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Farmmi Inc

FAMI

1.650USD

-0.051-2.99%
Close 08/04, 16:00ETQuotes delayed by 15 min
1.47MMarket Cap
--P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025H1
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
Total equity
Cash, cash equivalents and short-term investments
-20.82%890.34K
-96.20%486.52K
-98.38%1.12M
-68.94%12.79M
348.73%69.36M
-30.51%41.17M
7.59%15.46M
10709.41%59.25M
181.68%14.37M
305.66%548.15K
-4.46%5.10M
-97.26%135.13K
9.67%5.34M
90.12%4.93M
8223.21%4.87M
--2.59M
--58.48K
- Cash and cash equivalents
-20.82%890.34K
-96.20%486.52K
-98.38%1.12M
-68.93%12.79M
354.12%69.36M
-30.52%41.17M
6.31%15.27M
10709.41%59.25M
181.68%14.37M
305.66%548.15K
-4.46%5.10M
-97.26%135.13K
9.67%5.34M
90.12%4.93M
8223.21%4.87M
--2.59M
--58.48K
-Short-term investments
----
----
----
-100.00%0.00
-99.65%648.00
--5.82K
--183.63K
----
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----
----
----
----
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Receivables
-79.53%4.73M
32.21%32.77M
-15.53%23.13M
-9.47%24.79M
-12.59%27.38M
11.88%27.38M
126.92%31.32M
127.49%24.47M
8.93%13.80M
-22.20%10.76M
-9.45%12.67M
60.74%13.83M
52.36%13.99M
67.22%8.60M
81.56%9.18M
--5.14M
--5.06M
-Accounts and notes receivable
-79.86%4.64M
31.54%32.46M
-15.82%23.02M
50.92%24.68M
42.76%27.34M
-33.19%16.35M
38.76%19.15M
127.49%24.47M
52.77%13.80M
-22.20%10.76M
-35.44%9.04M
60.74%13.83M
52.36%13.99M
67.22%8.60M
379.04%9.18M
--5.14M
--1.92M
-Other receivables
-11.00%97.68K
181.51%312.36K
211.77%109.75K
-98.99%110.96K
-99.71%35.20K
--11.03M
--12.17M
----
----
----
--3.64M
----
----
----
----
--0.00
--3.14M
Inventory
-94.86%1.56M
40.73%5.49M
6750.92%30.29M
444.74%3.90M
-91.68%442.18K
-47.78%716.28K
529.05%5.32M
135.00%1.37M
18.99%845.00K
-60.00%583.64K
-61.83%710.16K
-19.30%1.46M
-21.02%1.86M
13.60%1.81M
15.85%2.36M
--1.59M
--2.03M
Prepaid expenses
0.80%101.24M
4.97%122.13M
70.31%100.44M
139.23%116.34M
-16.51%58.98M
-27.11%48.63M
440.39%70.64M
185.47%66.72M
11.42%13.07M
66.53%23.37M
38.21%11.73M
139.15%14.03M
90.07%8.49M
42.68%5.87M
-15.36%4.47M
--4.11M
--5.28M
Other current assets
-100.00%0.00
201.77%1.05M
-30.92%283.49K
-99.02%347.23K
-98.97%410.36K
976.38%35.35M
774.22%39.83M
86.56%3.28M
475.68%4.56M
607.88%1.76M
8.78%791.38K
83.78%248.69K
323.27%727.49K
-55.18%135.31K
1641.92%171.88K
--301.88K
--9.87K
Total current assets
-29.21%109.92M
2.37%161.93M
-0.83%155.27M
3.21%158.17M
-3.69%156.56M
-1.32%153.25M
248.53%162.56M
319.49%155.31M
50.43%46.64M
24.63%37.02M
1.96%31.01M
39.20%29.71M
44.49%30.41M
55.29%21.34M
69.22%21.05M
--13.74M
--12.44M
Non-current assets
Net Fixed Assets
49.51%14.46M
72.43%16.78M
-7.78%9.67M
-4.79%9.73M
-13.04%10.49M
1093.48%10.22M
1102.92%12.06M
-21.38%856.15K
69.94%1.00M
680.78%1.09M
380.89%589.89K
2.28%139.47K
57.99%122.67K
33.02%136.36K
63.14%77.64K
--102.52K
--47.59K
-Fixed Assets
----
71.14%16.83M
-8.24%9.72M
-4.58%9.83M
-12.79%10.59M
1017.15%10.31M
900.64%12.14M
-27.23%922.61K
46.69%1.21M
250.38%1.27M
--827.39K
--361.83K
----
----
----
--278.98K
--203.21K
-Accumulated depreciation
----
-47.90%55.20K
-53.61%48.80K
18.93%105.94K
22.32%105.18K
34.02%89.08K
-59.29%85.99K
-62.83%66.47K
-11.06%211.24K
-19.57%178.84K
--237.50K
--222.36K
----
----
----
--176.46K
--155.62K
Goodwill and other intangible assets
----
----
----
-100.00%0.00
-100.00%0.00
-83.16%6.75K
-63.26%22.72K
-50.31%40.08K
-47.42%61.83K
111.46%80.64K
18.17%117.59K
--38.13K
--99.51K
----
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----
Long-term prepaid expenses
----
----
----
----
----
-100.00%0.00
--0.00
--9.31M
----
----
----
----
----
----
-8.83%21.81K
----
--23.92K
Other non-current assets
--0.00
--1.00M
----
-100.00%0.00
--169.05K
-98.25%163.21K
--0.00
--9.31M
----
-100.00%0.00
-100.00%0.00
0.00%600.00K
-3.51%600.00K
--600.00K
2499.53%621.81K
----
--23.92K
Total non-current assets
624.08%120.51M
49.19%24.81M
-7.47%16.64M
57.94%16.63M
46.96%17.99M
1.42%10.53M
1049.99%12.24M
787.62%10.38M
50.43%1.06M
50.41%1.17M
-13.95%707.49K
5.60%777.60K
17.55%822.18K
618.29%736.36K
878.08%699.45K
--102.52K
--71.51K
Total assets
34.04%230.43M
6.83%186.73M
-1.51%171.91M
6.73%174.80M
-0.14%174.55M
-1.15%163.78M
266.41%174.80M
333.83%165.69M
50.43%47.71M
25.29%38.19M
1.54%31.71M
38.08%30.48M
43.62%31.23M
59.46%22.08M
73.84%21.75M
--13.84M
--12.51M
Liabilities
Current liabilities
-Other payables
4538.65%51.08M
328.40%1.12M
32.97%1.10M
-0.49%260.94K
703.72%828.16K
19.55%262.23K
-95.26%103.04K
-91.31%219.35K
-10.77%2.18M
-28.29%2.52M
272.69%2.44M
731.48%3.52M
725.55%654.09K
-8.23%423.18K
-83.96%79.23K
--461.11K
--494.06K
Short-term debt and lease liabilities
-30.40%4.09M
-38.51%5.46M
-36.63%5.88M
140.17%8.88M
319.96%9.27M
70.12%3.70M
-58.54%2.21M
-58.94%2.17M
43.42%5.33M
22.29%5.29M
-49.79%3.71M
197.29%4.33M
322.34%7.40M
-11.94%1.46M
-43.60%1.75M
--1.65M
--3.11M
-Short-term debt
-30.40%4.09M
-35.91%5.26M
-23.62%5.88M
274.32%8.20M
248.41%7.69M
0.83%2.19M
-58.54%2.21M
-58.94%2.17M
43.42%5.33M
22.29%5.29M
-44.91%3.71M
197.29%4.33M
284.90%6.74M
-11.94%1.46M
-29.01%1.75M
--1.65M
--2.47M
Deferred liabilities
----
-94.35%22.61K
-89.93%48.30K
-37.22%400.00K
1165.25%479.49K
--637.16K
--37.90K
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Other current liabilities
4343.74%51.08M
72.55%1.14M
-12.10%1.15M
-26.51%660.94K
827.82%1.31M
310.03%899.39K
-93.52%140.94K
-91.31%219.35K
-12.60%2.18M
-28.41%2.52M
251.03%2.49M
732.88%3.52M
376.99%709.05K
-8.23%423.18K
-72.10%148.65K
--461.11K
--532.79K
Total current liabilities
722.70%58.57M
-6.09%10.06M
-39.96%7.12M
29.24%10.71M
262.01%11.86M
99.91%8.29M
-58.58%3.28M
-50.45%4.15M
18.00%7.91M
2.73%8.37M
-21.41%6.70M
266.58%8.15M
289.16%8.53M
-12.17%2.22M
-49.33%2.19M
--2.53M
--4.33M
Non-current liabilities
Long-term debt and lease liabilities
1189.01%5.63M
193.83%6.20M
-37.71%436.54K
160.82%2.11M
-19.82%700.78K
8.21%809.44K
51.46%873.98K
11.78%748.06K
122.90%577.02K
--669.20K
--258.86K
-100.00%0.00
-100.00%0.00
-3.13%640.46K
--700.56K
--661.17K
--0.00
-Long-term debt
--3.39M
31.77%2.18M
-100.00%0.00
465.39%1.65M
81.05%176.80K
105.45%292.29K
--97.65K
--142.26K
----
----
----
-100.00%0.00
-100.00%0.00
-3.13%640.46K
--700.56K
--661.17K
----
-Long-term lease liabilities
413.36%2.24M
777.77%4.03M
-16.69%436.54K
-11.32%458.62K
-32.50%523.99K
-14.63%517.16K
34.54%776.33K
-9.48%605.79K
122.90%577.02K
--669.20K
--258.86K
----
----
----
----
----
----
Other non-current liabilities
--0.00
--454.02K
----
----
----
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----
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----
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Total non-current liabilities
1189.01%5.63M
215.33%6.66M
-37.71%436.54K
160.82%2.11M
-19.82%700.78K
8.21%809.44K
51.46%873.98K
11.78%748.06K
122.90%577.02K
--669.20K
--258.86K
-100.00%0.00
-100.00%0.00
-3.13%640.46K
--700.56K
--661.17K
----
Total liabilities
749.64%64.20M
30.36%16.72M
-39.84%7.56M
40.94%12.82M
202.65%12.56M
85.90%9.10M
-51.10%4.15M
-45.84%4.89M
21.90%8.49M
10.95%9.04M
-18.38%6.96M
184.56%8.15M
194.89%8.53M
-10.30%2.86M
-33.14%2.89M
--3.19M
--4.33M
Shareholders' equity
Common equity
1.28%164.83M
1.18%163.71M
6.54%162.74M
5.91%161.79M
-2.95%152.76M
1.99%152.76M
438.84%157.40M
629.09%149.77M
71.32%29.21M
40.90%20.54M
15.59%17.05M
31.21%14.58M
16.14%14.75M
93.18%11.11M
133.16%12.70M
--5.75M
--5.45M
Retained earnings
-27.71%13.90M
-25.02%13.95M
8.80%19.23M
15.84%18.60M
33.44%17.68M
58.97%16.06M
45.48%13.25M
30.46%10.10M
32.69%9.11M
11.90%7.74M
-2.76%6.86M
-4.25%6.92M
35.60%7.06M
80.46%7.23M
178.31%5.20M
--4.00M
--1.87M
Capital reserves
0.21%161.67M
0.62%161.57M
6.03%161.34M
5.53%160.57M
-2.96%152.16M
1.97%152.16M
437.31%156.80M
627.10%149.22M
71.32%29.18M
40.88%20.52M
15.58%17.03M
31.23%14.57M
16.15%14.74M
93.31%11.10M
133.37%12.69M
--5.74M
--5.44M
Gains losses not affecting retained earnings
30.09%-12.32M
58.38%-7.66M
-108.67%-17.62M
-30.30%-18.42M
---8.44M
---14.13M
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Non-controlling interests
---180.74K
--26.91K
----
----
--0.00
-100.00%0.00
-100.00%0.00
5.35%916.51K
7.66%902.62K
3.69%869.98K
-6.33%838.42K
-4.15%839.05K
-5.61%895.08K
-2.36%875.37K
9.51%948.27K
--896.58K
--865.92K
Total equity
1.14%166.23M
4.96%170.02M
1.46%164.35M
4.71%161.98M
-5.07%161.99M
-3.80%154.68M
335.12%170.65M
451.51%160.79M
58.45%39.22M
30.52%29.16M
9.03%24.75M
16.26%22.34M
20.42%22.70M
80.36%19.21M
130.39%18.85M
--10.65M
--8.18M
Currency unit
USD
USD
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Audit opinions
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