-1,545.28%-31.87K---22.86K---9.69K
Goodwill and other intangible assets -98.98%6.57K-98.56%9.22K-98.56%9.22K-44.77%642.67K-45.37%641.63K-45.93%644.14K-46.76%638.45K-46.76%638.45K--1.16M--1.17M
-Other intangible assets -98.98%6.57K-98.56%9.22K-98.56%9.22K-44.77%642.67K-45.37%641.63K-45.93%644.14K-46.76%638.45K-46.76%638.45K--1.16M--1.17M
Related parties assets ------0--0--0--0271.06%25.9K1,094.59%28.29K1,094.59%28.29K--31.6K--35.71K
Total non current assets -82.53%141.65K-80.32%161.32K-80.32%161.32K-40.61%803.34K-41.13%810.92K-40.59%817.57K-32.08%819.82K-32.08%819.82K--1.35M--1.38M
Total assets -62.87%554.43K-62.37%707.21K-62.37%707.21K-43.70%1.49M-49.95%1.49M-49.07%1.68M-52.68%1.88M-52.68%1.88M--2.64M--2.98M
Liabilities
Current liabilities
Payables 119.66%346.21K541.07%217.38K541.07%217.38K372.33%170.58K121.40%157.61K-51.15%44.6K-91.31%33.91K-91.31%33.91K--36.12K--71.19K
-accounts payable 122.44%315.14K728.72%214.38K728.72%214.38K552.38%169.4K400.02%141.67K-44.54%38.47K-93.00%25.87K-93.00%25.87K--25.97K--28.33K
-Due to related parties current ----------------------------------0--31.98K
-Other payable 94.90%31.07K-62.67%3K-62.67%3K-88.37%1.18K46.60%15.94K33.88%6.14K-3.83%8.04K-3.83%8.04K--10.15K--10.87K
Current accrued expenses 1,960.00%76.22K112.88%77.7K112.88%77.7K--3.75K--3.7K89.74%29.6K-48.20%36.5K-48.20%36.5K--0--0
Current debt and capital lease obligation -3.72%32.49K1.50%34K1.50%34K2.03%33.87K-1.03%33.75K1.51%33.63K--33.5K--33.5K--33.2K--34.1K
-Current capital lease obligation -3.72%32.49K1.50%34K1.50%34K2.03%33.87K-1.03%33.75K1.51%33.63K--33.5K--33.5K--33.2K--34.1K
Current liabilities 133.22%454.92K216.70%329.08K216.70%329.08K200.37%208.21K85.26%195.06K-23.00%107.83K-77.44%103.91K-77.44%103.91K--69.32K--105.29K
Non current liabilities
Long term debt and capital lease obligation -19.47%78.86K-18.07%87.89K-18.07%87.89K-16.49%92.97K-17.97%97.93K-14.94%102.72K--107.27K--107.27K--111.33K--119.38K
-Long term capital lease obligation -19.47%78.86K-18.07%87.89K-18.07%87.89K-16.49%92.97K-17.97%97.93K-14.94%102.72K--107.27K--107.27K--111.33K--119.38K
Total non current liabilities -19.47%78.86K-18.07%87.89K-18.07%87.89K-16.49%92.97K-17.97%97.93K-14.94%102.72K--107.27K--107.27K--111.33K--119.38K
Total liabilities 82.19%533.79K97.45%416.97K97.45%416.97K66.73%301.18K30.41%292.99K-19.27%210.55K-54.15%211.18K-54.15%211.18K--180.64K--224.67K
Shareholders'equity
Share capital 3.42%5.16M3.44%5.16M3.44%5.16M-0.00%4.99M-0.00%4.99M0.01%4.99M0.01%4.99M0.01%4.99M--4.99M--4.99M
-common stock 3.42%5.16M3.44%5.16M3.44%5.16M-0.00%4.99M-0.00%4.99M0.01%4.99M0.01%4.99M0.01%4.99M--4.99M--4.99M
Retained earnings -32.86%-6.04M-40.75%-5.7M-40.75%-5.7M-31.76%-4.72M-38.92%-4.55M-46.83%-4.28M-69.93%-4.05M-69.93%-4.05M---3.58M---3.27M
Gains losses not affecting retained earnings 0.20%-173.11K15.23%-173.11K15.23%-173.11K-1,031.68%-144.22K-557.47%-173.47K-1,450.30%-173.56K-20,853.25%-204.21K-20,853.25%-204.21K--15.48K--37.92K
Other equity interest 15.45%1.07M7.40%998.11K7.40%998.11K2.21%1.05M-7.30%930.32K-3.80%929.33K3.03%929.33K3.03%929.33K--1.03M--1M
Total stockholders'equity -98.28%20.64K-82.60%290.24K-82.60%290.24K-51.81%1.18M-56.49%1.2M-51.64%1.46M-52.49%1.67M-52.49%1.67M--2.46M--2.76M
Total equity -98.28%20.64K-82.60%290.24K-82.60%290.24K-51.81%1.18M-56.49%1.2M-51.64%1.46M-52.49%1.67M-52.49%1.67M--2.46M--2.76M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------
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