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TGL Treasure Global

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  • 0.325
  • +0.013+4.16%
Close Nov 22 16:00 ET
  • 0.330
  • +0.005+1.48%
Post 19:53 ET
3.62MMarket Cap-1711P/E (TTM)

Treasure Global Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-95.54%116.69K
-91.91%371.65K
-91.91%371.65K
-92.51%306.53K
-74.02%1.23M
-62.66%2.62M
148.95%4.59M
148.95%4.59M
167.14%4.09M
198.33%4.72M
-Cash and cash equivalents
-97.23%72.56K
-95.65%200.01K
-95.65%200.01K
-92.51%306.53K
-74.02%1.23M
-62.66%2.62M
148.95%4.59M
148.95%4.59M
167.14%4.09M
198.33%4.72M
-Short-term investments
--44.13K
--171.63K
--171.63K
----
----
----
--0
--0
----
----
Receivables
319.58%692.83K
-141.35%-72.58K
-141.35%-72.58K
-83.95%84.97K
-26.68%198.21K
15,536.93%165.13K
--175.55K
--175.55K
1,896.59%529.38K
66.80%270.35K
-Accounts receivable
-74.01%39.72K
--0
--0
68.10%72.74K
247.39%185.63K
14,371.88%152.82K
--163.17K
--163.17K
63.20%43.27K
-66.51%53.44K
-Related party accounts receivable
13.85%14.01K
-1.07%12.25K
-1.07%12.25K
--12.23K
--12.58K
--12.3K
--12.38K
--12.38K
----
----
-Other receivables
--639.11K
--127.23K
--127.23K
----
----
----
----
----
--486.11K
--216.92K
-Recievables adjustments allowances
----
---212.05K
---212.05K
----
----
----
--0
--0
----
----
Inventory
-94.22%22.12K
-93.14%27.47K
-93.14%27.47K
-77.43%48.24K
-35.82%126.88K
170.73%383K
85.38%400.54K
85.38%400.54K
140.46%213.76K
16.82%197.69K
Prepaid assets
-63.20%373.88K
-26.87%630.18K
-26.87%630.18K
101.01%766.91K
55.95%827.71K
18.77%1.02M
306.83%861.68K
306.83%861.68K
-2.27%381.52K
342.17%530.77K
Total current assets
-71.16%1.21M
-84.14%956.71K
-84.14%956.71K
-76.88%1.21M
-58.40%2.38M
-47.78%4.18M
165.34%6.03M
165.34%6.03M
155.82%5.22M
180.51%5.72M
Non current assets
Net PPE
-37.90%185.54K
-44.00%190.94K
-44.00%190.94K
-41.91%232.57K
-34.23%276.23K
-26.14%298.75K
0.99%340.98K
0.99%340.98K
26.39%400.38K
57.23%419.98K
-Gross PPE
5.72%514.55K
-7.05%458.47K
-7.05%458.47K
-14.35%473.1K
-10.12%496.11K
-1.64%486.7K
21.84%493.23K
21.84%493.23K
52.95%552.4K
91.24%551.97K
-Accumulated depreciation
-75.05%-329.01K
-75.71%-267.53K
-75.71%-267.53K
-58.23%-240.54K
-66.59%-219.88K
-108.10%-187.95K
-126.65%-152.26K
-126.65%-152.26K
-242.45%-152.02K
-513.86%-131.99K
Goodwill and other intangible assets
--4.23M
--3.13M
--3.13M
--2.42M
--1.63M
----
--0
--0
----
----
-Other intangible assets
--4.23M
--3.13M
--3.13M
--2.42M
--1.63M
----
----
----
----
----
Investments and advances
----
----
----
--300.86K
--647.57K
--1.06M
----
----
----
----
Non current accounts receivable
--1.49M
----
----
----
----
----
----
----
----
----
Related parties assets
13.85%14.01K
-1.07%12.25K
-1.07%12.25K
--12.23K
--12.58K
--12.3K
--12.38K
--12.38K
----
----
Non current deferred assets
----
----
----
----
----
----
----
----
--0
--0
Other non current assets
----
----
----
----
----
----
----
----
--66.88K
--100.08K
Total non current assets
334.43%5.9M
874.22%3.32M
874.22%3.32M
532.41%2.95M
390.37%2.55M
235.95%1.36M
-20.92%340.98K
-20.92%340.98K
28.10%467.26K
94.69%520.06K
Total assets
28.34%7.11M
-32.86%4.28M
-32.86%4.28M
-26.82%4.16M
-20.99%4.93M
-34.14%5.54M
135.64%6.37M
135.64%6.37M
136.45%5.69M
170.57%6.24M
Liabilities
Current liabilities
Payables
-61.88%279.26K
-54.16%296.02K
-54.16%296.02K
-10.32%459.2K
8.78%575.64K
-0.78%732.54K
-69.56%645.8K
-69.56%645.8K
-88.50%512.01K
-89.32%529.2K
-accounts payable
-80.82%25.67K
-47.63%22.44K
-47.63%22.44K
--179.99K
94.74%168.54K
-1.06%133.85K
7.88%42.85K
7.88%42.85K
--0
-85.66%86.55K
-Total tax payable
-46.32%33.6K
-37.15%42.46K
-37.15%42.46K
788.34%39.93K
66.07%65.51K
123.97%62.59K
310.74%67.55K
310.74%67.55K
91.68%4.5K
1,214.83%39.45K
-Due to related parties current
--0
-99.76%761
-99.76%761
--0
-96.04%14.41K
-37.63%323.76K
-84.34%322.62K
-84.34%322.62K
-91.10%346.23K
-91.63%363.58K
-Other payable
3.61%220K
8.26%230.36K
8.26%230.36K
48.35%239.28K
725.56%327.19K
279.67%212.34K
3,809.24%212.78K
3,809.24%212.78K
4,739.21%161.29K
1,063.94%39.63K
Current accrued expenses
-42.50%290.53K
-46.43%273.52K
-46.43%273.52K
20.62%310.61K
14.65%285.8K
115.48%505.26K
-55.84%510.62K
-55.84%510.62K
-84.51%257.51K
-76.80%249.28K
Current debt and capital lease obligation
-98.78%46.85K
-98.76%61.97K
-98.76%61.97K
-95.88%88.21K
4.28%39.09K
10,255.89%3.85M
-66.26%5M
-66.26%5M
-2.88%2.14M
574.17%37.48K
-Current debt
-99.29%26.97K
-99.10%44.71K
-99.10%44.71K
-97.01%62.95K
14.12%5.89K
102,118.21%3.82M
-66.54%4.96M
-66.54%4.96M
-4.50%2.11M
-7.12%5.16K
-Current capital lease obligation
-37.35%19.88K
-57.15%17.26K
-57.15%17.26K
-29.11%25.26K
2.70%33.19K
-5.07%31.73K
--40.27K
--40.27K
--35.64K
--32.32K
Current deferred liabilities
-84.39%212.67K
-18.75%258.83K
-18.75%258.83K
23.00%219.91K
31.75%326.03K
436.13%1.36M
144.90%318.56K
144.90%318.56K
-62.98%178.8K
-39.01%247.47K
Other current liabilities
----
--4.78K
--4.78K
----
----
---1
----
----
----
----
Current liabilities
-87.14%829.31K
-86.17%895.11K
-86.17%895.11K
-65.11%1.08M
15.34%1.23M
410.17%6.45M
-64.48%6.47M
-64.48%6.47M
-64.90%3.09M
-83.49%1.06M
Non current liabilities
Long term debt and capital lease obligation
-94.23%1.57K
-90.90%2.74K
-90.90%2.74K
-64.77%13.2K
-65.91%16.35K
-51.17%27.3K
-61.80%30.14K
-61.80%30.14K
-99.52%37.46K
-99.38%47.96K
-Long term debt
-76.70%1.57K
-66.13%2.74K
-66.13%2.74K
-58.82%4.08K
-50.70%5.56K
-46.32%6.76K
-89.73%8.1K
-89.73%8.1K
-99.87%9.92K
-99.85%11.29K
-Long term capital lease obligation
----
--0
--0
-66.91%9.11K
-70.59%10.79K
-52.58%20.55K
--22.04K
--22.04K
--27.54K
--36.67K
Total non current liabilities
-94.23%1.57K
-90.90%2.74K
-90.90%2.74K
-64.77%13.2K
-65.91%16.35K
-51.17%27.3K
-61.80%30.14K
-61.80%30.14K
-99.52%37.46K
-99.38%47.96K
Total liabilities
-87.17%830.89K
-86.19%897.85K
-86.19%897.85K
-65.11%1.09M
11.83%1.24M
390.62%6.48M
-64.47%6.5M
-64.47%6.5M
-81.20%3.13M
-92.15%1.11M
Shareholders'equity
Share capital
-74.52%53
466.67%17
466.67%17
418.75%913
300.00%692
20.23%208
-97.14%3
-97.14%3
67.62%176
64.76%173
-common stock
-74.52%53
466.67%17
466.67%17
418.75%913
300.00%692
20.23%208
-97.14%3
-97.14%3
67.62%176
64.76%173
Retained earnings
-16.10%-38.98M
-20.95%-38.03M
-20.95%-38.03M
-28.81%-36.49M
-36.91%-34.77M
-43.56%-33.58M
-59.48%-31.44M
-59.48%-31.44M
-65.33%-28.33M
-82.64%-25.4M
Paid-in capital
37.39%45.08M
30.76%41.17M
30.76%41.17M
28.35%39.66M
26.62%38.64M
7.52%32.81M
683.12%31.49M
683.12%31.49M
934.67%30.9M
1,321.40%30.51M
Gains losses not affecting retained earnings
204.20%179.82K
238.44%238.96K
238.44%238.96K
-761.20%-97.96K
-1,442.80%-177.87K
-369.56%-172.57K
-275.20%-172.62K
-275.20%-172.62K
85.60%-11.38K
114.25%13.25K
Total stockholders'equity
770.50%6.28M
2,693.94%3.38M
2,693.94%3.38M
19.97%3.07M
-28.11%3.69M
-113.21%-936.36K
99.16%-130.33K
99.16%-130.33K
117.99%2.56M
143.26%5.13M
Total equity
770.50%6.28M
2,693.94%3.38M
2,693.94%3.38M
19.97%3.07M
-28.11%3.69M
-113.21%-936.36K
99.16%-130.33K
99.16%-130.33K
117.99%2.56M
143.26%5.13M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -95.54%116.69K-91.91%371.65K-91.91%371.65K-92.51%306.53K-74.02%1.23M-62.66%2.62M148.95%4.59M148.95%4.59M167.14%4.09M198.33%4.72M
-Cash and cash equivalents -97.23%72.56K-95.65%200.01K-95.65%200.01K-92.51%306.53K-74.02%1.23M-62.66%2.62M148.95%4.59M148.95%4.59M167.14%4.09M198.33%4.72M
-Short-term investments --44.13K--171.63K--171.63K--------------0--0--------
Receivables 319.58%692.83K-141.35%-72.58K-141.35%-72.58K-83.95%84.97K-26.68%198.21K15,536.93%165.13K--175.55K--175.55K1,896.59%529.38K66.80%270.35K
-Accounts receivable -74.01%39.72K--0--068.10%72.74K247.39%185.63K14,371.88%152.82K--163.17K--163.17K63.20%43.27K-66.51%53.44K
-Related party accounts receivable 13.85%14.01K-1.07%12.25K-1.07%12.25K--12.23K--12.58K--12.3K--12.38K--12.38K--------
-Other receivables --639.11K--127.23K--127.23K----------------------486.11K--216.92K
-Recievables adjustments allowances -------212.05K---212.05K--------------0--0--------
Inventory -94.22%22.12K-93.14%27.47K-93.14%27.47K-77.43%48.24K-35.82%126.88K170.73%383K85.38%400.54K85.38%400.54K140.46%213.76K16.82%197.69K
Prepaid assets -63.20%373.88K-26.87%630.18K-26.87%630.18K101.01%766.91K55.95%827.71K18.77%1.02M306.83%861.68K306.83%861.68K-2.27%381.52K342.17%530.77K
Total current assets -71.16%1.21M-84.14%956.71K-84.14%956.71K-76.88%1.21M-58.40%2.38M-47.78%4.18M165.34%6.03M165.34%6.03M155.82%5.22M180.51%5.72M
Non current assets
Net PPE -37.90%185.54K-44.00%190.94K-44.00%190.94K-41.91%232.57K-34.23%276.23K-26.14%298.75K0.99%340.98K0.99%340.98K26.39%400.38K57.23%419.98K
-Gross PPE 5.72%514.55K-7.05%458.47K-7.05%458.47K-14.35%473.1K-10.12%496.11K-1.64%486.7K21.84%493.23K21.84%493.23K52.95%552.4K91.24%551.97K
-Accumulated depreciation -75.05%-329.01K-75.71%-267.53K-75.71%-267.53K-58.23%-240.54K-66.59%-219.88K-108.10%-187.95K-126.65%-152.26K-126.65%-152.26K-242.45%-152.02K-513.86%-131.99K
Goodwill and other intangible assets --4.23M--3.13M--3.13M--2.42M--1.63M------0--0--------
-Other intangible assets --4.23M--3.13M--3.13M--2.42M--1.63M--------------------
Investments and advances --------------300.86K--647.57K--1.06M----------------
Non current accounts receivable --1.49M------------------------------------
Related parties assets 13.85%14.01K-1.07%12.25K-1.07%12.25K--12.23K--12.58K--12.3K--12.38K--12.38K--------
Non current deferred assets ----------------------------------0--0
Other non current assets ----------------------------------66.88K--100.08K
Total non current assets 334.43%5.9M874.22%3.32M874.22%3.32M532.41%2.95M390.37%2.55M235.95%1.36M-20.92%340.98K-20.92%340.98K28.10%467.26K94.69%520.06K
Total assets 28.34%7.11M-32.86%4.28M-32.86%4.28M-26.82%4.16M-20.99%4.93M-34.14%5.54M135.64%6.37M135.64%6.37M136.45%5.69M170.57%6.24M
Liabilities
Current liabilities
Payables -61.88%279.26K-54.16%296.02K-54.16%296.02K-10.32%459.2K8.78%575.64K-0.78%732.54K-69.56%645.8K-69.56%645.8K-88.50%512.01K-89.32%529.2K
-accounts payable -80.82%25.67K-47.63%22.44K-47.63%22.44K--179.99K94.74%168.54K-1.06%133.85K7.88%42.85K7.88%42.85K--0-85.66%86.55K
-Total tax payable -46.32%33.6K-37.15%42.46K-37.15%42.46K788.34%39.93K66.07%65.51K123.97%62.59K310.74%67.55K310.74%67.55K91.68%4.5K1,214.83%39.45K
-Due to related parties current --0-99.76%761-99.76%761--0-96.04%14.41K-37.63%323.76K-84.34%322.62K-84.34%322.62K-91.10%346.23K-91.63%363.58K
-Other payable 3.61%220K8.26%230.36K8.26%230.36K48.35%239.28K725.56%327.19K279.67%212.34K3,809.24%212.78K3,809.24%212.78K4,739.21%161.29K1,063.94%39.63K
Current accrued expenses -42.50%290.53K-46.43%273.52K-46.43%273.52K20.62%310.61K14.65%285.8K115.48%505.26K-55.84%510.62K-55.84%510.62K-84.51%257.51K-76.80%249.28K
Current debt and capital lease obligation -98.78%46.85K-98.76%61.97K-98.76%61.97K-95.88%88.21K4.28%39.09K10,255.89%3.85M-66.26%5M-66.26%5M-2.88%2.14M574.17%37.48K
-Current debt -99.29%26.97K-99.10%44.71K-99.10%44.71K-97.01%62.95K14.12%5.89K102,118.21%3.82M-66.54%4.96M-66.54%4.96M-4.50%2.11M-7.12%5.16K
-Current capital lease obligation -37.35%19.88K-57.15%17.26K-57.15%17.26K-29.11%25.26K2.70%33.19K-5.07%31.73K--40.27K--40.27K--35.64K--32.32K
Current deferred liabilities -84.39%212.67K-18.75%258.83K-18.75%258.83K23.00%219.91K31.75%326.03K436.13%1.36M144.90%318.56K144.90%318.56K-62.98%178.8K-39.01%247.47K
Other current liabilities ------4.78K--4.78K-----------1----------------
Current liabilities -87.14%829.31K-86.17%895.11K-86.17%895.11K-65.11%1.08M15.34%1.23M410.17%6.45M-64.48%6.47M-64.48%6.47M-64.90%3.09M-83.49%1.06M
Non current liabilities
Long term debt and capital lease obligation -94.23%1.57K-90.90%2.74K-90.90%2.74K-64.77%13.2K-65.91%16.35K-51.17%27.3K-61.80%30.14K-61.80%30.14K-99.52%37.46K-99.38%47.96K
-Long term debt -76.70%1.57K-66.13%2.74K-66.13%2.74K-58.82%4.08K-50.70%5.56K-46.32%6.76K-89.73%8.1K-89.73%8.1K-99.87%9.92K-99.85%11.29K
-Long term capital lease obligation ------0--0-66.91%9.11K-70.59%10.79K-52.58%20.55K--22.04K--22.04K--27.54K--36.67K
Total non current liabilities -94.23%1.57K-90.90%2.74K-90.90%2.74K-64.77%13.2K-65.91%16.35K-51.17%27.3K-61.80%30.14K-61.80%30.14K-99.52%37.46K-99.38%47.96K
Total liabilities -87.17%830.89K-86.19%897.85K-86.19%897.85K-65.11%1.09M11.83%1.24M390.62%6.48M-64.47%6.5M-64.47%6.5M-81.20%3.13M-92.15%1.11M
Shareholders'equity
Share capital -74.52%53466.67%17466.67%17418.75%913300.00%69220.23%208-97.14%3-97.14%367.62%17664.76%173
-common stock -74.52%53466.67%17466.67%17418.75%913300.00%69220.23%208-97.14%3-97.14%367.62%17664.76%173
Retained earnings -16.10%-38.98M-20.95%-38.03M-20.95%-38.03M-28.81%-36.49M-36.91%-34.77M-43.56%-33.58M-59.48%-31.44M-59.48%-31.44M-65.33%-28.33M-82.64%-25.4M
Paid-in capital 37.39%45.08M30.76%41.17M30.76%41.17M28.35%39.66M26.62%38.64M7.52%32.81M683.12%31.49M683.12%31.49M934.67%30.9M1,321.40%30.51M
Gains losses not affecting retained earnings 204.20%179.82K238.44%238.96K238.44%238.96K-761.20%-97.96K-1,442.80%-177.87K-369.56%-172.57K-275.20%-172.62K-275.20%-172.62K85.60%-11.38K114.25%13.25K
Total stockholders'equity 770.50%6.28M2,693.94%3.38M2,693.94%3.38M19.97%3.07M-28.11%3.69M-113.21%-936.36K99.16%-130.33K99.16%-130.33K117.99%2.56M143.26%5.13M
Total equity 770.50%6.28M2,693.94%3.38M2,693.94%3.38M19.97%3.07M-28.11%3.69M-113.21%-936.36K99.16%-130.33K99.16%-130.33K117.99%2.56M143.26%5.13M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion with Explanatory Notes------

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