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UUU Universal Security Instruments

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  • 2.230
  • +0.020+0.90%
Close Dec 23 16:00 ET
5.16MMarket Cap-22.30P/E (TTM)

Universal Security Instruments Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-8.09%234.2K
33.52%321.54K
-57.04%65.08K
-57.04%65.08K
-80.43%39.18K
42.45%254.82K
-5.89%240.82K
-65.47%151.5K
-65.47%151.5K
-48.31%200.16K
-Cash and cash equivalents
-8.09%234.2K
33.52%321.54K
-57.04%65.08K
-57.04%65.08K
-80.43%39.18K
42.45%254.82K
-5.89%240.82K
-65.47%151.5K
-65.47%151.5K
-48.31%200.16K
Receivables
106.37%6.46M
-36.73%2.96M
-9.68%3.31M
-9.68%3.31M
-15.99%3.35M
-41.67%3.13M
27.70%4.67M
-10.39%3.66M
-10.39%3.66M
-5.89%3.99M
-Accounts receivable
-65.98%279.67K
-33.66%602.38K
165.74%1.1M
165.74%1.1M
10.53%646.92K
30.23%822K
84.04%907.98K
-58.27%414.69K
-58.27%414.69K
-33.34%585.27K
-Other receivables
167.74%6.18M
-37.48%2.35M
-32.06%2.21M
-32.06%2.21M
-20.55%2.71M
-51.26%2.31M
18.91%3.76M
4.97%3.25M
4.97%3.25M
1.28%3.41M
Inventory
20.38%5.98M
77.41%5.11M
16.94%4.75M
16.94%4.75M
9.98%4.88M
-3.92%4.97M
-57.38%2.88M
-34.76%4.06M
-34.76%4.06M
-13.39%4.44M
Prepaid assets
-58.31%152.43K
-52.87%132.24K
37.10%226.73K
37.10%226.73K
27.46%399.32K
11.41%365.63K
-3.85%280.59K
-31.48%165.38K
-31.48%165.38K
54.58%313.28K
Total current assets
47.12%12.83M
5.51%8.52M
3.83%8.35M
3.83%8.35M
-3.02%8.67M
-21.06%8.72M
-26.35%8.07M
-26.85%8.05M
-26.85%8.05M
-10.17%8.94M
Non current assets
Net PPE
-67.08%79.83K
-57.07%119.74K
-49.89%159.66K
-49.89%159.66K
-44.36%199.4K
-39.09%242.51K
-36.31%278.9K
-33.29%318.64K
-33.29%318.64K
564.66%358.39K
-Gross PPE
----
----
0.00%1.87M
0.00%1.87M
----
----
----
0.00%1.87M
0.00%1.87M
----
-Accumulated depreciation
----
----
-10.22%-1.71M
-10.22%-1.71M
----
----
----
-11.38%-1.56M
-11.38%-1.56M
----
Goodwill and other intangible assets
-13.33%29.07K
-12.90%30.18K
-12.50%31.3K
-12.50%31.3K
-12.12%32.42K
-11.77%33.54K
-11.43%34.66K
-11.11%35.77K
-11.11%35.77K
-10.81%36.89K
-Other intangible assets
----
----
-12.50%31.3K
-12.50%31.3K
----
----
----
-11.11%35.77K
-11.11%35.77K
----
Other non current assets
----
----
----
----
----
----
----
----
----
0.00%4K
Total non current assets
-60.55%108.89K
-52.18%149.93K
-46.12%190.96K
-46.12%190.96K
-41.94%231.82K
-37.28%276.04K
-34.81%313.55K
-32.09%354.41K
-32.09%354.41K
302.16%399.28K
Total assets
43.81%12.94M
3.35%8.67M
1.72%8.54M
1.72%8.54M
-4.69%8.9M
-21.68%9M
-26.71%8.38M
-27.09%8.4M
-27.09%8.4M
-7.08%9.34M
Liabilities
Current liabilities
Payables
53.97%3.06M
83.50%1.53M
150.03%2.37M
150.03%2.37M
77.01%1.88M
-23.62%1.99M
-67.15%831.92K
-62.91%948.47K
-62.91%948.47K
-26.56%1.06M
-accounts payable
53.97%3.06M
83.50%1.53M
150.03%2.37M
150.03%2.37M
77.01%1.88M
-23.62%1.99M
-67.15%831.92K
-62.91%948.47K
-62.91%948.47K
-26.56%1.06M
Current accrued expenses
-8.28%465.54K
-29.65%261.95K
-13.11%269.31K
-13.11%269.31K
31.11%254.06K
28.86%507.56K
14.43%372.37K
-49.97%309.94K
-49.97%309.94K
-22.84%193.78K
Current debt and capital lease obligation
303.82%4.31M
54.66%2.36M
-42.41%927.6K
-42.41%927.6K
-54.39%1.28M
-69.56%1.07M
-59.53%1.52M
-52.21%1.61M
-52.21%1.61M
-19.55%2.8M
-Current debt
362.22%4.22M
62.26%2.22M
-47.32%768.85K
-47.32%768.85K
-57.74%1.12M
-72.83%912.15K
-62.13%1.37M
-54.94%1.46M
-54.94%1.46M
-22.86%2.65M
-Current capital lease obligation
-39.95%93.07K
-13.35%132.66K
4.97%158.74K
4.97%158.74K
4.98%156.85K
5.00%154.97K
5.01%153.1K
14.67%151.23K
14.67%151.23K
239.83%149.41K
Current liabilities
119.90%7.84M
51.95%4.14M
24.38%3.57M
24.38%3.57M
-15.93%3.41M
-45.20%3.56M
-58.81%2.73M
-56.18%2.87M
-56.18%2.87M
-21.66%4.06M
Non current liabilities
Long term debt and capital lease obligation
--0
--0
-92.25%13.33K
-92.25%13.33K
-74.64%53.29K
-62.48%93.07K
-53.58%132.66K
-48.70%172.07K
-48.70%172.07K
--210.14K
-Long term capital lease obligation
--0
--0
-92.25%13.33K
-92.25%13.33K
-74.64%53.29K
-62.48%93.07K
-53.58%132.66K
-48.70%172.07K
-48.70%172.07K
--210.14K
Total non current liabilities
--0
--0
-92.25%13.33K
-92.25%13.33K
-74.64%53.29K
-62.48%93.07K
-53.58%132.66K
-48.70%172.07K
-48.70%172.07K
--210.14K
Total liabilities
114.30%7.84M
44.90%4.14M
17.78%3.58M
17.78%3.58M
-18.82%3.46M
-45.83%3.66M
-58.59%2.86M
-55.82%3.04M
-55.82%3.04M
-17.61%4.27M
Shareholders'equity
Share capital
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
-common stock
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
0.00%23.13K
Retained earnings
-3.17%-7.81M
-13.58%-8.39M
-5.24%-7.95M
-5.24%-7.95M
4.67%-7.47M
7.40%-7.57M
11.84%-7.39M
8.71%-7.55M
8.71%-7.55M
2.49%-7.83M
Paid-in capital
0.00%12.89M
0.00%12.89M
0.00%12.89M
0.00%12.89M
0.00%12.89M
0.00%12.89M
0.00%12.89M
0.00%12.89M
0.00%12.89M
0.00%12.89M
Total stockholders'equity
-4.49%5.1M
-18.16%4.52M
-7.39%4.96M
-7.39%4.96M
7.20%5.44M
12.78%5.34M
21.88%5.52M
15.53%5.36M
15.53%5.36M
4.10%5.07M
Total equity
-4.49%5.1M
-18.16%4.52M
-7.39%4.96M
-7.39%4.96M
7.20%5.44M
12.78%5.34M
21.88%5.52M
15.53%5.36M
15.53%5.36M
4.10%5.07M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -8.09%234.2K33.52%321.54K-57.04%65.08K-57.04%65.08K-80.43%39.18K42.45%254.82K-5.89%240.82K-65.47%151.5K-65.47%151.5K-48.31%200.16K
-Cash and cash equivalents -8.09%234.2K33.52%321.54K-57.04%65.08K-57.04%65.08K-80.43%39.18K42.45%254.82K-5.89%240.82K-65.47%151.5K-65.47%151.5K-48.31%200.16K
Receivables 106.37%6.46M-36.73%2.96M-9.68%3.31M-9.68%3.31M-15.99%3.35M-41.67%3.13M27.70%4.67M-10.39%3.66M-10.39%3.66M-5.89%3.99M
-Accounts receivable -65.98%279.67K-33.66%602.38K165.74%1.1M165.74%1.1M10.53%646.92K30.23%822K84.04%907.98K-58.27%414.69K-58.27%414.69K-33.34%585.27K
-Other receivables 167.74%6.18M-37.48%2.35M-32.06%2.21M-32.06%2.21M-20.55%2.71M-51.26%2.31M18.91%3.76M4.97%3.25M4.97%3.25M1.28%3.41M
Inventory 20.38%5.98M77.41%5.11M16.94%4.75M16.94%4.75M9.98%4.88M-3.92%4.97M-57.38%2.88M-34.76%4.06M-34.76%4.06M-13.39%4.44M
Prepaid assets -58.31%152.43K-52.87%132.24K37.10%226.73K37.10%226.73K27.46%399.32K11.41%365.63K-3.85%280.59K-31.48%165.38K-31.48%165.38K54.58%313.28K
Total current assets 47.12%12.83M5.51%8.52M3.83%8.35M3.83%8.35M-3.02%8.67M-21.06%8.72M-26.35%8.07M-26.85%8.05M-26.85%8.05M-10.17%8.94M
Non current assets
Net PPE -67.08%79.83K-57.07%119.74K-49.89%159.66K-49.89%159.66K-44.36%199.4K-39.09%242.51K-36.31%278.9K-33.29%318.64K-33.29%318.64K564.66%358.39K
-Gross PPE --------0.00%1.87M0.00%1.87M------------0.00%1.87M0.00%1.87M----
-Accumulated depreciation ---------10.22%-1.71M-10.22%-1.71M-------------11.38%-1.56M-11.38%-1.56M----
Goodwill and other intangible assets -13.33%29.07K-12.90%30.18K-12.50%31.3K-12.50%31.3K-12.12%32.42K-11.77%33.54K-11.43%34.66K-11.11%35.77K-11.11%35.77K-10.81%36.89K
-Other intangible assets ---------12.50%31.3K-12.50%31.3K-------------11.11%35.77K-11.11%35.77K----
Other non current assets ------------------------------------0.00%4K
Total non current assets -60.55%108.89K-52.18%149.93K-46.12%190.96K-46.12%190.96K-41.94%231.82K-37.28%276.04K-34.81%313.55K-32.09%354.41K-32.09%354.41K302.16%399.28K
Total assets 43.81%12.94M3.35%8.67M1.72%8.54M1.72%8.54M-4.69%8.9M-21.68%9M-26.71%8.38M-27.09%8.4M-27.09%8.4M-7.08%9.34M
Liabilities
Current liabilities
Payables 53.97%3.06M83.50%1.53M150.03%2.37M150.03%2.37M77.01%1.88M-23.62%1.99M-67.15%831.92K-62.91%948.47K-62.91%948.47K-26.56%1.06M
-accounts payable 53.97%3.06M83.50%1.53M150.03%2.37M150.03%2.37M77.01%1.88M-23.62%1.99M-67.15%831.92K-62.91%948.47K-62.91%948.47K-26.56%1.06M
Current accrued expenses -8.28%465.54K-29.65%261.95K-13.11%269.31K-13.11%269.31K31.11%254.06K28.86%507.56K14.43%372.37K-49.97%309.94K-49.97%309.94K-22.84%193.78K
Current debt and capital lease obligation 303.82%4.31M54.66%2.36M-42.41%927.6K-42.41%927.6K-54.39%1.28M-69.56%1.07M-59.53%1.52M-52.21%1.61M-52.21%1.61M-19.55%2.8M
-Current debt 362.22%4.22M62.26%2.22M-47.32%768.85K-47.32%768.85K-57.74%1.12M-72.83%912.15K-62.13%1.37M-54.94%1.46M-54.94%1.46M-22.86%2.65M
-Current capital lease obligation -39.95%93.07K-13.35%132.66K4.97%158.74K4.97%158.74K4.98%156.85K5.00%154.97K5.01%153.1K14.67%151.23K14.67%151.23K239.83%149.41K
Current liabilities 119.90%7.84M51.95%4.14M24.38%3.57M24.38%3.57M-15.93%3.41M-45.20%3.56M-58.81%2.73M-56.18%2.87M-56.18%2.87M-21.66%4.06M
Non current liabilities
Long term debt and capital lease obligation --0--0-92.25%13.33K-92.25%13.33K-74.64%53.29K-62.48%93.07K-53.58%132.66K-48.70%172.07K-48.70%172.07K--210.14K
-Long term capital lease obligation --0--0-92.25%13.33K-92.25%13.33K-74.64%53.29K-62.48%93.07K-53.58%132.66K-48.70%172.07K-48.70%172.07K--210.14K
Total non current liabilities --0--0-92.25%13.33K-92.25%13.33K-74.64%53.29K-62.48%93.07K-53.58%132.66K-48.70%172.07K-48.70%172.07K--210.14K
Total liabilities 114.30%7.84M44.90%4.14M17.78%3.58M17.78%3.58M-18.82%3.46M-45.83%3.66M-58.59%2.86M-55.82%3.04M-55.82%3.04M-17.61%4.27M
Shareholders'equity
Share capital 0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K
-common stock 0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K0.00%23.13K
Retained earnings -3.17%-7.81M-13.58%-8.39M-5.24%-7.95M-5.24%-7.95M4.67%-7.47M7.40%-7.57M11.84%-7.39M8.71%-7.55M8.71%-7.55M2.49%-7.83M
Paid-in capital 0.00%12.89M0.00%12.89M0.00%12.89M0.00%12.89M0.00%12.89M0.00%12.89M0.00%12.89M0.00%12.89M0.00%12.89M0.00%12.89M
Total stockholders'equity -4.49%5.1M-18.16%4.52M-7.39%4.96M-7.39%4.96M7.20%5.44M12.78%5.34M21.88%5.52M15.53%5.36M15.53%5.36M4.10%5.07M
Total equity -4.49%5.1M-18.16%4.52M-7.39%4.96M-7.39%4.96M7.20%5.44M12.78%5.34M21.88%5.52M15.53%5.36M15.53%5.36M4.10%5.07M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----
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