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PEYE PRECISION OPTICS INC(MASS)

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  • 1.950
  • 0.0000.00%
15min DelayClose Nov 1 16:00 ET
10.99MMarket Cap13.83P/E (TTM)

PRECISION OPTICS INC(MASS) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Sep 30, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(Q3)Mar 31, 2022
(Q2)Dec 31, 2021
(Q1)Sep 30, 2021
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
(Q3)Mar 31, 2021
(Q2)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-59.66%673.5K
-29.70%605.75K
-29.70%605.75K
6.36%831.59K
54.75%1.26M
85.40%1.67M
-24.06%861.65K
-24.06%861.65K
23.68%781.85K
134.65%816.26K
-Cash and cash equivalents
-59.66%673.5K
-29.70%605.75K
-29.70%605.75K
6.36%831.59K
54.75%1.26M
85.40%1.67M
-24.06%861.65K
-24.06%861.65K
23.68%781.85K
134.65%816.26K
Receivables
99.55%3.41M
41.79%2.66M
41.79%2.66M
118.26%3.35M
44.59%2.3M
7.96%1.71M
26.82%1.88M
26.82%1.88M
3.70%1.53M
-20.46%1.59M
-Accounts receivable
99.55%3.41M
41.79%2.66M
41.79%2.66M
118.26%3.35M
39.30%2.22M
7.96%1.71M
26.82%1.88M
26.82%1.88M
3.70%1.53M
-20.46%1.59M
-Related party accounts receivable
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----
----
----
--84.21K
----
----
----
----
----
Inventory
29.93%2.76M
60.29%3.02M
60.29%3.02M
52.12%2.97M
28.70%2.5M
-0.82%2.12M
-14.19%1.89M
-14.19%1.89M
-10.07%1.95M
-3.67%1.95M
Prepaid assets
31.74%187.5K
41.70%213.45K
41.70%213.45K
141.04%318.55K
103.83%298.86K
27.06%142.33K
12.66%150.64K
12.66%150.64K
0.67%132.16K
10.01%146.62K
Total current assets
24.58%7.03M
36.19%6.51M
36.19%6.51M
69.73%7.46M
41.50%6.37M
19.17%5.64M
-3.45%4.78M
-3.45%4.78M
-0.29%4.4M
-0.03%4.5M
Non current assets
Net PPE
71.83%1.07M
74.71%1.15M
74.71%1.15M
11.82%766.79K
20.90%675.12K
3.17%622.54K
5.46%655.5K
5.46%655.5K
3.46%685.71K
5.64%558.4K
-Gross PPE
15.69%4.77M
16.51%4.8M
16.51%4.8M
6.37%4.37M
7.16%4.23M
4.38%4.13M
4.59%4.12M
4.59%4.12M
4.16%4.1M
4.42%3.94M
-Accumulated depreciation
-5.72%-3.7M
-5.50%-3.65M
-5.50%-3.65M
-5.27%-3.6M
-4.90%-3.55M
-4.60%-3.5M
-4.43%-3.46M
-4.43%-3.46M
-4.31%-3.42M
-4.22%-3.39M
Goodwill and other intangible assets
985.31%9.07M
991.63%9.05M
991.63%9.05M
997.81%9.04M
1,121.63%9.85M
5.41%835.41K
5.94%829.37K
5.94%829.37K
6.28%823.2K
7.11%806.13K
-Goodwill
1,183.22%8.82M
1,183.22%8.82M
1,183.22%8.82M
1,183.22%8.82M
1,303.19%9.65M
0.00%687.66K
0.00%687.66K
0.00%687.66K
0.00%687.66K
0.00%687.66K
-Other intangible assets
64.17%242.55K
61.89%229.4K
61.89%229.4K
57.12%212.95K
67.73%198.71K
40.86%147.74K
48.80%141.7K
48.80%141.7K
55.95%135.54K
82.46%118.47K
Related parties assets
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----
----
----
--84.21K
----
----
----
----
----
Total non current assets
595.26%10.14M
586.85%10.2M
586.85%10.2M
549.74%9.8M
671.18%10.52M
4.44%1.46M
5.73%1.48M
5.73%1.48M
4.98%1.51M
6.51%1.36M
Total assets
141.73%17.17M
166.78%16.7M
166.78%16.7M
192.37%17.27M
188.04%16.89M
15.82%7.1M
-1.42%6.26M
-1.42%6.26M
1.00%5.91M
1.41%5.86M
Liabilities
Current liabilities
Payables
79.28%2.31M
85.80%2.24M
85.80%2.24M
147.71%2.54M
25.64%1.25M
25.76%1.29M
13.05%1.21M
13.05%1.21M
-33.18%1.02M
-14.22%997.13K
-accounts payable
79.28%2.31M
85.80%2.24M
85.80%2.24M
147.71%2.54M
25.64%1.25M
25.76%1.29M
13.05%1.21M
13.05%1.21M
-33.18%1.02M
-14.22%997.13K
Current debt and capital lease obligation
573.58%573.67K
461.26%558.98K
461.26%558.98K
362.90%453.22K
-50.33%438.28K
-90.54%85.17K
-89.15%99.59K
-89.15%99.59K
-22.68%97.91K
1,254.57%882.38K
-Current debt
--371.43K
--367.71K
--367.71K
--367.71K
-54.54%367.71K
----
----
----
----
--808.96K
-Current capital lease obligation
137.46%202.24K
92.05%191.27K
92.05%191.27K
-12.67%85.51K
-3.89%70.56K
-6.60%85.17K
-8.56%99.59K
-8.56%99.59K
-22.68%97.91K
12.71%73.42K
Current deferred liabilities
206.89%1.03M
101.10%905.11K
101.10%905.11K
337.25%1.02M
648.94%1.14M
62.86%336.57K
7.92%450.08K
7.92%450.08K
-25.00%232.88K
-60.91%151.88K
Other current liabilities
0.00%166.67K
0.00%166.67K
0.00%166.67K
439.31%898.86K
433.97%889.95K
0.00%166.67K
0.00%166.67K
0.00%166.67K
--166.67K
--166.67K
Current liabilities
88.37%5.2M
82.65%4.59M
82.65%4.59M
173.82%5.77M
70.36%4.57M
-4.06%2.76M
-20.27%2.51M
-20.27%2.51M
-14.13%2.11M
32.59%2.68M
Non current liabilities
Long term debt and capital lease obligation
1,503.66%2.28M
1,501.08%2.44M
1,501.08%2.44M
1,176.40%2.27M
3,551.31%2.28M
78.45%142.45K
57.02%152.4K
57.02%152.4K
56.30%177.87K
-30.84%62.37K
-Long term debt
--1.87M
--1.96M
--1.96M
--2.05M
--2.15M
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----
----
----
----
-Long term capital lease obligation
194.04%418.85K
214.21%478.85K
214.21%478.85K
22.16%217.3K
112.21%132.36K
78.45%142.45K
57.02%152.4K
57.02%152.4K
56.30%177.87K
-30.84%62.37K
Other non current liabilities
328.63%714.38K
323.54%705.89K
323.54%705.89K
318.45%697.41K
156.68%855.59K
-50.00%166.67K
-50.00%166.67K
-50.00%166.67K
-66.67%166.67K
-33.33%333.33K
Total non current liabilities
870.11%3M
885.98%3.15M
885.98%3.15M
761.38%2.97M
691.74%3.13M
-25.18%309.11K
-25.87%319.06K
-25.87%319.06K
-43.87%344.54K
-32.95%395.7K
Total liabilities
167.15%8.19M
173.22%7.73M
173.22%7.73M
256.38%8.74M
150.30%7.7M
-6.71%3.07M
-20.94%2.83M
-20.94%2.83M
-20.08%2.45M
17.78%3.08M
Shareholders'equity
Share capital
27.35%169.15K
27.35%169.15K
27.35%169.15K
27.32%168.88K
26.95%167.47K
0.69%132.83K
0.69%132.83K
0.69%132.83K
2.09%132.64K
2.42%131.92K
-common stock
27.35%169.15K
27.35%169.15K
27.35%169.15K
27.32%168.88K
26.95%167.47K
0.69%132.83K
0.69%132.83K
0.69%132.83K
2.09%132.64K
2.42%131.92K
Retained earnings
-0.89%-48.17M
-1.97%-48.09M
-1.97%-48.09M
-3.51%-48.36M
-2.06%-48.25M
-1.45%-47.74M
-0.22%-47.17M
-0.22%-47.17M
0.04%-46.72M
-2.17%-47.28M
Paid-in capital
12.56%56.97M
12.75%56.9M
12.75%56.9M
13.34%56.72M
14.70%57.27M
1.69%50.61M
1.53%50.46M
1.53%50.46M
1.33%50.04M
1.25%49.93M
Other equity interest
----
----
----
----
----
--1.03M
----
----
----
----
Total stockholders'equity
122.41%8.97M
161.47%8.97M
161.47%8.97M
146.92%8.53M
229.69%9.19M
41.87%4.03M
23.79%3.43M
23.79%3.43M
24.27%3.45M
-12.07%2.79M
Total equity
122.41%8.97M
161.47%8.97M
161.47%8.97M
146.92%8.53M
229.69%9.19M
41.87%4.03M
23.79%3.43M
23.79%3.43M
24.27%3.45M
-12.07%2.79M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
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(Q1)Sep 30, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022(Q3)Mar 31, 2022(Q2)Dec 31, 2021(Q1)Sep 30, 2021(FY)Jun 30, 2021(Q4)Jun 30, 2021(Q3)Mar 31, 2021(Q2)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -59.66%673.5K-29.70%605.75K-29.70%605.75K6.36%831.59K54.75%1.26M85.40%1.67M-24.06%861.65K-24.06%861.65K23.68%781.85K134.65%816.26K
-Cash and cash equivalents -59.66%673.5K-29.70%605.75K-29.70%605.75K6.36%831.59K54.75%1.26M85.40%1.67M-24.06%861.65K-24.06%861.65K23.68%781.85K134.65%816.26K
Receivables 99.55%3.41M41.79%2.66M41.79%2.66M118.26%3.35M44.59%2.3M7.96%1.71M26.82%1.88M26.82%1.88M3.70%1.53M-20.46%1.59M
-Accounts receivable 99.55%3.41M41.79%2.66M41.79%2.66M118.26%3.35M39.30%2.22M7.96%1.71M26.82%1.88M26.82%1.88M3.70%1.53M-20.46%1.59M
-Related party accounts receivable ------------------84.21K--------------------
Inventory 29.93%2.76M60.29%3.02M60.29%3.02M52.12%2.97M28.70%2.5M-0.82%2.12M-14.19%1.89M-14.19%1.89M-10.07%1.95M-3.67%1.95M
Prepaid assets 31.74%187.5K41.70%213.45K41.70%213.45K141.04%318.55K103.83%298.86K27.06%142.33K12.66%150.64K12.66%150.64K0.67%132.16K10.01%146.62K
Total current assets 24.58%7.03M36.19%6.51M36.19%6.51M69.73%7.46M41.50%6.37M19.17%5.64M-3.45%4.78M-3.45%4.78M-0.29%4.4M-0.03%4.5M
Non current assets
Net PPE 71.83%1.07M74.71%1.15M74.71%1.15M11.82%766.79K20.90%675.12K3.17%622.54K5.46%655.5K5.46%655.5K3.46%685.71K5.64%558.4K
-Gross PPE 15.69%4.77M16.51%4.8M16.51%4.8M6.37%4.37M7.16%4.23M4.38%4.13M4.59%4.12M4.59%4.12M4.16%4.1M4.42%3.94M
-Accumulated depreciation -5.72%-3.7M-5.50%-3.65M-5.50%-3.65M-5.27%-3.6M-4.90%-3.55M-4.60%-3.5M-4.43%-3.46M-4.43%-3.46M-4.31%-3.42M-4.22%-3.39M
Goodwill and other intangible assets 985.31%9.07M991.63%9.05M991.63%9.05M997.81%9.04M1,121.63%9.85M5.41%835.41K5.94%829.37K5.94%829.37K6.28%823.2K7.11%806.13K
-Goodwill 1,183.22%8.82M1,183.22%8.82M1,183.22%8.82M1,183.22%8.82M1,303.19%9.65M0.00%687.66K0.00%687.66K0.00%687.66K0.00%687.66K0.00%687.66K
-Other intangible assets 64.17%242.55K61.89%229.4K61.89%229.4K57.12%212.95K67.73%198.71K40.86%147.74K48.80%141.7K48.80%141.7K55.95%135.54K82.46%118.47K
Related parties assets ------------------84.21K--------------------
Total non current assets 595.26%10.14M586.85%10.2M586.85%10.2M549.74%9.8M671.18%10.52M4.44%1.46M5.73%1.48M5.73%1.48M4.98%1.51M6.51%1.36M
Total assets 141.73%17.17M166.78%16.7M166.78%16.7M192.37%17.27M188.04%16.89M15.82%7.1M-1.42%6.26M-1.42%6.26M1.00%5.91M1.41%5.86M
Liabilities
Current liabilities
Payables 79.28%2.31M85.80%2.24M85.80%2.24M147.71%2.54M25.64%1.25M25.76%1.29M13.05%1.21M13.05%1.21M-33.18%1.02M-14.22%997.13K
-accounts payable 79.28%2.31M85.80%2.24M85.80%2.24M147.71%2.54M25.64%1.25M25.76%1.29M13.05%1.21M13.05%1.21M-33.18%1.02M-14.22%997.13K
Current debt and capital lease obligation 573.58%573.67K461.26%558.98K461.26%558.98K362.90%453.22K-50.33%438.28K-90.54%85.17K-89.15%99.59K-89.15%99.59K-22.68%97.91K1,254.57%882.38K
-Current debt --371.43K--367.71K--367.71K--367.71K-54.54%367.71K------------------808.96K
-Current capital lease obligation 137.46%202.24K92.05%191.27K92.05%191.27K-12.67%85.51K-3.89%70.56K-6.60%85.17K-8.56%99.59K-8.56%99.59K-22.68%97.91K12.71%73.42K
Current deferred liabilities 206.89%1.03M101.10%905.11K101.10%905.11K337.25%1.02M648.94%1.14M62.86%336.57K7.92%450.08K7.92%450.08K-25.00%232.88K-60.91%151.88K
Other current liabilities 0.00%166.67K0.00%166.67K0.00%166.67K439.31%898.86K433.97%889.95K0.00%166.67K0.00%166.67K0.00%166.67K--166.67K--166.67K
Current liabilities 88.37%5.2M82.65%4.59M82.65%4.59M173.82%5.77M70.36%4.57M-4.06%2.76M-20.27%2.51M-20.27%2.51M-14.13%2.11M32.59%2.68M
Non current liabilities
Long term debt and capital lease obligation 1,503.66%2.28M1,501.08%2.44M1,501.08%2.44M1,176.40%2.27M3,551.31%2.28M78.45%142.45K57.02%152.4K57.02%152.4K56.30%177.87K-30.84%62.37K
-Long term debt --1.87M--1.96M--1.96M--2.05M--2.15M--------------------
-Long term capital lease obligation 194.04%418.85K214.21%478.85K214.21%478.85K22.16%217.3K112.21%132.36K78.45%142.45K57.02%152.4K57.02%152.4K56.30%177.87K-30.84%62.37K
Other non current liabilities 328.63%714.38K323.54%705.89K323.54%705.89K318.45%697.41K156.68%855.59K-50.00%166.67K-50.00%166.67K-50.00%166.67K-66.67%166.67K-33.33%333.33K
Total non current liabilities 870.11%3M885.98%3.15M885.98%3.15M761.38%2.97M691.74%3.13M-25.18%309.11K-25.87%319.06K-25.87%319.06K-43.87%344.54K-32.95%395.7K
Total liabilities 167.15%8.19M173.22%7.73M173.22%7.73M256.38%8.74M150.30%7.7M-6.71%3.07M-20.94%2.83M-20.94%2.83M-20.08%2.45M17.78%3.08M
Shareholders'equity
Share capital 27.35%169.15K27.35%169.15K27.35%169.15K27.32%168.88K26.95%167.47K0.69%132.83K0.69%132.83K0.69%132.83K2.09%132.64K2.42%131.92K
-common stock 27.35%169.15K27.35%169.15K27.35%169.15K27.32%168.88K26.95%167.47K0.69%132.83K0.69%132.83K0.69%132.83K2.09%132.64K2.42%131.92K
Retained earnings -0.89%-48.17M-1.97%-48.09M-1.97%-48.09M-3.51%-48.36M-2.06%-48.25M-1.45%-47.74M-0.22%-47.17M-0.22%-47.17M0.04%-46.72M-2.17%-47.28M
Paid-in capital 12.56%56.97M12.75%56.9M12.75%56.9M13.34%56.72M14.70%57.27M1.69%50.61M1.53%50.46M1.53%50.46M1.33%50.04M1.25%49.93M
Other equity interest ----------------------1.03M----------------
Total stockholders'equity 122.41%8.97M161.47%8.97M161.47%8.97M146.92%8.53M229.69%9.19M41.87%4.03M23.79%3.43M23.79%3.43M24.27%3.45M-12.07%2.79M
Total equity 122.41%8.97M161.47%8.97M161.47%8.97M146.92%8.53M229.69%9.19M41.87%4.03M23.79%3.43M23.79%3.43M24.27%3.45M-12.07%2.79M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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