US Stock MarketDetailed Quotes

OST Ostin Technology Group

Watchlist
  • 0.211
  • -0.008-3.47%
Close Nov 25 16:00 ET
  • 0.209
  • -0.002-1.04%
Post 16:30 ET
3.83MMarket Cap-297P/E (TTM)

Ostin Technology Group 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
-33.42%1.74M
-76.63%854.52K
-76.63%854.52K
-25.81%2.62M
434.23%3.66M
434.23%3.66M
64.76%3.53M
-87.19%684.34K
-87.19%684.34K
--2.14M
-Cash and cash equivalents
-33.42%1.74M
-76.63%854.52K
-76.63%854.52K
-25.81%2.62M
434.23%3.66M
434.23%3.66M
64.76%3.53M
-87.19%684.34K
-87.19%684.34K
--2.14M
Receivables
-1.44%5.95M
11.89%7.35M
11.89%7.35M
-62.29%6.04M
-76.13%6.57M
-76.13%6.57M
2.82%16.02M
113.36%27.52M
113.36%27.52M
--15.58M
-Accounts receivable
3.43%4.81M
3.42%6.48M
3.42%6.48M
-70.14%4.65M
-75.46%6.27M
-75.46%6.27M
5.53%15.57M
161.56%25.55M
161.56%25.55M
--14.75M
-Notes receivable
----
----
----
--2.97K
----
----
--0
-95.27%101.36K
-95.27%101.36K
--69
-Taxes receivable
-20.91%614.23K
597.11%646.57K
597.11%646.57K
71.87%776.64K
-79.07%92.75K
-79.07%92.75K
-45.37%451.88K
-55.15%443.17K
-55.15%443.17K
--827.21K
-Related party accounts receivable
--66.21K
----
----
----
----
----
----
----
----
----
-Other receivables
-24.07%464.64K
6.15%220.35K
6.15%220.35K
--611.95K
-85.45%207.58K
-85.45%207.58K
----
--1.43M
--1.43M
----
Inventory
-31.31%11.12M
-6.57%14.42M
-6.57%14.42M
-19.56%16.19M
-17.41%15.43M
-17.41%15.43M
26.07%20.13M
4.13%18.69M
4.13%18.69M
--15.97M
Prepaid assets
-40.13%1.87M
-75.25%1.51M
-75.25%1.51M
-44.30%3.13M
-16.48%6.1M
-16.48%6.1M
-59.53%5.61M
-19.65%7.3M
-19.65%7.3M
--13.87M
Restricted cash
-4.89%306.08K
100.64%302.91K
100.64%302.91K
--321.8K
--150.97K
--150.97K
----
--0
--0
--0
Other current assets
----
----
----
----
----
----
----
----
----
--1.13M
Total current assets
-25.81%21M
-23.41%24.44M
-23.41%24.44M
-37.52%28.3M
-41.12%31.91M
-41.12%31.91M
-6.96%45.29M
19.65%54.19M
19.65%54.19M
--48.68M
Non current assets
Net PPE
1.61%23.82M
29.74%25.2M
29.74%25.2M
16.59%23.44M
-0.27%19.42M
-0.27%19.42M
14.52%20.11M
30.27%19.47M
30.27%19.47M
--17.56M
-Gross PPE
6.79%32.42M
31.06%32.79M
31.06%32.79M
50.95%30.35M
6.26%25.02M
6.26%25.02M
-2.05%20.11M
30.63%23.55M
30.63%23.55M
--20.53M
-Accumulated depreciation
-24.37%-8.59M
-35.63%-7.59M
-35.63%-7.59M
---6.91M
-37.47%-5.6M
-37.47%-5.6M
----
-32.39%-4.07M
-32.39%-4.07M
---2.97M
Goodwill and other intangible assets
39.36%6.15M
51.87%6.46M
51.87%6.46M
181.09%4.41M
161.79%4.25M
161.79%4.25M
-8.23%1.57M
-10.00%1.62M
-10.00%1.62M
--1.71M
-Other intangible assets
39.36%6.15M
51.87%6.46M
51.87%6.46M
181.09%4.41M
161.79%4.25M
161.79%4.25M
-8.23%1.57M
-10.00%1.62M
-10.00%1.62M
--1.71M
Investments and advances
-4.88%207.75K
-2.50%205.59K
-2.50%205.59K
--218.42K
--210.87K
--210.87K
----
--0
--0
----
Non current accounts receivable
-22.25%267.82K
-69.87%248.01K
-69.87%248.01K
--344.47K
--823.12K
--823.12K
----
----
----
----
Related parties assets
--66.21K
----
----
----
----
----
----
----
----
----
Non current deferred assets
----
--0
--0
4.29%558.87K
-8.38%616.76K
-8.38%616.76K
-36.33%535.88K
-23.68%673.18K
-23.68%673.18K
--841.65K
Other non current assets
----
----
----
--400K
----
----
----
----
----
----
Total non current assets
3.64%30.44M
26.79%32.11M
26.79%32.11M
32.24%29.38M
16.32%25.33M
16.32%25.33M
10.45%22.21M
23.45%21.77M
23.45%21.77M
--20.11M
Total assets
-10.81%51.44M
-1.20%56.55M
-1.20%56.55M
-14.56%57.68M
-24.66%57.23M
-24.66%57.23M
-1.87%67.51M
20.72%75.97M
20.72%75.97M
--68.79M
Liabilities
Current liabilities
Payables
17.68%11.12M
94.37%14.63M
94.37%14.63M
-26.47%9.45M
-66.18%7.53M
-66.18%7.53M
-43.48%12.85M
-24.97%22.26M
-24.97%22.26M
--22.73M
-accounts payable
-23.75%5.31M
71.96%10.8M
71.96%10.8M
-39.55%6.96M
-64.36%6.28M
-64.36%6.28M
-46.20%11.52M
-24.18%17.62M
-24.18%17.62M
--21.41M
-Total tax payable
207.70%120.44K
-78.39%54.17K
-78.39%54.17K
--39.14K
--250.72K
--250.72K
----
--0
--0
----
-Due to related parties current
100.74%4.22M
311.16%3.01M
311.16%3.01M
58.79%2.1M
-77.14%731K
-77.14%731K
0.95%1.33M
250.11%3.2M
250.11%3.2M
--1.31M
-Other payable
332.23%1.46M
189.92%774.73K
189.92%774.73K
--338.04K
-81.53%267.22K
-81.53%267.22K
----
-73.81%1.45M
-73.81%1.45M
----
Current accrued expenses
-42.82%85.56K
8.20%304.22K
8.20%304.22K
-94.47%149.63K
--281.17K
--281.17K
-70.92%2.7M
----
----
--9.3M
Current debt and capital lease obligation
7.04%26.61M
12.87%24.02M
12.87%24.02M
-21.55%24.86M
-34.74%21.28M
-34.74%21.28M
91.82%31.69M
114.73%32.61M
114.73%32.61M
--16.52M
-Current debt
7.42%26.61M
12.86%23.92M
12.86%23.92M
-21.55%24.77M
-34.63%21.19M
-34.63%21.19M
93.60%31.58M
114.14%32.42M
114.14%32.42M
--16.31M
-Current capital lease obligation
--0
15.66%104K
15.66%104K
-22.90%87.37K
-53.45%89.92K
-53.45%89.92K
-46.20%113.32K
297.30%193.16K
297.30%193.16K
--210.65K
Current deferred liabilities
-53.98%1.24M
-36.13%1.57M
-36.13%1.57M
-23.79%2.69M
-56.69%2.47M
-56.69%2.47M
-45.86%3.54M
-6.79%5.69M
-6.79%5.69M
--6.53M
Other current liabilities
----
----
----
----
--360
--360
----
----
----
----
Current liabilities
5.12%39.05M
28.44%40.53M
28.44%40.53M
-26.84%37.15M
-47.90%31.56M
-47.90%31.56M
-7.81%50.78M
18.84%60.57M
18.84%60.57M
--55.08M
Non current liabilities
Long term debt and capital lease obligation
--0
--1.66M
--1.66M
542.05%291.22K
--0
--0
-54.38%45.36K
-71.51%199.61K
-71.51%199.61K
--99.42K
-Long term debt
----
--1.64M
--1.64M
542.05%291.22K
----
----
--45.36K
-57.28%194.02K
-57.28%194.02K
----
-Long term capital lease obligation
--0
--12.9K
--12.9K
----
--0
--0
--0
-97.73%5.58K
-97.73%5.58K
--99.42K
Total non current liabilities
114.23%725.18K
3,568.42%1.93M
3,568.42%1.93M
646.29%338.5K
-73.65%52.59K
-73.65%52.59K
-88.23%45.36K
-71.51%199.61K
-71.51%199.61K
--385.25K
Total liabilities
6.10%39.78M
34.33%42.46M
34.33%42.46M
-26.23%37.49M
-47.98%31.61M
-47.98%31.61M
-8.37%50.82M
17.61%60.76M
17.61%60.76M
--55.46M
Shareholders'equity
Share capital
19.99%1.68K
0.00%1.4K
0.00%1.4K
38.30%1.4K
38.30%1.4K
38.30%1.4K
0.00%1.01K
0.00%1.01K
0.00%1.01K
--1.01K
-common stock
19.99%1.68K
0.00%1.4K
0.00%1.4K
38.30%1.4K
38.30%1.4K
38.30%1.4K
0.00%1.01K
0.00%1.01K
0.00%1.01K
--1.01K
-Preferred stock
--0
----
----
----
----
----
----
----
----
----
Retained earnings
-423.02%-13.11M
-440.76%-8.47M
-440.76%-8.47M
-168.91%-2.51M
-9.60%2.48M
-9.60%2.48M
174.57%3.64M
14,361.23%2.75M
14,361.23%2.75M
--1.32M
Paid-in capital
4.21%24.24M
0.00%23.26M
0.00%23.26M
114.22%23.26M
114.22%23.26M
114.22%23.26M
2.43%10.86M
3.54%10.86M
3.54%10.86M
--10.6M
Gains losses not affecting retained earnings
-5.24%-846.02K
-105.48%-833.84K
-105.48%-833.84K
-162.44%-803.86K
-156.55%-405.79K
-156.55%-405.79K
84.10%1.29M
631.54%717.64K
631.54%717.64K
--699.3K
Total stockholders'equity
-48.44%10.28M
-44.91%13.96M
-44.91%13.96M
26.40%19.95M
76.89%25.34M
76.89%25.34M
25.01%15.78M
35.08%14.32M
35.08%14.32M
--12.62M
Noncontrolling interests
477.21%1.38M
-54.94%130.22K
-54.94%130.22K
-73.52%238.88K
-67.12%289K
-67.12%289K
27.82%902.02K
33.28%878.97K
33.28%878.97K
--705.7K
Total equity
-42.22%11.66M
-45.02%14.09M
-45.02%14.09M
21.00%20.19M
68.57%25.63M
68.57%25.63M
25.16%16.68M
34.97%15.2M
34.97%15.2M
--13.33M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
Unqualified Opinion
--
--
Unqualified Opinion with Explanatory Notes
--
--
(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 -33.42%1.74M-76.63%854.52K-76.63%854.52K-25.81%2.62M434.23%3.66M434.23%3.66M64.76%3.53M-87.19%684.34K-87.19%684.34K--2.14M
-Cash and cash equivalents -33.42%1.74M-76.63%854.52K-76.63%854.52K-25.81%2.62M434.23%3.66M434.23%3.66M64.76%3.53M-87.19%684.34K-87.19%684.34K--2.14M
Receivables -1.44%5.95M11.89%7.35M11.89%7.35M-62.29%6.04M-76.13%6.57M-76.13%6.57M2.82%16.02M113.36%27.52M113.36%27.52M--15.58M
-Accounts receivable 3.43%4.81M3.42%6.48M3.42%6.48M-70.14%4.65M-75.46%6.27M-75.46%6.27M5.53%15.57M161.56%25.55M161.56%25.55M--14.75M
-Notes receivable --------------2.97K----------0-95.27%101.36K-95.27%101.36K--69
-Taxes receivable -20.91%614.23K597.11%646.57K597.11%646.57K71.87%776.64K-79.07%92.75K-79.07%92.75K-45.37%451.88K-55.15%443.17K-55.15%443.17K--827.21K
-Related party accounts receivable --66.21K------------------------------------
-Other receivables -24.07%464.64K6.15%220.35K6.15%220.35K--611.95K-85.45%207.58K-85.45%207.58K------1.43M--1.43M----
Inventory -31.31%11.12M-6.57%14.42M-6.57%14.42M-19.56%16.19M-17.41%15.43M-17.41%15.43M26.07%20.13M4.13%18.69M4.13%18.69M--15.97M
Prepaid assets -40.13%1.87M-75.25%1.51M-75.25%1.51M-44.30%3.13M-16.48%6.1M-16.48%6.1M-59.53%5.61M-19.65%7.3M-19.65%7.3M--13.87M
Restricted cash -4.89%306.08K100.64%302.91K100.64%302.91K--321.8K--150.97K--150.97K------0--0--0
Other current assets --------------------------------------1.13M
Total current assets -25.81%21M-23.41%24.44M-23.41%24.44M-37.52%28.3M-41.12%31.91M-41.12%31.91M-6.96%45.29M19.65%54.19M19.65%54.19M--48.68M
Non current assets
Net PPE 1.61%23.82M29.74%25.2M29.74%25.2M16.59%23.44M-0.27%19.42M-0.27%19.42M14.52%20.11M30.27%19.47M30.27%19.47M--17.56M
-Gross PPE 6.79%32.42M31.06%32.79M31.06%32.79M50.95%30.35M6.26%25.02M6.26%25.02M-2.05%20.11M30.63%23.55M30.63%23.55M--20.53M
-Accumulated depreciation -24.37%-8.59M-35.63%-7.59M-35.63%-7.59M---6.91M-37.47%-5.6M-37.47%-5.6M-----32.39%-4.07M-32.39%-4.07M---2.97M
Goodwill and other intangible assets 39.36%6.15M51.87%6.46M51.87%6.46M181.09%4.41M161.79%4.25M161.79%4.25M-8.23%1.57M-10.00%1.62M-10.00%1.62M--1.71M
-Other intangible assets 39.36%6.15M51.87%6.46M51.87%6.46M181.09%4.41M161.79%4.25M161.79%4.25M-8.23%1.57M-10.00%1.62M-10.00%1.62M--1.71M
Investments and advances -4.88%207.75K-2.50%205.59K-2.50%205.59K--218.42K--210.87K--210.87K------0--0----
Non current accounts receivable -22.25%267.82K-69.87%248.01K-69.87%248.01K--344.47K--823.12K--823.12K----------------
Related parties assets --66.21K------------------------------------
Non current deferred assets ------0--04.29%558.87K-8.38%616.76K-8.38%616.76K-36.33%535.88K-23.68%673.18K-23.68%673.18K--841.65K
Other non current assets --------------400K------------------------
Total non current assets 3.64%30.44M26.79%32.11M26.79%32.11M32.24%29.38M16.32%25.33M16.32%25.33M10.45%22.21M23.45%21.77M23.45%21.77M--20.11M
Total assets -10.81%51.44M-1.20%56.55M-1.20%56.55M-14.56%57.68M-24.66%57.23M-24.66%57.23M-1.87%67.51M20.72%75.97M20.72%75.97M--68.79M
Liabilities
Current liabilities
Payables 17.68%11.12M94.37%14.63M94.37%14.63M-26.47%9.45M-66.18%7.53M-66.18%7.53M-43.48%12.85M-24.97%22.26M-24.97%22.26M--22.73M
-accounts payable -23.75%5.31M71.96%10.8M71.96%10.8M-39.55%6.96M-64.36%6.28M-64.36%6.28M-46.20%11.52M-24.18%17.62M-24.18%17.62M--21.41M
-Total tax payable 207.70%120.44K-78.39%54.17K-78.39%54.17K--39.14K--250.72K--250.72K------0--0----
-Due to related parties current 100.74%4.22M311.16%3.01M311.16%3.01M58.79%2.1M-77.14%731K-77.14%731K0.95%1.33M250.11%3.2M250.11%3.2M--1.31M
-Other payable 332.23%1.46M189.92%774.73K189.92%774.73K--338.04K-81.53%267.22K-81.53%267.22K-----73.81%1.45M-73.81%1.45M----
Current accrued expenses -42.82%85.56K8.20%304.22K8.20%304.22K-94.47%149.63K--281.17K--281.17K-70.92%2.7M----------9.3M
Current debt and capital lease obligation 7.04%26.61M12.87%24.02M12.87%24.02M-21.55%24.86M-34.74%21.28M-34.74%21.28M91.82%31.69M114.73%32.61M114.73%32.61M--16.52M
-Current debt 7.42%26.61M12.86%23.92M12.86%23.92M-21.55%24.77M-34.63%21.19M-34.63%21.19M93.60%31.58M114.14%32.42M114.14%32.42M--16.31M
-Current capital lease obligation --015.66%104K15.66%104K-22.90%87.37K-53.45%89.92K-53.45%89.92K-46.20%113.32K297.30%193.16K297.30%193.16K--210.65K
Current deferred liabilities -53.98%1.24M-36.13%1.57M-36.13%1.57M-23.79%2.69M-56.69%2.47M-56.69%2.47M-45.86%3.54M-6.79%5.69M-6.79%5.69M--6.53M
Other current liabilities ------------------360--360----------------
Current liabilities 5.12%39.05M28.44%40.53M28.44%40.53M-26.84%37.15M-47.90%31.56M-47.90%31.56M-7.81%50.78M18.84%60.57M18.84%60.57M--55.08M
Non current liabilities
Long term debt and capital lease obligation --0--1.66M--1.66M542.05%291.22K--0--0-54.38%45.36K-71.51%199.61K-71.51%199.61K--99.42K
-Long term debt ------1.64M--1.64M542.05%291.22K----------45.36K-57.28%194.02K-57.28%194.02K----
-Long term capital lease obligation --0--12.9K--12.9K------0--0--0-97.73%5.58K-97.73%5.58K--99.42K
Total non current liabilities 114.23%725.18K3,568.42%1.93M3,568.42%1.93M646.29%338.5K-73.65%52.59K-73.65%52.59K-88.23%45.36K-71.51%199.61K-71.51%199.61K--385.25K
Total liabilities 6.10%39.78M34.33%42.46M34.33%42.46M-26.23%37.49M-47.98%31.61M-47.98%31.61M-8.37%50.82M17.61%60.76M17.61%60.76M--55.46M
Shareholders'equity
Share capital 19.99%1.68K0.00%1.4K0.00%1.4K38.30%1.4K38.30%1.4K38.30%1.4K0.00%1.01K0.00%1.01K0.00%1.01K--1.01K
-common stock 19.99%1.68K0.00%1.4K0.00%1.4K38.30%1.4K38.30%1.4K38.30%1.4K0.00%1.01K0.00%1.01K0.00%1.01K--1.01K
-Preferred stock --0------------------------------------
Retained earnings -423.02%-13.11M-440.76%-8.47M-440.76%-8.47M-168.91%-2.51M-9.60%2.48M-9.60%2.48M174.57%3.64M14,361.23%2.75M14,361.23%2.75M--1.32M
Paid-in capital 4.21%24.24M0.00%23.26M0.00%23.26M114.22%23.26M114.22%23.26M114.22%23.26M2.43%10.86M3.54%10.86M3.54%10.86M--10.6M
Gains losses not affecting retained earnings -5.24%-846.02K-105.48%-833.84K-105.48%-833.84K-162.44%-803.86K-156.55%-405.79K-156.55%-405.79K84.10%1.29M631.54%717.64K631.54%717.64K--699.3K
Total stockholders'equity -48.44%10.28M-44.91%13.96M-44.91%13.96M26.40%19.95M76.89%25.34M76.89%25.34M25.01%15.78M35.08%14.32M35.08%14.32M--12.62M
Noncontrolling interests 477.21%1.38M-54.94%130.22K-54.94%130.22K-73.52%238.88K-67.12%289K-67.12%289K27.82%902.02K33.28%878.97K33.28%878.97K--705.7K
Total equity -42.22%11.66M-45.02%14.09M-45.02%14.09M21.00%20.19M68.57%25.63M68.57%25.63M25.16%16.68M34.97%15.2M34.97%15.2M--13.33M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes----Unqualified Opinion----Unqualified Opinion with Explanatory Notes----

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