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Treasure Global Inc

TGL
7.140USD
+0.360+5.31%
Close 12/19, 16:00ETQuotes delayed by 15 min
55.30MMarket Cap
LossP/E TTM
You can check out the annual or quarterly balance sheets of Treasure Global Inc here to evaluate the financial health, analyze fundamentals, and calculate key ratios for liquidity, leverage, and return on equity.
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
Total equity
Cash, cash equivalents and short-term investments
971.65%1.25M
-36.26%236.90K
-7.52%283.48K
-37.80%762.88K
-95.54%116.69K
-91.91%371.65K
-92.51%306.53K
-74.02%1.23M
-62.66%2.62M
148.95%4.59M
167.14%4.09M
198.33%4.72M
--7.01M
--1.85M
--1.53M
--1.58M
- Cash and cash equivalents
1623.35%1.25M
18.44%236.90K
-8.32%281.03K
-78.92%258.58K
-97.23%72.56K
-95.65%200.01K
-92.51%306.53K
-74.02%1.23M
-62.66%2.62M
148.95%4.59M
167.14%4.09M
198.33%4.72M
--7.01M
--1.85M
--1.53M
--1.58M
-Short-term investments
----
----
--2.45K
--504.30K
--44.13K
--171.63K
----
----
----
----
----
----
----
----
----
----
Receivables
758.55%1.58M
-3222.25%-4.35M
11751.69%10.07M
437.01%1.06M
11.78%184.57K
-20.55%139.47K
96.36%84.97K
-26.68%198.21K
15536.93%165.13K
2816.08%175.55K
27.64%43.27K
55.38%270.35K
--1.06K
--6.02K
--33.90K
--174.00K
-Accounts and notes receivable
3538.68%1.45M
--1.59M
1130.59%895.13K
38.70%257.47K
-74.01%39.72K
-100.00%0.00
68.10%72.74K
247.39%185.63K
14371.88%152.82K
--163.17K
63.20%43.27K
-66.51%53.44K
--1.06K
--0.00
--26.51K
--159.57K
-Other receivables
-3.68%139.52K
-4364.34%-5.95M
74927.69%9.18M
6313.91%806.93K
1077.42%144.86K
1026.68%139.47K
--12.23K
-94.20%12.58K
--12.30K
105.63%12.38K
----
1403.12%216.91K
----
--6.02K
--7.39K
--14.43K
Inventory
-4.43%21.14K
-52.00%13.18K
-74.08%12.51K
-89.08%13.86K
-94.22%22.12K
-93.14%27.47K
-77.43%48.24K
-35.82%126.88K
170.73%383.00K
85.38%400.54K
140.46%213.76K
16.82%197.69K
--141.47K
--216.07K
--88.90K
--169.22K
Prepaid expenses
905.88%4.28M
888.94%4.20M
-45.97%304.94K
-49.19%294.62K
-38.51%425.73K
-47.08%424.48K
-34.48%564.37K
9.25%579.88K
-18.36%692.31K
289.83%802.19K
124.90%861.39K
390.91%530.77K
--848.02K
--205.78K
--383.01K
--108.12K
Other current assets
-717.17%-2.82M
85613.39%5.43M
212.63%633.17K
----
41.07%456.41K
-110.67%-6.35K
3149.86%202.53K
--247.84K
4344.86%323.54K
--59.49K
283.98%6.23K
----
--7.28K
--0.00
--1.62K
--5.24K
Total current assets
258.50%4.32M
477.32%5.52M
784.37%10.67M
-10.24%2.14M
-71.16%1.21M
-84.14%956.71K
-76.88%1.21M
-58.40%2.38M
-47.78%4.18M
165.34%6.03M
155.82%5.22M
180.51%5.72M
--8.01M
--2.27M
--2.04M
--2.04M
Non-current assets
Net Fixed Assets
351.69%838.04K
17.27%223.91K
-51.46%112.88K
-50.30%137.29K
-37.90%185.54K
-44.00%190.94K
-41.91%232.57K
-34.23%276.23K
-26.14%298.75K
0.99%340.98K
26.39%400.38K
57.23%419.98K
--404.50K
--337.64K
--316.77K
--267.12K
-Fixed Assets
126.96%1.17M
16.05%532.05K
0.09%473.52K
-5.62%468.23K
5.72%514.55K
-7.05%458.47K
-14.35%473.10K
-10.12%496.11K
-1.64%486.70K
21.84%493.23K
52.95%552.40K
91.24%551.97K
--494.82K
--404.82K
--361.17K
--288.62K
-Accumulated depreciation
0.23%329.76K
15.18%308.14K
49.93%360.64K
50.51%330.94K
75.05%329.01K
75.71%267.53K
58.23%240.54K
66.59%219.88K
108.10%187.95K
126.65%152.26K
242.45%152.02K
513.86%131.99K
--90.32K
--67.18K
--44.39K
--21.50K
Goodwill and other intangible assets
-28.03%3.04M
-2.75%3.04M
525.79%15.15M
775.48%14.24M
--4.23M
--3.13M
--2.42M
--1.63M
----
----
----
----
----
----
----
----
Other non-current assets
----
----
--0.00
----
----
----
----
----
----
-100.00%0.00
39.38%66.88K
--100.08K
--0.00
--93.54K
--47.98K
----
Total non-current assets
107.89%12.27M
181.46%9.35M
568.25%19.75M
565.05%16.96M
334.43%5.90M
874.22%3.32M
532.41%2.95M
390.37%2.55M
235.95%1.36M
-20.92%340.98K
28.10%467.25K
94.69%520.06K
--404.50K
--431.18K
--364.76K
--267.12K
Total assets
133.43%16.59M
247.62%14.87M
630.91%30.42M
287.38%19.10M
28.34%7.11M
-32.86%4.28M
-26.82%4.16M
-20.99%4.93M
-34.14%5.54M
135.64%6.37M
136.45%5.69M
170.57%6.24M
--8.41M
--2.70M
--2.40M
--2.31M
Liabilities
Current liabilities
-Other payables
0.03%176.93K
-15.42%172.94K
-21.72%217.93K
-40.30%224.44K
-70.83%176.87K
-64.54%204.47K
-51.11%278.40K
-18.19%375.95K
-1.21%606.43K
-72.01%576.61K
-85.37%569.39K
-89.43%459.57K
--613.83K
--2.06M
--3.89M
--4.35M
Accrued expenses
835.56%3.12M
973.14%3.27M
-21.78%212.36K
-11.17%223.37K
-23.29%333.66K
-35.04%304.94K
38.77%271.49K
30.34%251.45K
122.24%434.94K
-59.60%469.40K
-88.26%195.64K
-82.10%192.92K
--195.70K
--1.16M
--1.67M
--1.08M
Short-term debt and lease liabilities
2.95%27.77K
2.05%45.62K
-9.18%57.17K
23.01%7.25K
-99.29%26.97K
-99.10%44.71K
-97.01%62.95K
14.12%5.89K
102118.21%3.82M
-66.54%4.96M
-4.50%2.11M
-7.12%5.16K
--3.73K
--14.81M
--2.20M
--5.56K
-Short-term debt
20.67%23.42K
5.52%40.49K
-9.98%51.21K
----
-75.96%19.41K
-76.06%38.37K
-76.17%56.89K
--0.00
--80.74K
-88.69%160.29K
--238.69K
----
--0.00
--1.42M
----
----
Deferred liabilities
-99.33%1.39K
-99.54%872.00
6.10%182.10K
-4.98%182.91K
-82.74%208.70K
20.16%188.75K
287.01%171.63K
37.64%192.51K
630.27%1.21M
176.76%157.08K
-63.36%44.35K
238.97%139.86K
--165.58K
--56.76K
--121.03K
--41.26K
Other current liabilities
-54.22%178.33K
-62.48%173.82K
-16.69%415.15K
-41.45%411.04K
-80.21%389.54K
-48.24%463.30K
-33.40%498.31K
-0.71%701.98K
126.81%1.97M
-59.13%895.17K
-82.90%748.19K
-85.12%707.03K
--867.87K
--2.19M
--4.38M
--4.75M
Total current liabilities
324.71%3.52M
309.84%3.67M
21.01%1.30M
-43.41%694.08K
-87.14%829.31K
-86.17%895.11K
-65.11%1.08M
15.34%1.23M
410.17%6.45M
-64.48%6.47M
-64.90%3.09M
-83.49%1.06M
--1.26M
--18.22M
--8.80M
--6.44M
Non-current liabilities
Long-term debt and lease liabilities
3844.54%62.09K
2707.40%77.01K
-100.00%0.00
-100.00%0.00
-94.23%1.57K
-90.90%2.74K
-64.77%13.20K
-65.91%16.35K
-51.17%27.30K
-61.80%30.14K
-99.52%37.46K
-99.38%47.96K
--55.91K
--78.88K
--7.83M
--7.72M
-Long-term debt
----
----
-100.00%0.00
-100.00%0.00
-76.70%1.57K
-66.13%2.74K
-58.82%4.08K
-50.70%5.56K
-46.32%6.75K
-89.73%8.10K
-99.87%9.92K
-99.85%11.29K
--12.59K
--78.88K
--7.83M
--7.72M
-Long-term lease liabilities
--62.09K
--77.01K
----
----
----
-100.00%0.00
-66.91%9.11K
-70.59%10.79K
-52.58%20.55K
--22.04K
--27.54K
--36.67K
--43.33K
----
----
----
Derivatives liabilities
--1.04M
--383.89K
----
----
----
----
----
----
----
----
----
----
----
----
----
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Other non-current liabilities
--0.00
--0.00
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
Total non-current liabilities
69771.79%1.10M
16702.52%460.89K
-100.00%0.00
-100.00%0.00
-94.23%1.57K
-90.90%2.74K
-64.77%13.20K
-65.91%16.35K
-51.17%27.30K
-61.80%30.14K
-99.52%37.46K
-99.38%47.96K
--55.91K
--78.88K
--7.83M
--7.72M
Total liabilities
456.27%4.62M
359.92%4.13M
19.54%1.30M
-44.16%694.08K
-87.17%830.89K
-86.19%897.85K
-65.11%1.09M
11.83%1.24M
390.62%6.48M
-64.47%6.50M
-81.20%3.13M
-92.15%1.11M
--1.32M
--18.30M
--16.63M
--14.16M
Shareholders' equity
Common equity
67.19%75.37M
74.93%72.02M
70.82%67.74M
53.13%59.17M
37.39%45.08M
30.76%41.17M
28.35%39.66M
26.62%38.64M
7.53%32.81M
683.10%31.49M
934.63%30.90M
1321.33%30.52M
--30.52M
--4.02M
--2.99M
--2.15M
Retained earnings
-63.01%-63.54M
-61.47%-61.41M
-4.02%-37.95M
-12.76%-39.21M
-16.10%-38.98M
-20.95%-38.03M
-28.81%-36.49M
-36.91%-34.77M
-43.56%-33.58M
-59.48%-31.44M
-65.33%-28.33M
-82.64%-25.40M
---23.39M
---19.72M
---17.13M
---13.91M
Capital reserves
67.19%75.37M
74.93%72.02M
70.83%67.74M
53.14%59.17M
37.39%45.08M
30.76%41.17M
28.35%39.66M
26.62%38.64M
7.52%32.81M
683.12%31.49M
934.67%30.90M
1321.40%30.51M
--30.51M
--4.02M
--2.99M
--2.15M
Gains losses not affecting retained earnings
-19.92%143.99K
-46.43%128.00K
243.80%140.87K
177.59%138.00K
204.20%179.82K
238.44%238.96K
-761.20%-97.96K
-1442.80%-177.87K
-369.56%-172.57K
-275.20%-172.62K
85.60%-11.38K
114.25%13.25K
---36.75K
--98.52K
---78.99K
---92.92K
Total equity
90.70%11.97M
217.79%10.74M
848.17%29.11M
399.15%18.40M
770.50%6.28M
2693.94%3.38M
19.97%3.07M
-28.11%3.69M
-113.21%-936.36K
99.16%-130.33K
117.99%2.56M
143.26%5.13M
--7.09M
---15.60M
---14.23M
---11.85M
Currency unit
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Audit opinions
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