US Stock MarketDetailed Quotes

LBGJ Li Bang International

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  • 3.282
  • +0.042+1.29%
Close Dec 27 16:00 ET
60.78MMarket Cap-44.35P/E (TTM)

Li Bang International Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q2)Dec 31, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q2)Dec 31, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(Q2)Dec 31, 2021
(FY)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
102.47%153.91K
102.47%153.91K
-64.49%170K
-55.81%76.02K
-55.81%76.02K
458.09%478.77K
64.08%172.03K
--172.03K
--85.79K
-25.31%104.84K
-Cash and cash equivalents
102.47%153.91K
102.47%153.91K
-64.49%170K
-55.81%76.02K
-55.81%76.02K
458.09%478.77K
64.08%172.03K
--172.03K
--85.79K
-25.31%104.84K
Receivables
4.93%12.46M
4.93%12.46M
3.15%12.81M
29.31%11.87M
29.31%11.87M
43.22%12.42M
48.12%9.18M
--9.18M
--8.67M
45.67%6.2M
-Accounts receivable
3.47%12.29M
3.47%12.29M
3.32%12.13M
34.02%11.87M
34.02%11.87M
51.55%11.74M
78.26%8.86M
--8.86M
--7.75M
66.52%4.97M
-Loans receivable
----
----
----
----
----
115.30%670.47K
7.63%307.87K
--307.87K
--311.41K
222.35%286.06K
-Notes receivable
--172.35K
--172.35K
--681.05K
--0
--0
--0
-34.54%15.2K
--15.2K
--0
--23.22K
-Related party accounts receivable
----
----
----
----
----
-98.57%8.75K
----
----
--613.51K
-22.18%920.13K
Inventory
13.17%1.75M
13.17%1.75M
35.04%2M
-27.77%1.55M
-27.77%1.55M
-46.57%1.48M
-46.65%2.14M
--2.14M
--2.77M
-17.39%4.01M
Prepaid assets
8.15%991.52K
8.15%991.52K
107.36%1.44M
35.71%916.82K
35.71%916.82K
-64.06%692.82K
287.09%675.58K
--675.58K
--1.93M
-57.79%174.53K
Restricted cash
-82.74%80.29K
-82.74%80.29K
--138.7K
--465.11K
--465.11K
----
--0
--0
----
----
Other current assets
-31.17%283.06K
-31.17%283.06K
-0.03%178.46K
116.49%411.26K
116.49%411.26K
-61.65%178.52K
-15.47%189.97K
--189.97K
--465.47K
-48.62%224.73K
Total current assets
2.80%15.72M
2.80%15.72M
9.73%16.74M
23.69%15.29M
23.69%15.29M
9.53%15.25M
15.34%12.36M
--12.36M
--13.93M
1.03%10.72M
Non current assets
Net PPE
-9.74%2.79M
-9.74%2.79M
-8.01%3.03M
-15.23%3.09M
-15.23%3.09M
-18.17%3.3M
-10.92%3.65M
--3.65M
--4.03M
8.89%4.09M
-Gross PPE
2.22%6.75M
2.22%6.75M
1.18%6.8M
-4.88%6.61M
-4.88%6.61M
-7.12%6.72M
-0.72%6.95M
--6.95M
--7.23M
17.13%7M
-Accumulated depreciation
-12.73%-3.96M
-12.73%-3.96M
-10.03%-3.76M
-6.57%-3.52M
-6.57%-3.52M
-6.77%-3.42M
-13.67%-3.3M
---3.3M
---3.2M
-31.12%-2.9M
Goodwill and other intangible assets
0.61%1.94M
0.61%1.94M
-2.42%1.96M
-7.83%1.93M
-7.83%1.93M
211.59%2.01M
224.65%2.1M
--2.1M
--645.54K
6.84%645.4K
-Other intangible assets
0.61%1.94M
0.61%1.94M
-2.42%1.96M
-7.83%1.93M
-7.83%1.93M
211.59%2.01M
224.65%2.1M
--2.1M
--645.54K
6.84%645.4K
Investments and advances
1.39%2.67M
1.39%2.67M
--2.68M
--2.63M
--2.63M
----
--0
--0
----
----
Non current accounts receivable
-53.73%670.15K
-53.73%670.15K
-13.19%955.34K
-4.48%1.45M
-4.48%1.45M
11.05%1.1M
38.27%1.52M
--1.52M
--990.95K
32.31%1.1M
Related parties assets
----
----
----
----
----
-98.57%8.75K
----
----
--613.51K
-22.18%920.13K
Non current deferred assets
26.14%1.12M
26.14%1.12M
43.26%970.6K
42.07%888.99K
42.07%888.99K
159.85%677.53K
254.08%625.74K
--625.74K
--260.74K
936.86%176.72K
Other non current assets
132.08%169.93K
132.08%169.93K
-4.63%65.97K
-44.03%73.22K
-44.03%73.22K
-44.39%69.17K
23.18%130.83K
--130.83K
--124.39K
-25.14%106.21K
Total non current assets
-6.97%9.36M
-6.97%9.36M
35.15%9.67M
25.55%10.06M
25.55%10.06M
18.27%7.15M
30.98%8.02M
--8.02M
--6.05M
14.34%6.12M
Total assets
-1.08%25.08M
-1.08%25.08M
17.85%26.41M
24.42%25.35M
24.42%25.35M
12.18%22.41M
21.03%20.38M
--20.38M
--19.97M
5.49%16.84M
Liabilities
Current liabilities
Payables
3.93%8.98M
3.93%8.98M
8.75%9.96M
20.48%8.64M
20.48%8.64M
14.45%9.16M
52.97%7.17M
--7.17M
--8M
3.65%4.69M
-accounts payable
7.67%4.69M
7.67%4.69M
12.33%5.2M
21.00%4.36M
21.00%4.36M
19.54%4.63M
27.13%3.6M
--3.6M
--3.87M
-12.43%2.83M
-Total tax payable
-1.69%3.27M
-1.69%3.27M
1.91%3.31M
13.89%3.33M
13.89%3.33M
44.82%3.24M
116.49%2.92M
--2.92M
--2.24M
278.89%1.35M
-Dividends payable
----
----
----
----
----
----
----
----
--941.07K
----
-Due to related parties current
-15.39%131.57K
-15.39%131.57K
26.70%144.47K
96.22%155.51K
96.22%155.51K
-44.26%114.03K
-50.75%79.26K
--79.26K
--204.56K
-14.26%160.94K
-Other payable
10.79%878.49K
10.79%878.49K
11.83%1.31M
40.70%792.95K
40.70%792.95K
57.54%1.17M
65.17%563.58K
--563.58K
--742.74K
-53.94%341.21K
Current accrued expenses
-3.61%72.08K
-3.61%72.08K
-34.35%76.29K
-37.99%74.78K
-37.99%74.78K
32.31%116.2K
39.12%120.58K
--120.58K
--87.82K
--86.67K
Current debt and capital lease obligation
-28.94%6.94M
-28.94%6.94M
54.88%10.23M
41.15%9.76M
41.15%9.76M
32.72%6.61M
79.97%6.92M
--6.92M
--4.98M
-2.33%3.84M
-Current debt
-28.94%6.94M
-28.94%6.94M
54.88%10.23M
41.15%9.76M
41.15%9.76M
32.72%6.61M
79.97%6.92M
--6.92M
--4.98M
-2.33%3.84M
Current deferred liabilities
-0.22%1.03M
-0.22%1.03M
241.36%1.82M
28.14%1.03M
28.14%1.03M
-60.86%533.85K
-68.58%803.41K
--803.41K
--1.36M
-47.15%2.56M
Other current liabilities
841.54%3.06K
841.54%3.06K
-71.58%3.53K
-97.50%325
-97.50%325
44.32%12.42K
-13.46%13K
--13K
--8.61K
--15.02K
Current liabilities
-12.76%17.02M
-12.76%17.02M
34.49%22.09M
29.83%19.51M
29.83%19.51M
13.76%16.43M
34.27%15.02M
--15.02M
--14.44M
-15.84%11.19M
Non current liabilities
Long term debt and capital lease obligation
1,179.32%3.81M
1,179.32%3.81M
--123.19K
--297.55K
--297.55K
----
----
----
----
----
-Long term debt
1,179.32%3.81M
1,179.32%3.81M
--123.19K
--297.55K
--297.55K
----
----
----
----
----
Total non current liabilities
1,179.32%3.81M
1,179.32%3.81M
--123.19K
--297.55K
--297.55K
--0
--0
--0
--0
--0
Total liabilities
5.15%20.82M
5.15%20.82M
35.24%22.22M
31.81%19.8M
31.81%19.8M
13.76%16.43M
34.27%15.02M
--15.02M
--14.44M
-15.84%11.19M
Shareholders'equity
Share capital
0.00%1.7K
0.00%1.7K
0.00%1.7K
0.00%1.7K
0.00%1.7K
0.00%1.7K
0.00%1.7K
--1.7K
--1.7K
0.00%1.7K
-common stock
0.00%1.7K
0.00%1.7K
0.00%1.7K
0.00%1.7K
0.00%1.7K
0.00%1.7K
0.00%1.7K
--1.7K
--1.7K
0.00%1.7K
Retained earnings
-46.40%1.58M
-46.40%1.58M
-53.74%1.49M
17.69%2.96M
17.69%2.96M
28.54%3.23M
-10.68%2.51M
--2.51M
--2.51M
560.60%2.81M
Paid-in capital
0.00%2.24M
0.00%2.24M
0.00%2.24M
0.00%2.24M
0.00%2.24M
0.00%2.24M
0.00%2.24M
--2.24M
--2.24M
0.00%2.24M
Gains losses not affecting retained earnings
19.41%496.19K
19.41%496.19K
-9.34%519.29K
-37.50%415.54K
-37.50%415.54K
-32.39%572.79K
0.99%664.9K
--664.9K
--847.25K
1,150.27%658.37K
Other equity interest
0.00%-1.7K
0.00%-1.7K
0.00%-1.7K
0.00%-1.7K
0.00%-1.7K
0.00%-1.7K
0.00%-1.7K
---1.7K
---1.7K
0.00%-1.7K
Total stockholders'equity
-23.01%4.32M
-23.01%4.32M
-29.62%4.25M
3.60%5.61M
3.60%5.61M
7.91%6.04M
-5.15%5.41M
--5.41M
--5.6M
110.19%5.71M
Noncontrolling interests
-6.10%-61.85K
-6.10%-61.85K
-3.16%-60.84K
2.80%-58.29K
2.80%-58.29K
4.29%-58.97K
-1.15%-59.97K
---59.97K
---61.61K
-17.38%-59.29K
Total equity
-23.32%4.25M
-23.32%4.25M
-29.95%4.19M
3.67%5.55M
3.67%5.55M
8.04%5.98M
-5.22%5.35M
--5.35M
--5.53M
111.95%5.65M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
--
--
--
--
--
--
--
--
--
(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q2)Dec 31, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q2)Dec 31, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022(Q2)Dec 31, 2021(FY)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 102.47%153.91K102.47%153.91K-64.49%170K-55.81%76.02K-55.81%76.02K458.09%478.77K64.08%172.03K--172.03K--85.79K-25.31%104.84K
-Cash and cash equivalents 102.47%153.91K102.47%153.91K-64.49%170K-55.81%76.02K-55.81%76.02K458.09%478.77K64.08%172.03K--172.03K--85.79K-25.31%104.84K
Receivables 4.93%12.46M4.93%12.46M3.15%12.81M29.31%11.87M29.31%11.87M43.22%12.42M48.12%9.18M--9.18M--8.67M45.67%6.2M
-Accounts receivable 3.47%12.29M3.47%12.29M3.32%12.13M34.02%11.87M34.02%11.87M51.55%11.74M78.26%8.86M--8.86M--7.75M66.52%4.97M
-Loans receivable --------------------115.30%670.47K7.63%307.87K--307.87K--311.41K222.35%286.06K
-Notes receivable --172.35K--172.35K--681.05K--0--0--0-34.54%15.2K--15.2K--0--23.22K
-Related party accounts receivable ---------------------98.57%8.75K----------613.51K-22.18%920.13K
Inventory 13.17%1.75M13.17%1.75M35.04%2M-27.77%1.55M-27.77%1.55M-46.57%1.48M-46.65%2.14M--2.14M--2.77M-17.39%4.01M
Prepaid assets 8.15%991.52K8.15%991.52K107.36%1.44M35.71%916.82K35.71%916.82K-64.06%692.82K287.09%675.58K--675.58K--1.93M-57.79%174.53K
Restricted cash -82.74%80.29K-82.74%80.29K--138.7K--465.11K--465.11K------0--0--------
Other current assets -31.17%283.06K-31.17%283.06K-0.03%178.46K116.49%411.26K116.49%411.26K-61.65%178.52K-15.47%189.97K--189.97K--465.47K-48.62%224.73K
Total current assets 2.80%15.72M2.80%15.72M9.73%16.74M23.69%15.29M23.69%15.29M9.53%15.25M15.34%12.36M--12.36M--13.93M1.03%10.72M
Non current assets
Net PPE -9.74%2.79M-9.74%2.79M-8.01%3.03M-15.23%3.09M-15.23%3.09M-18.17%3.3M-10.92%3.65M--3.65M--4.03M8.89%4.09M
-Gross PPE 2.22%6.75M2.22%6.75M1.18%6.8M-4.88%6.61M-4.88%6.61M-7.12%6.72M-0.72%6.95M--6.95M--7.23M17.13%7M
-Accumulated depreciation -12.73%-3.96M-12.73%-3.96M-10.03%-3.76M-6.57%-3.52M-6.57%-3.52M-6.77%-3.42M-13.67%-3.3M---3.3M---3.2M-31.12%-2.9M
Goodwill and other intangible assets 0.61%1.94M0.61%1.94M-2.42%1.96M-7.83%1.93M-7.83%1.93M211.59%2.01M224.65%2.1M--2.1M--645.54K6.84%645.4K
-Other intangible assets 0.61%1.94M0.61%1.94M-2.42%1.96M-7.83%1.93M-7.83%1.93M211.59%2.01M224.65%2.1M--2.1M--645.54K6.84%645.4K
Investments and advances 1.39%2.67M1.39%2.67M--2.68M--2.63M--2.63M------0--0--------
Non current accounts receivable -53.73%670.15K-53.73%670.15K-13.19%955.34K-4.48%1.45M-4.48%1.45M11.05%1.1M38.27%1.52M--1.52M--990.95K32.31%1.1M
Related parties assets ---------------------98.57%8.75K----------613.51K-22.18%920.13K
Non current deferred assets 26.14%1.12M26.14%1.12M43.26%970.6K42.07%888.99K42.07%888.99K159.85%677.53K254.08%625.74K--625.74K--260.74K936.86%176.72K
Other non current assets 132.08%169.93K132.08%169.93K-4.63%65.97K-44.03%73.22K-44.03%73.22K-44.39%69.17K23.18%130.83K--130.83K--124.39K-25.14%106.21K
Total non current assets -6.97%9.36M-6.97%9.36M35.15%9.67M25.55%10.06M25.55%10.06M18.27%7.15M30.98%8.02M--8.02M--6.05M14.34%6.12M
Total assets -1.08%25.08M-1.08%25.08M17.85%26.41M24.42%25.35M24.42%25.35M12.18%22.41M21.03%20.38M--20.38M--19.97M5.49%16.84M
Liabilities
Current liabilities
Payables 3.93%8.98M3.93%8.98M8.75%9.96M20.48%8.64M20.48%8.64M14.45%9.16M52.97%7.17M--7.17M--8M3.65%4.69M
-accounts payable 7.67%4.69M7.67%4.69M12.33%5.2M21.00%4.36M21.00%4.36M19.54%4.63M27.13%3.6M--3.6M--3.87M-12.43%2.83M
-Total tax payable -1.69%3.27M-1.69%3.27M1.91%3.31M13.89%3.33M13.89%3.33M44.82%3.24M116.49%2.92M--2.92M--2.24M278.89%1.35M
-Dividends payable ----------------------------------941.07K----
-Due to related parties current -15.39%131.57K-15.39%131.57K26.70%144.47K96.22%155.51K96.22%155.51K-44.26%114.03K-50.75%79.26K--79.26K--204.56K-14.26%160.94K
-Other payable 10.79%878.49K10.79%878.49K11.83%1.31M40.70%792.95K40.70%792.95K57.54%1.17M65.17%563.58K--563.58K--742.74K-53.94%341.21K
Current accrued expenses -3.61%72.08K-3.61%72.08K-34.35%76.29K-37.99%74.78K-37.99%74.78K32.31%116.2K39.12%120.58K--120.58K--87.82K--86.67K
Current debt and capital lease obligation -28.94%6.94M-28.94%6.94M54.88%10.23M41.15%9.76M41.15%9.76M32.72%6.61M79.97%6.92M--6.92M--4.98M-2.33%3.84M
-Current debt -28.94%6.94M-28.94%6.94M54.88%10.23M41.15%9.76M41.15%9.76M32.72%6.61M79.97%6.92M--6.92M--4.98M-2.33%3.84M
Current deferred liabilities -0.22%1.03M-0.22%1.03M241.36%1.82M28.14%1.03M28.14%1.03M-60.86%533.85K-68.58%803.41K--803.41K--1.36M-47.15%2.56M
Other current liabilities 841.54%3.06K841.54%3.06K-71.58%3.53K-97.50%325-97.50%32544.32%12.42K-13.46%13K--13K--8.61K--15.02K
Current liabilities -12.76%17.02M-12.76%17.02M34.49%22.09M29.83%19.51M29.83%19.51M13.76%16.43M34.27%15.02M--15.02M--14.44M-15.84%11.19M
Non current liabilities
Long term debt and capital lease obligation 1,179.32%3.81M1,179.32%3.81M--123.19K--297.55K--297.55K--------------------
-Long term debt 1,179.32%3.81M1,179.32%3.81M--123.19K--297.55K--297.55K--------------------
Total non current liabilities 1,179.32%3.81M1,179.32%3.81M--123.19K--297.55K--297.55K--0--0--0--0--0
Total liabilities 5.15%20.82M5.15%20.82M35.24%22.22M31.81%19.8M31.81%19.8M13.76%16.43M34.27%15.02M--15.02M--14.44M-15.84%11.19M
Shareholders'equity
Share capital 0.00%1.7K0.00%1.7K0.00%1.7K0.00%1.7K0.00%1.7K0.00%1.7K0.00%1.7K--1.7K--1.7K0.00%1.7K
-common stock 0.00%1.7K0.00%1.7K0.00%1.7K0.00%1.7K0.00%1.7K0.00%1.7K0.00%1.7K--1.7K--1.7K0.00%1.7K
Retained earnings -46.40%1.58M-46.40%1.58M-53.74%1.49M17.69%2.96M17.69%2.96M28.54%3.23M-10.68%2.51M--2.51M--2.51M560.60%2.81M
Paid-in capital 0.00%2.24M0.00%2.24M0.00%2.24M0.00%2.24M0.00%2.24M0.00%2.24M0.00%2.24M--2.24M--2.24M0.00%2.24M
Gains losses not affecting retained earnings 19.41%496.19K19.41%496.19K-9.34%519.29K-37.50%415.54K-37.50%415.54K-32.39%572.79K0.99%664.9K--664.9K--847.25K1,150.27%658.37K
Other equity interest 0.00%-1.7K0.00%-1.7K0.00%-1.7K0.00%-1.7K0.00%-1.7K0.00%-1.7K0.00%-1.7K---1.7K---1.7K0.00%-1.7K
Total stockholders'equity -23.01%4.32M-23.01%4.32M-29.62%4.25M3.60%5.61M3.60%5.61M7.91%6.04M-5.15%5.41M--5.41M--5.6M110.19%5.71M
Noncontrolling interests -6.10%-61.85K-6.10%-61.85K-3.16%-60.84K2.80%-58.29K2.80%-58.29K4.29%-58.97K-1.15%-59.97K---59.97K---61.61K-17.38%-59.29K
Total equity -23.32%4.25M-23.32%4.25M-29.95%4.19M3.67%5.55M3.67%5.55M8.04%5.98M-5.22%5.35M--5.35M--5.53M111.95%5.65M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion------------------
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Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data. Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data.