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TGL Treasure Global

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  • 0.334
  • +0.006+1.80%
Trading Nov 27 12:04 ET
3.71MMarket Cap-1757P/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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
48.47%-976.32K
50.70%-4.71M
78.18%-552.38K
55.56%-1.07M
44.73%-1.19M
22.88%-1.89M
-10.35%-9.56M
7.54%-2.53M
-15.41%-2.41M
-91.43%-2.16M
Net income from continuing operations
55.40%-950.71K
43.84%-6.59M
50.53%-1.54M
41.45%-1.71M
40.39%-1.2M
41.95%-2.13M
0.16%-11.73M
-20.68%-3.12M
9.29%-2.93M
36.40%-2.01M
Operating gains losses
----
-1,207.36%-203.33K
----
----
----
----
--18.36K
----
----
----
Depreciation and amortization
609.40%333.17K
433.30%765.38K
814.08%313.57K
700.48%236.28K
283.83%168.56K
31.26%46.97K
136.81%143.52K
34.15%34.31K
139.20%29.52K
334.11%43.92K
Other non cash items
----
-149.74%-641.72K
--0
--0
---880.6K
-76.07%238.88K
1.83%1.29M
-65.68%266.72K
-89.38%25.26K
--0
Change In working capital
-1,421.09%-555.35K
709.20%636.23K
56.79%415.81K
-150.97%-41.46K
254.41%298.39K
85.83%-36.51K
-121.45%-104.44K
120.59%265.2K
-85.64%81.35K
-112.21%-193.25K
-Change in receivables
-152.26%-486.07K
165.45%350.8K
175.51%164.25K
76.30%58.54K
363.24%320.7K
54.22%-192.69K
-536.71%-535.96K
-880.17%-217.53K
-76.25%33.21K
186.94%69.23K
-Change in inventory
-43.89%8.6K
266.94%340.61K
95.42%-9.45K
559.92%74.57K
643.11%260.17K
-76.84%15.32K
-234.95%-204.03K
-38.79%-206.04K
-120.41%-16.21K
-129.79%-47.9K
-Change in prepaid assets
558.19%33.46K
-92.03%-113.18K
-58.26%48.95K
-111.13%-15.84K
-123.36%-138.98K
97.15%-7.3K
-64.96%-58.94K
-30.19%117.26K
151.64%142.36K
-120.02%-62.23K
-Change in payables and accrued expense
-130.72%-34.38K
-73.02%141.74K
-59.34%172.76K
-708.14%-52.49K
24.66%-90.43K
-50.68%111.9K
14.07%525.29K
142.91%424.92K
-101.20%-6.5K
-113.54%-120.02K
-Change in other current liabilities
101.34%131
20.26%-27.16K
103.03%258
-45.94%-8.37K
19.24%-9.26K
-17.32%-9.79K
---34.07K
---8.52K
---5.73K
---11.47K
-Change in other working capital
-267.35%-77.09K
-127.83%-56.57K
-74.83%39.04K
-48.80%-97.87K
-110.00%-43.8K
-65.83%46.06K
195.94%203.26K
144.90%155.1K
-182.17%-65.77K
-106.87%-20.86K
Cash from discontinued investing activities
Operating cash flow
48.47%-976.32K
50.70%-4.71M
78.18%-552.38K
55.56%-1.07M
44.73%-1.19M
22.88%-1.89M
-10.35%-9.56M
7.54%-2.53M
-15.41%-2.41M
-91.43%-2.16M
Investing cash flow
Cash flow from continuing investing activities
-23,759.03%-1.49M
-312.47%-252.61K
-305.15%-45.94K
102.27%257
-429.44%-200.69K
81.88%-6.23K
80.35%-61.24K
136.91%22.4K
82.24%-11.33K
-27.61%-37.91K
Net PPE purchase and sale
--0
72.67%-16.74K
-107.64%-1.71K
94.90%-578
78.32%-8.22K
81.88%-6.23K
80.35%-61.24K
136.91%22.4K
82.24%-11.33K
-27.61%-37.91K
Net intangibles purchase and sale
----
---191.12K
--523
--835
----
----
--0
--0
--0
----
Net business purchase and sale
----
---44.76K
----
----
----
----
--0
----
----
----
Net other investing changes
---1.49M
----
----
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-23,759.03%-1.49M
-312.47%-252.61K
-305.15%-45.94K
102.27%257
-429.44%-200.69K
81.88%-6.23K
80.35%-61.24K
136.91%22.4K
82.24%-11.33K
-27.61%-37.91K
Financing cash flow
Cash flow from continuing financing activities
3,121.55%2.44M
-97.23%350.47K
-88.89%349.25K
-95.98%72.25K
110.18%9.64K
-101.03%-80.66K
55.06%12.66M
-2.83%3.14M
-14.96%1.8M
-105.49%-94.66K
Net issuance payments of debt
75.06%-20.12K
-157.67%-3.56M
-102.63%-82.56K
-96.89%55.9K
-28,682.66%-3.45M
-106.65%-80.66K
-38.92%6.17M
-38.59%3.14M
-30.05%1.8M
-99.14%12.07K
Net common stock issuance
--2.46M
-52.77%3.89M
43,181,000.00%431.81K
--0
--3.46M
--0
--8.24M
--1
---1
--0
Proceeds from stock option exercised by employees
----
--1.4K
--0
--0
----
----
--0
--0
--0
----
Net other financing activities
----
100.94%16.35K
--0
----
----
----
9.79%-1.74M
--0
--0
-132.56%-106.73K
Cash from discontinued financing activities
Financing cash flow
3,121.55%2.44M
-97.23%350.47K
-88.89%349.25K
-95.98%72.25K
110.18%9.64K
-101.03%-80.66K
55.06%12.66M
-2.83%3.14M
-14.96%1.8M
-105.49%-94.66K
Net cash flow
Beginning cash position
-95.65%200.01K
148.95%4.59M
-92.51%306.53K
-74.02%1.23M
-62.66%2.62M
148.95%4.59M
-35.10%1.85M
167.14%4.09M
198.33%4.72M
578.66%7.01M
Current changes in cash
98.67%-26.42K
-251.92%-4.61M
-139.22%-249.07K
-60.28%-998.56K
39.60%-1.39M
-137.25%-1.98M
474.21%3.04M
45.31%635.03K
-1,573.77%-623.03K
-506.58%-2.29M
Effect of exchange rate changes
-2,391.49%-101.03K
176.52%221.33K
204.76%142.55K
2,793.76%78.52K
-160.54%-4.15K
102.81%4.41K
-55.16%-289.26K
-9.23%-136.07K
76.45%-2.92K
147.42%6.86K
End cash Position
-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
Free cash flow
48.64%-976.32K
48.99%-4.92M
78.17%-553.57K
55.78%-1.07M
36.56%-1.4M
23.69%-1.9M
-7.48%-9.65M
9.44%-2.54M
-12.52%-2.42M
-89.80%-2.2M
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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 48.47%-976.32K50.70%-4.71M78.18%-552.38K55.56%-1.07M44.73%-1.19M22.88%-1.89M-10.35%-9.56M7.54%-2.53M-15.41%-2.41M-91.43%-2.16M
Net income from continuing operations 55.40%-950.71K43.84%-6.59M50.53%-1.54M41.45%-1.71M40.39%-1.2M41.95%-2.13M0.16%-11.73M-20.68%-3.12M9.29%-2.93M36.40%-2.01M
Operating gains losses -----1,207.36%-203.33K------------------18.36K------------
Depreciation and amortization 609.40%333.17K433.30%765.38K814.08%313.57K700.48%236.28K283.83%168.56K31.26%46.97K136.81%143.52K34.15%34.31K139.20%29.52K334.11%43.92K
Other non cash items -----149.74%-641.72K--0--0---880.6K-76.07%238.88K1.83%1.29M-65.68%266.72K-89.38%25.26K--0
Change In working capital -1,421.09%-555.35K709.20%636.23K56.79%415.81K-150.97%-41.46K254.41%298.39K85.83%-36.51K-121.45%-104.44K120.59%265.2K-85.64%81.35K-112.21%-193.25K
-Change in receivables -152.26%-486.07K165.45%350.8K175.51%164.25K76.30%58.54K363.24%320.7K54.22%-192.69K-536.71%-535.96K-880.17%-217.53K-76.25%33.21K186.94%69.23K
-Change in inventory -43.89%8.6K266.94%340.61K95.42%-9.45K559.92%74.57K643.11%260.17K-76.84%15.32K-234.95%-204.03K-38.79%-206.04K-120.41%-16.21K-129.79%-47.9K
-Change in prepaid assets 558.19%33.46K-92.03%-113.18K-58.26%48.95K-111.13%-15.84K-123.36%-138.98K97.15%-7.3K-64.96%-58.94K-30.19%117.26K151.64%142.36K-120.02%-62.23K
-Change in payables and accrued expense -130.72%-34.38K-73.02%141.74K-59.34%172.76K-708.14%-52.49K24.66%-90.43K-50.68%111.9K14.07%525.29K142.91%424.92K-101.20%-6.5K-113.54%-120.02K
-Change in other current liabilities 101.34%13120.26%-27.16K103.03%258-45.94%-8.37K19.24%-9.26K-17.32%-9.79K---34.07K---8.52K---5.73K---11.47K
-Change in other working capital -267.35%-77.09K-127.83%-56.57K-74.83%39.04K-48.80%-97.87K-110.00%-43.8K-65.83%46.06K195.94%203.26K144.90%155.1K-182.17%-65.77K-106.87%-20.86K
Cash from discontinued investing activities
Operating cash flow 48.47%-976.32K50.70%-4.71M78.18%-552.38K55.56%-1.07M44.73%-1.19M22.88%-1.89M-10.35%-9.56M7.54%-2.53M-15.41%-2.41M-91.43%-2.16M
Investing cash flow
Cash flow from continuing investing activities -23,759.03%-1.49M-312.47%-252.61K-305.15%-45.94K102.27%257-429.44%-200.69K81.88%-6.23K80.35%-61.24K136.91%22.4K82.24%-11.33K-27.61%-37.91K
Net PPE purchase and sale --072.67%-16.74K-107.64%-1.71K94.90%-57878.32%-8.22K81.88%-6.23K80.35%-61.24K136.91%22.4K82.24%-11.33K-27.61%-37.91K
Net intangibles purchase and sale -------191.12K--523--835----------0--0--0----
Net business purchase and sale -------44.76K------------------0------------
Net other investing changes ---1.49M------------------------------------
Cash from discontinued investing activities
Investing cash flow -23,759.03%-1.49M-312.47%-252.61K-305.15%-45.94K102.27%257-429.44%-200.69K81.88%-6.23K80.35%-61.24K136.91%22.4K82.24%-11.33K-27.61%-37.91K
Financing cash flow
Cash flow from continuing financing activities 3,121.55%2.44M-97.23%350.47K-88.89%349.25K-95.98%72.25K110.18%9.64K-101.03%-80.66K55.06%12.66M-2.83%3.14M-14.96%1.8M-105.49%-94.66K
Net issuance payments of debt 75.06%-20.12K-157.67%-3.56M-102.63%-82.56K-96.89%55.9K-28,682.66%-3.45M-106.65%-80.66K-38.92%6.17M-38.59%3.14M-30.05%1.8M-99.14%12.07K
Net common stock issuance --2.46M-52.77%3.89M43,181,000.00%431.81K--0--3.46M--0--8.24M--1---1--0
Proceeds from stock option exercised by employees ------1.4K--0--0----------0--0--0----
Net other financing activities ----100.94%16.35K--0------------9.79%-1.74M--0--0-132.56%-106.73K
Cash from discontinued financing activities
Financing cash flow 3,121.55%2.44M-97.23%350.47K-88.89%349.25K-95.98%72.25K110.18%9.64K-101.03%-80.66K55.06%12.66M-2.83%3.14M-14.96%1.8M-105.49%-94.66K
Net cash flow
Beginning cash position -95.65%200.01K148.95%4.59M-92.51%306.53K-74.02%1.23M-62.66%2.62M148.95%4.59M-35.10%1.85M167.14%4.09M198.33%4.72M578.66%7.01M
Current changes in cash 98.67%-26.42K-251.92%-4.61M-139.22%-249.07K-60.28%-998.56K39.60%-1.39M-137.25%-1.98M474.21%3.04M45.31%635.03K-1,573.77%-623.03K-506.58%-2.29M
Effect of exchange rate changes -2,391.49%-101.03K176.52%221.33K204.76%142.55K2,793.76%78.52K-160.54%-4.15K102.81%4.41K-55.16%-289.26K-9.23%-136.07K76.45%-2.92K147.42%6.86K
End cash Position -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
Free cash flow 48.64%-976.32K48.99%-4.92M78.17%-553.57K55.78%-1.07M36.56%-1.4M23.69%-1.9M-7.48%-9.65M9.44%-2.54M-12.52%-2.42M-89.80%-2.2M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion with Explanatory Notes------

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