US Stock MarketDetailed Quotes

VSME VS MEDIA Holdings

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  • 1.140
  • +0.030+2.70%
Close Nov 25 16:00 ET
4.14MMarket Cap-543P/E (TTM)

VS MEDIA Holdings Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
82.82%1.5M
82.82%1.5M
-23.30%597.02K
4.45%820.57K
4.45%820.57K
--778.4K
-7.96%785.59K
--785.59K
--853.5K
-Cash and cash equivalents
82.82%1.5M
82.82%1.5M
-23.30%597.02K
4.45%820.57K
4.45%820.57K
--778.4K
-7.96%785.59K
--785.59K
--853.5K
Receivables
31.23%8.49M
31.23%8.49M
11.11%6.84M
131.95%6.47M
131.95%6.47M
--6.15M
11.20%2.79M
--2.79M
--2.51M
-Accounts receivable
11.14%2.13M
11.14%2.13M
-18.26%1.64M
-25.38%1.92M
-25.38%1.92M
--2M
9.98%2.57M
--2.57M
--2.34M
-Related party accounts receivable
-75.20%1.8K
-75.20%1.8K
-87.93%455.09K
--7.25K
--7.25K
--3.77M
--0
--0
--27.4K
-Other receivables
39.88%6.36M
39.88%6.36M
1,136.38%4.75M
1,968.58%4.55M
1,968.58%4.55M
--384.03K
51.97%219.75K
--219.75K
--144.6K
Inventory
----
----
----
----
----
--0
-88.00%9.18K
--9.18K
--76.52K
Total current assets
37.04%9.99M
37.04%9.99M
7.25%7.44M
103.14%7.29M
103.14%7.29M
--6.93M
4.38%3.59M
--3.59M
--3.44M
Non current assets
Net PPE
-57.91%53.75K
-57.91%53.75K
-28.48%121.48K
-42.17%127.71K
-42.17%127.71K
--169.86K
928.15%220.86K
--220.86K
--21.48K
-Gross PPE
-34.63%119.75K
-34.63%119.75K
-53.53%121.48K
-41.45%183.19K
-41.45%183.19K
--261.4K
-3.27%312.85K
--312.85K
--323.42K
-Accumulated depreciation
-18.95%-66K
-18.95%-66K
----
39.70%-55.48K
39.70%-55.48K
---91.55K
69.53%-92K
---92K
---301.94K
Goodwill and other intangible assets
-78.48%37.33K
-78.48%37.33K
140.67%162.53K
121.96%173.47K
121.96%173.47K
--67.53K
-21.17%78.15K
--78.15K
--99.14K
-Other intangible assets
-78.48%37.33K
-78.48%37.33K
140.67%162.53K
121.96%173.47K
121.96%173.47K
--67.53K
-21.17%78.15K
--78.15K
--99.14K
Non current accounts receivable
----
----
----
----
----
--1.61M
----
----
--5.39M
Related parties assets
-75.20%1.8K
-75.20%1.8K
-87.93%455.09K
--7.25K
--7.25K
--3.77M
--0
--0
--27.4K
Total non current assets
-69.76%91.09K
-69.76%91.09K
-84.65%284.01K
0.73%301.18K
0.73%301.18K
--1.85M
-94.58%299.01K
--299.01K
--5.52M
Total assets
32.80%10.08M
32.80%10.08M
-12.11%7.72M
95.26%7.59M
95.26%7.59M
--8.78M
-56.57%3.89M
--3.89M
--8.95M
Liabilities
Current liabilities
Payables
25.09%1.93M
25.09%1.93M
5.02%1.62M
-29.96%1.54M
-29.96%1.54M
--1.55M
48.02%2.2M
--2.2M
--1.49M
-accounts payable
77.26%1.84M
77.26%1.84M
-0.58%973.49K
-21.68%1.04M
-21.68%1.04M
--979.14K
3.88%1.32M
--1.32M
--1.27M
-Due to related parties current
-82.06%90.59K
-82.06%90.59K
14.69%650.16K
-42.46%504.84K
-42.46%504.84K
--566.87K
312.67%877.33K
--877.33K
--212.6K
Current accrued expenses
-66.08%264.53K
-66.08%264.53K
665.00%2.46M
231.23%779.84K
231.23%779.84K
--320.97K
-56.14%235.44K
--235.44K
--536.78K
Current debt and capital lease obligation
14.47%3.35M
14.47%3.35M
-20.18%3.29M
-27.98%2.93M
-27.98%2.93M
--4.13M
25.49%4.06M
--4.06M
--3.24M
-Current debt
15.94%3.32M
15.94%3.32M
-20.46%3.23M
-28.36%2.86M
-28.36%2.86M
--4.06M
24.03%3.99M
--3.99M
--3.22M
-Current capital lease obligation
-48.74%34.14K
-48.74%34.14K
-3.42%65.71K
-6.98%66.6K
-6.98%66.6K
--68.04K
263.66%71.61K
--71.61K
--19.69K
Current deferred liabilities
135.90%139.34K
135.90%139.34K
161.68%280.11K
14.23%59.07K
14.23%59.07K
--107.05K
-92.79%51.71K
--51.71K
--717.4K
Other current liabilities
----
----
----
----
----
----
--223.46K
--223.46K
----
Current liabilities
7.07%5.68M
7.07%5.68M
25.44%7.65M
-21.67%5.31M
-21.67%5.31M
--6.1M
13.31%6.77M
--6.77M
--5.98M
Non current liabilities
Long term debt and capital lease obligation
-68.79%208.12K
-68.79%208.12K
702.54%561.02K
500.02%666.72K
500.02%666.72K
--69.91K
--111.12K
--111.12K
--0
-Long term debt
-67.11%208.12K
-67.11%208.12K
--527.49K
--632.74K
--632.74K
----
----
----
----
-Long term capital lease obligation
--0
--0
-52.04%33.53K
-69.42%33.99K
-69.42%33.99K
--69.91K
--111.12K
--111.12K
--0
Total non current liabilities
-68.79%208.12K
-68.79%208.12K
702.54%561.02K
500.02%666.72K
500.02%666.72K
--69.91K
--111.12K
--111.12K
--0
Total liabilities
-1.40%5.89M
-1.40%5.89M
33.11%8.21M
-13.25%5.97M
-13.25%5.97M
--6.17M
15.17%6.89M
--6.89M
--5.98M
Shareholders'equity
Share capital
40,238,375.00%8.05M
40,238,375.00%8.05M
0.00%20
0.00%20
0.00%20
--20
0.00%20
--20
--20
-common stock
40,238,375.00%8.05M
40,238,375.00%8.05M
0.00%20
0.00%20
0.00%20
--20
0.00%20
--20
--20
Retained earnings
-45.13%-21.21M
-45.13%-21.21M
-29.88%-16.93M
19.43%-14.61M
19.43%-14.61M
---13.04M
-43.45%-18.14M
---18.14M
---12.65M
Paid-in capital
5.31%17.08M
5.31%17.08M
3.18%16.21M
3.18%16.21M
3.18%16.21M
--15.71M
0.00%15.71M
--15.71M
--15.71M
Gains losses not affecting retained earnings
1,379.75%277.91K
1,379.75%277.91K
442.02%223.6K
103.28%18.78K
103.28%18.78K
---65.38K
-509.13%-572.51K
---572.51K
---93.99K
Total stockholders'equity
158.97%4.19M
158.97%4.19M
-118.96%-495.19K
154.02%1.62M
154.02%1.62M
--2.61M
-200.75%-3M
---3M
--2.98M
Total equity
158.97%4.19M
158.97%4.19M
-118.96%-495.19K
154.02%1.62M
154.02%1.62M
--2.61M
-200.75%-3M
---3M
--2.98M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 82.82%1.5M82.82%1.5M-23.30%597.02K4.45%820.57K4.45%820.57K--778.4K-7.96%785.59K--785.59K--853.5K
-Cash and cash equivalents 82.82%1.5M82.82%1.5M-23.30%597.02K4.45%820.57K4.45%820.57K--778.4K-7.96%785.59K--785.59K--853.5K
Receivables 31.23%8.49M31.23%8.49M11.11%6.84M131.95%6.47M131.95%6.47M--6.15M11.20%2.79M--2.79M--2.51M
-Accounts receivable 11.14%2.13M11.14%2.13M-18.26%1.64M-25.38%1.92M-25.38%1.92M--2M9.98%2.57M--2.57M--2.34M
-Related party accounts receivable -75.20%1.8K-75.20%1.8K-87.93%455.09K--7.25K--7.25K--3.77M--0--0--27.4K
-Other receivables 39.88%6.36M39.88%6.36M1,136.38%4.75M1,968.58%4.55M1,968.58%4.55M--384.03K51.97%219.75K--219.75K--144.6K
Inventory ----------------------0-88.00%9.18K--9.18K--76.52K
Total current assets 37.04%9.99M37.04%9.99M7.25%7.44M103.14%7.29M103.14%7.29M--6.93M4.38%3.59M--3.59M--3.44M
Non current assets
Net PPE -57.91%53.75K-57.91%53.75K-28.48%121.48K-42.17%127.71K-42.17%127.71K--169.86K928.15%220.86K--220.86K--21.48K
-Gross PPE -34.63%119.75K-34.63%119.75K-53.53%121.48K-41.45%183.19K-41.45%183.19K--261.4K-3.27%312.85K--312.85K--323.42K
-Accumulated depreciation -18.95%-66K-18.95%-66K----39.70%-55.48K39.70%-55.48K---91.55K69.53%-92K---92K---301.94K
Goodwill and other intangible assets -78.48%37.33K-78.48%37.33K140.67%162.53K121.96%173.47K121.96%173.47K--67.53K-21.17%78.15K--78.15K--99.14K
-Other intangible assets -78.48%37.33K-78.48%37.33K140.67%162.53K121.96%173.47K121.96%173.47K--67.53K-21.17%78.15K--78.15K--99.14K
Non current accounts receivable ----------------------1.61M----------5.39M
Related parties assets -75.20%1.8K-75.20%1.8K-87.93%455.09K--7.25K--7.25K--3.77M--0--0--27.4K
Total non current assets -69.76%91.09K-69.76%91.09K-84.65%284.01K0.73%301.18K0.73%301.18K--1.85M-94.58%299.01K--299.01K--5.52M
Total assets 32.80%10.08M32.80%10.08M-12.11%7.72M95.26%7.59M95.26%7.59M--8.78M-56.57%3.89M--3.89M--8.95M
Liabilities
Current liabilities
Payables 25.09%1.93M25.09%1.93M5.02%1.62M-29.96%1.54M-29.96%1.54M--1.55M48.02%2.2M--2.2M--1.49M
-accounts payable 77.26%1.84M77.26%1.84M-0.58%973.49K-21.68%1.04M-21.68%1.04M--979.14K3.88%1.32M--1.32M--1.27M
-Due to related parties current -82.06%90.59K-82.06%90.59K14.69%650.16K-42.46%504.84K-42.46%504.84K--566.87K312.67%877.33K--877.33K--212.6K
Current accrued expenses -66.08%264.53K-66.08%264.53K665.00%2.46M231.23%779.84K231.23%779.84K--320.97K-56.14%235.44K--235.44K--536.78K
Current debt and capital lease obligation 14.47%3.35M14.47%3.35M-20.18%3.29M-27.98%2.93M-27.98%2.93M--4.13M25.49%4.06M--4.06M--3.24M
-Current debt 15.94%3.32M15.94%3.32M-20.46%3.23M-28.36%2.86M-28.36%2.86M--4.06M24.03%3.99M--3.99M--3.22M
-Current capital lease obligation -48.74%34.14K-48.74%34.14K-3.42%65.71K-6.98%66.6K-6.98%66.6K--68.04K263.66%71.61K--71.61K--19.69K
Current deferred liabilities 135.90%139.34K135.90%139.34K161.68%280.11K14.23%59.07K14.23%59.07K--107.05K-92.79%51.71K--51.71K--717.4K
Other current liabilities --------------------------223.46K--223.46K----
Current liabilities 7.07%5.68M7.07%5.68M25.44%7.65M-21.67%5.31M-21.67%5.31M--6.1M13.31%6.77M--6.77M--5.98M
Non current liabilities
Long term debt and capital lease obligation -68.79%208.12K-68.79%208.12K702.54%561.02K500.02%666.72K500.02%666.72K--69.91K--111.12K--111.12K--0
-Long term debt -67.11%208.12K-67.11%208.12K--527.49K--632.74K--632.74K----------------
-Long term capital lease obligation --0--0-52.04%33.53K-69.42%33.99K-69.42%33.99K--69.91K--111.12K--111.12K--0
Total non current liabilities -68.79%208.12K-68.79%208.12K702.54%561.02K500.02%666.72K500.02%666.72K--69.91K--111.12K--111.12K--0
Total liabilities -1.40%5.89M-1.40%5.89M33.11%8.21M-13.25%5.97M-13.25%5.97M--6.17M15.17%6.89M--6.89M--5.98M
Shareholders'equity
Share capital 40,238,375.00%8.05M40,238,375.00%8.05M0.00%200.00%200.00%20--200.00%20--20--20
-common stock 40,238,375.00%8.05M40,238,375.00%8.05M0.00%200.00%200.00%20--200.00%20--20--20
Retained earnings -45.13%-21.21M-45.13%-21.21M-29.88%-16.93M19.43%-14.61M19.43%-14.61M---13.04M-43.45%-18.14M---18.14M---12.65M
Paid-in capital 5.31%17.08M5.31%17.08M3.18%16.21M3.18%16.21M3.18%16.21M--15.71M0.00%15.71M--15.71M--15.71M
Gains losses not affecting retained earnings 1,379.75%277.91K1,379.75%277.91K442.02%223.6K103.28%18.78K103.28%18.78K---65.38K-509.13%-572.51K---572.51K---93.99K
Total stockholders'equity 158.97%4.19M158.97%4.19M-118.96%-495.19K154.02%1.62M154.02%1.62M--2.61M-200.75%-3M---3M--2.98M
Total equity 158.97%4.19M158.97%4.19M-118.96%-495.19K154.02%1.62M154.02%1.62M--2.61M-200.75%-3M---3M--2.98M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes----Unqualified Opinion with Explanatory Notes----------

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