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Ostin Technology Group Co Ltd

OST

0.080USD

+0.002+2.56%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
227.77KCap. mercado
--P/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q2
FY2024Q4
FY2024Q2
FY2023Q4
FY2023Q2
FY2022Q4
FY2022Q2
FY2021Q4
FY2021Q2
FY2020Q4
FY2020Q2
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-2.58%1.70M
19.90%1.02M
-33.42%1.74M
-76.63%854.52K
-25.81%2.62M
434.23%3.66M
64.76%3.53M
-87.19%684.34K
-23.01%2.14M
--5.34M
--2.78M
Efectivo y equivalentes de efectivo
-2.58%1.70M
19.90%1.02M
-33.42%1.74M
-76.63%854.52K
-25.81%2.62M
434.23%3.66M
64.76%3.53M
-87.19%684.34K
-23.01%2.14M
--5.34M
--2.78M
Por cobrar
64.57%12.11M
-14.80%7.36M
-13.96%7.36M
-30.66%8.64M
-56.38%8.55M
-62.69%12.46M
-33.39%19.61M
55.68%33.40M
73.92%29.44M
--21.45M
--16.93M
-Cuentas y pagarés por cobrar
-2.65%4.68M
-39.57%3.92M
3.36%4.81M
3.42%6.48M
-70.12%4.65M
-75.56%6.27M
5.53%15.57M
115.36%25.65M
76.94%14.75M
--11.91M
--8.34M
-Otros por cobrar
256.94%6.92M
89.65%2.86M
-38.02%1.94M
-75.25%1.51M
-13.02%3.13M
-16.48%6.10M
-74.08%3.59M
-14.64%7.30M
73.72%13.87M
--8.55M
--7.98M
Inventario
-22.24%8.65M
-22.95%11.11M
-31.31%11.12M
-6.57%14.42M
-19.56%16.19M
-17.41%15.43M
26.07%20.13M
4.13%18.69M
64.81%15.97M
--17.95M
--9.69M
Gastos prepago
37.38%638.33K
368.78%1.03M
-24.07%464.64K
6.15%220.35K
-69.67%611.95K
-85.45%207.58K
--2.02M
167.67%1.43M
----
--533.04K
--648.81K
Otros activos corrientes
-0.50%304.55K
3.97%314.92K
-4.89%306.08K
100.64%302.91K
--321.80K
--150.97K
----
----
11168.14%1.13M
--18.09K
--10.01K
Total de activos corrientes
11.46%23.40M
-14.70%20.84M
-25.81%21.00M
-23.41%24.44M
-37.52%28.30M
-41.12%31.91M
-6.96%45.29M
19.65%54.19M
61.94%48.68M
--45.29M
--30.06M
Activos no corrientes
Activos fijos netos
1.05%24.07M
-2.68%24.52M
1.61%23.82M
29.74%25.20M
16.59%23.44M
-0.27%19.42M
14.52%20.11M
30.27%19.47M
43.53%17.56M
--14.95M
--12.23M
-Activos fijos
----
4.74%34.34M
6.79%32.42M
31.06%32.79M
--30.35M
6.26%25.02M
----
30.63%23.55M
40.55%20.53M
--18.02M
--14.61M
-Depreciación acumulada
----
29.37%9.82M
24.37%8.59M
35.63%7.59M
--6.91M
37.47%5.60M
----
32.39%4.07M
25.15%2.97M
--3.08M
--2.37M
Fondo de comercio y otros activos intangibles
-16.67%5.12M
-11.62%5.71M
39.36%6.15M
51.87%6.46M
181.09%4.41M
161.79%4.25M
-8.23%1.57M
-10.00%1.62M
328.93%1.71M
--1.81M
--398.63K
Otros activos no actuales
----
----
----
-100.00%0.00
4.29%558.87K
-8.38%616.76K
-36.33%535.88K
-23.68%673.18K
25.08%841.65K
--882.01K
--672.91K
Total de activos no actuales
-4.11%29.19M
-5.86%30.23M
3.64%30.44M
26.79%32.11M
32.24%29.38M
16.32%25.33M
10.45%22.21M
23.45%21.77M
51.15%20.11M
--17.64M
--13.31M
Total de activos
2.25%52.60M
-9.68%51.07M
-10.81%51.44M
-1.20%56.55M
-14.56%57.68M
-24.66%57.23M
-1.87%67.51M
20.72%75.97M
58.63%68.79M
--62.93M
--43.37M
Pasivos
Pasivos corrientes
-Otros por pagar
30.58%5.63M
64.88%4.96M
104.80%4.31M
311.16%3.01M
58.79%2.10M
-77.14%731.00K
0.95%1.33M
250.11%3.20M
-5.45%1.31M
--913.16K
--1.39M
Gastos acumulados
180.26%5.42M
44.14%2.95M
26.33%1.93M
4.81%2.04M
-43.37%1.53M
-25.92%1.95M
-70.92%2.70M
-58.38%2.63M
219.02%9.30M
--6.32M
--2.91M
Deuda a corto plazo y pasivos por arrendamiento
-13.01%23.61M
9.06%26.08M
9.56%27.14M
13.67%23.92M
-21.55%24.77M
-35.10%21.04M
93.60%31.58M
114.14%32.42M
15.93%16.31M
--15.14M
--14.07M
-Deuda a corto plazo
-9.53%23.61M
4.56%25.01M
5.35%26.10M
13.67%23.92M
-21.55%24.77M
-35.10%21.04M
93.60%31.58M
114.14%32.42M
15.93%16.31M
--15.14M
--14.07M
Otros pasivos corrientes
50.99%7.04M
48.70%5.46M
22.92%4.66M
67.05%3.67M
-21.94%3.79M
-71.48%2.20M
-38.03%4.86M
15.47%7.70M
204.34%7.84M
--6.67M
--2.58M
Total pasivos corrientes
14.82%44.84M
1.06%40.96M
5.12%39.05M
28.44%40.53M
-26.84%37.15M
-47.90%31.56M
-7.81%50.78M
17.90%60.57M
61.50%55.08M
--51.37M
--34.10M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
166.14%1.93M
34.34%2.23M
149.01%725.17K
--1.66M
--291.22K
-100.00%0.00
-100.00%0.00
-98.11%5.58K
30.44%385.25K
--295.01K
--295.35K
-Deuda a largo plazo
166.14%1.93M
35.40%2.23M
149.01%725.17K
--1.64M
--291.22K
----
----
----
--285.83K
----
----
-Pasivos por arrendamiento a largo plazo
----
-100.00%0.00
--0.00
--12.89K
----
-100.00%0.00
-100.00%0.00
-98.11%5.58K
-66.34%99.42K
--295.01K
--295.35K
Otros pasivos no corrientes
----
----
----
416.43%271.59K
4.24%47.28K
-72.89%52.59K
--45.36K
--194.02K
----
----
----
Total pasivos no corrientes
168.28%1.95M
15.43%2.23M
114.23%725.17K
3568.42%1.93M
646.29%338.50K
-73.65%52.59K
-88.23%45.36K
-32.34%199.60K
30.44%385.25K
--295.01K
--295.35K
Total pasivos
17.62%46.79M
1.71%43.19M
6.10%39.78M
34.33%42.46M
-26.23%37.49M
-47.98%31.61M
-8.37%50.82M
17.61%60.76M
61.24%55.46M
--51.67M
--34.40M
Capital de los accionistas
Capital ordinario
7.76%26.12M
5.18%24.46M
4.21%24.24M
0.00%23.26M
114.21%23.26M
114.21%23.26M
2.43%10.86M
3.54%10.86M
1.84%10.60M
--10.49M
--10.41M
Ganancias retenidas
-91.30%-22.21M
-144.40%-17.03M
-1051.14%-11.61M
-275.05%-6.97M
-120.24%-1.01M
5.26%3.98M
135.77%4.98M
453.87%3.78M
290.93%2.11M
--682.78K
---1.11M
Reservas de capital
7.75%26.11M
5.18%24.46M
4.21%24.24M
0.00%23.26M
114.22%23.26M
114.22%23.26M
2.43%10.86M
3.54%10.86M
1.86%10.60M
--10.49M
--10.41M
Pérdidas de ganancias que no afectan a las ganancias retenidas
47.54%-1.23M
3.90%-2.24M
-1.84%-2.34M
-22.58%-2.33M
-3885.59%-2.30M
-501.90%-1.90M
35.28%-57.74K
44.13%-316.02K
89.70%-89.22K
---565.67K
---866.64K
Intereses no controladores
127.04%3.13M
1969.08%2.69M
477.21%1.38M
-54.94%130.22K
-73.52%238.88K
-67.12%289.00K
27.82%902.02K
33.28%878.97K
32.74%705.70K
--659.47K
--531.66K
Capital total
-50.19%5.81M
-44.02%7.89M
-42.22%11.66M
-45.02%14.09M
21.00%20.19M
68.57%25.63M
25.16%16.68M
34.97%15.20M
48.65%13.33M
--11.26M
--8.97M
Unidad monetaria
USD
USD
USD
USD
USD
USD
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Opiniones de evaluación
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