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WF International (WXM)

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  • 0.5399
  • -0.0648-10.72%
Trading Jan 16 12:47 ET
4.65MMarket Cap18.00P/E (TTM)

WF International (WXM) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Mar 31, 2025
(FY)Sep 30, 2024
(Q4)Sep 30, 2024
(Q3)Jun 30, 2024
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q2)Mar 31, 2023
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
(FY)Sep 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
--1.78M
569.01%808.92K
569.01%808.92K
--270.12K
-22.76%120.91K
-22.76%120.91K
--184.9K
-43.95%156.54K
--156.54K
--279.26K
-Cash and cash equivalents
--1.78M
569.01%808.92K
569.01%808.92K
--270.12K
-22.76%120.91K
-22.76%120.91K
--184.9K
-43.95%156.54K
--156.54K
--279.26K
Receivables
--6.77M
59.42%5.58M
59.42%5.58M
--4.29M
36.68%3.5M
36.68%3.5M
--3.42M
-21.44%2.56M
--2.56M
--3.26M
-Accounts receivable
--1.94M
52.72%2.11M
52.72%2.11M
--1.85M
28.48%1.38M
28.48%1.38M
--2.35M
-28.36%1.08M
--1.08M
--1.5M
-Loans receivable
----
----
----
----
----
----
--93.12K
--238.35K
--238.35K
--0
-Other receivables
--4.84M
63.80%3.47M
63.80%3.47M
--2.44M
69.86%2.12M
69.86%2.12M
--977.77K
-29.07%1.25M
--1.25M
--1.76M
Inventory
--375.23K
-64.30%5.84K
-64.30%5.84K
--13.59K
-90.29%16.36K
-90.29%16.36K
--36.63K
-15.83%168.51K
--168.51K
--200.21K
Prepaid assets
--42.75K
137.95%81.82K
137.95%81.82K
--109.83K
-75.97%34.39K
-75.97%34.39K
--572.05K
154.52%143.11K
--143.11K
--56.23K
Restricted cash
--66.49K
-32.66%147.12K
-32.66%147.12K
--142.12K
-19.14%218.48K
-19.14%218.48K
--454.62K
--270.19K
--270.19K
--0
Current deferred assets
--861.7K
-17.71%3.29M
-17.71%3.29M
--5.3M
-4.70%3.99M
-4.70%3.99M
--2.98M
22.37%4.19M
--4.19M
--3.42M
Total current assets
--9.9M
25.72%9.91M
25.72%9.91M
--10.13M
5.27%7.89M
5.27%7.89M
--7.65M
3.72%7.49M
--7.49M
--7.22M
Non current assets
Net PPE
--786.54K
26.34%324.62K
26.34%324.62K
--209.43K
-9.52%256.93K
-9.52%256.93K
--292.33K
6.66%283.98K
--283.98K
--266.24K
-Gross PPE
--884.1K
35.48%405.62K
35.48%405.62K
--278.75K
2.50%299.4K
2.50%299.4K
--318.62K
9.52%292.09K
--292.09K
--266.71K
-Accumulated depreciation
---97.57K
-90.75%-81K
-90.75%-81K
---69.32K
-423.11%-42.47K
-423.11%-42.47K
---26.29K
-1,619.92%-8.12K
---8.12K
---472
Goodwill and other intangible assets
--94.36K
151.88%110.79K
151.88%110.79K
--113.37K
30.44%43.99K
30.44%43.99K
--42.14K
109.01%33.72K
--33.72K
--16.13K
-Other intangible assets
--94.36K
151.88%110.79K
151.88%110.79K
--113.37K
30.44%43.99K
30.44%43.99K
--42.14K
109.01%33.72K
--33.72K
--16.13K
Non current accounts receivable
--1.01M
-4.60%1M
-4.60%1M
--942.1K
372.26%1.05M
372.26%1.05M
--701.07K
15.26%222.1K
--222.1K
--192.7K
Non current deferred assets
--301.89K
95.71%271.48K
95.71%271.48K
--102.3K
13.43%138.72K
13.43%138.72K
--143.69K
218.04%122.3K
--122.3K
--38.45K
Other non current assets
--128.16K
167.56%201.28K
167.56%201.28K
--194.56K
-48.66%75.23K
-48.66%75.23K
--79.84K
335.63%146.54K
--146.54K
--33.64K
Total non current assets
--2.32M
22.07%1.91M
22.07%1.91M
--1.56M
93.38%1.56M
93.38%1.56M
--1.26M
47.79%808.63K
--808.63K
--547.16K
Total assets
--12.23M
25.12%11.82M
25.12%11.82M
--11.69M
13.86%9.45M
13.86%9.45M
--8.91M
6.83%8.3M
--8.3M
--7.77M
Liabilities
Current liabilities
Payables
--4.34M
16.45%4.36M
16.45%4.36M
--3.9M
-6.66%3.75M
-6.66%3.75M
--3.02M
19.12%4.01M
--4.01M
--3.37M
-accounts payable
--1.85M
-2.05%1.87M
-2.05%1.87M
--1.4M
-34.19%1.9M
-34.19%1.9M
--1.3M
17.43%2.89M
--2.89M
--2.46M
-Total tax payable
--1.65M
66.45%1.8M
66.45%1.8M
--1.59M
238.76%1.08M
238.76%1.08M
--698.81K
-3.31%319.66K
--319.66K
--330.61K
-Other payable
--840.66K
-8.45%695.79K
-8.45%695.79K
--914.01K
-5.15%760K
-5.15%760K
--1.01M
39.27%801.25K
--801.25K
--575.32K
Current accrued expenses
----
--0
--0
--0
-97.14%1.92K
-97.14%1.92K
--54.69K
-60.39%67.34K
--67.34K
--169.98K
Current debt and capital lease obligation
--3.66M
-11.06%1.95M
-11.06%1.95M
--1.81M
29.81%2.19M
29.81%2.19M
--2.3M
-18.17%1.69M
--1.69M
--2.07M
-Current debt
--3.63M
-11.28%1.92M
-11.28%1.92M
--1.78M
30.05%2.16M
30.05%2.16M
--2.27M
-18.43%1.66M
--1.66M
--2.04M
-Current capital lease obligation
--35.42K
3.37%34.52K
3.37%34.52K
--32.35K
16.03%33.39K
16.03%33.39K
--31.44K
0.11%28.78K
--28.78K
--28.75K
Current deferred liabilities
--76.67K
69.65%512.17K
69.65%512.17K
--802.29K
-77.01%301.9K
-77.01%301.9K
--1.22M
91.55%1.31M
--1.31M
--685.61K
Current liabilities
--8.08M
9.32%6.83M
9.32%6.83M
--6.52M
-11.86%6.24M
-11.86%6.24M
--6.59M
12.63%7.09M
--7.09M
--6.29M
Non current liabilities
Long term debt and capital lease obligation
--197.02K
285.26%611.42K
285.26%611.42K
--659.92K
-41.79%158.71K
-41.79%158.71K
--284.49K
-37.22%272.66K
--272.66K
--434.31K
-Long term debt
--177.18K
565.39%570K
565.39%570K
--610.22K
-51.25%85.66K
-51.25%85.66K
--200.22K
-23.54%175.72K
--175.72K
--229.83K
-Long term capital lease obligation
--19.84K
-43.29%41.43K
-43.29%41.43K
--49.7K
-24.65%73.04K
-24.65%73.04K
--84.27K
-52.59%96.94K
--96.94K
--204.48K
Total non current liabilities
--197.02K
285.26%611.42K
285.26%611.42K
--659.92K
-41.79%158.71K
-41.79%158.71K
--284.49K
-37.22%272.66K
--272.66K
--434.31K
Total liabilities
--8.27M
16.16%7.44M
16.16%7.44M
--7.18M
-12.97%6.4M
-12.97%6.4M
--6.87M
9.41%7.36M
--7.36M
--6.73M
Shareholders'equity
Share capital
--6
0.00%6
0.00%6
--6
0.00%6
0.00%6
--6
0.00%6
--6
--6
-common stock
--6
0.00%6
0.00%6
--6
0.00%6
0.00%6
--6
0.00%6
--6
--6
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
--1.15M
127.26%1.52M
127.26%1.52M
--1.76M
187.29%668.73K
187.29%668.73K
--68.58K
-0.55%-766.11K
---766.11K
---761.89K
Paid-in capital
--2.86M
9.84%2.86M
9.84%2.86M
--2.86M
34.57%2.6M
34.57%2.6M
--2.14M
0.00%1.94M
--1.94M
--1.94M
Gains losses not affecting retained earnings
---57.7K
101.83%4.15K
101.83%4.15K
---103.69K
0.33%-227.22K
0.33%-227.22K
---173.34K
-75.35%-227.97K
---227.97K
---130K
Total stockholders'equity
--3.95M
43.95%4.38M
43.95%4.38M
--4.52M
223.58%3.05M
223.58%3.05M
--2.03M
-9.79%941.29K
--941.29K
--1.04M
Total equity
--3.95M
43.95%4.38M
43.95%4.38M
--4.52M
223.58%3.05M
223.58%3.05M
--2.03M
-9.79%941.29K
--941.29K
--1.04M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q2)Mar 31, 2025(FY)Sep 30, 2024(Q4)Sep 30, 2024(Q3)Jun 30, 2024(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q2)Mar 31, 2023(FY)Sep 30, 2022(Q4)Sep 30, 2022(FY)Sep 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments --1.78M569.01%808.92K569.01%808.92K--270.12K-22.76%120.91K-22.76%120.91K--184.9K-43.95%156.54K--156.54K--279.26K
-Cash and cash equivalents --1.78M569.01%808.92K569.01%808.92K--270.12K-22.76%120.91K-22.76%120.91K--184.9K-43.95%156.54K--156.54K--279.26K
Receivables --6.77M59.42%5.58M59.42%5.58M--4.29M36.68%3.5M36.68%3.5M--3.42M-21.44%2.56M--2.56M--3.26M
-Accounts receivable --1.94M52.72%2.11M52.72%2.11M--1.85M28.48%1.38M28.48%1.38M--2.35M-28.36%1.08M--1.08M--1.5M
-Loans receivable --------------------------93.12K--238.35K--238.35K--0
-Other receivables --4.84M63.80%3.47M63.80%3.47M--2.44M69.86%2.12M69.86%2.12M--977.77K-29.07%1.25M--1.25M--1.76M
Inventory --375.23K-64.30%5.84K-64.30%5.84K--13.59K-90.29%16.36K-90.29%16.36K--36.63K-15.83%168.51K--168.51K--200.21K
Prepaid assets --42.75K137.95%81.82K137.95%81.82K--109.83K-75.97%34.39K-75.97%34.39K--572.05K154.52%143.11K--143.11K--56.23K
Restricted cash --66.49K-32.66%147.12K-32.66%147.12K--142.12K-19.14%218.48K-19.14%218.48K--454.62K--270.19K--270.19K--0
Current deferred assets --861.7K-17.71%3.29M-17.71%3.29M--5.3M-4.70%3.99M-4.70%3.99M--2.98M22.37%4.19M--4.19M--3.42M
Total current assets --9.9M25.72%9.91M25.72%9.91M--10.13M5.27%7.89M5.27%7.89M--7.65M3.72%7.49M--7.49M--7.22M
Non current assets
Net PPE --786.54K26.34%324.62K26.34%324.62K--209.43K-9.52%256.93K-9.52%256.93K--292.33K6.66%283.98K--283.98K--266.24K
-Gross PPE --884.1K35.48%405.62K35.48%405.62K--278.75K2.50%299.4K2.50%299.4K--318.62K9.52%292.09K--292.09K--266.71K
-Accumulated depreciation ---97.57K-90.75%-81K-90.75%-81K---69.32K-423.11%-42.47K-423.11%-42.47K---26.29K-1,619.92%-8.12K---8.12K---472
Goodwill and other intangible assets --94.36K151.88%110.79K151.88%110.79K--113.37K30.44%43.99K30.44%43.99K--42.14K109.01%33.72K--33.72K--16.13K
-Other intangible assets --94.36K151.88%110.79K151.88%110.79K--113.37K30.44%43.99K30.44%43.99K--42.14K109.01%33.72K--33.72K--16.13K
Non current accounts receivable --1.01M-4.60%1M-4.60%1M--942.1K372.26%1.05M372.26%1.05M--701.07K15.26%222.1K--222.1K--192.7K
Non current deferred assets --301.89K95.71%271.48K95.71%271.48K--102.3K13.43%138.72K13.43%138.72K--143.69K218.04%122.3K--122.3K--38.45K
Other non current assets --128.16K167.56%201.28K167.56%201.28K--194.56K-48.66%75.23K-48.66%75.23K--79.84K335.63%146.54K--146.54K--33.64K
Total non current assets --2.32M22.07%1.91M22.07%1.91M--1.56M93.38%1.56M93.38%1.56M--1.26M47.79%808.63K--808.63K--547.16K
Total assets --12.23M25.12%11.82M25.12%11.82M--11.69M13.86%9.45M13.86%9.45M--8.91M6.83%8.3M--8.3M--7.77M
Liabilities
Current liabilities
Payables --4.34M16.45%4.36M16.45%4.36M--3.9M-6.66%3.75M-6.66%3.75M--3.02M19.12%4.01M--4.01M--3.37M
-accounts payable --1.85M-2.05%1.87M-2.05%1.87M--1.4M-34.19%1.9M-34.19%1.9M--1.3M17.43%2.89M--2.89M--2.46M
-Total tax payable --1.65M66.45%1.8M66.45%1.8M--1.59M238.76%1.08M238.76%1.08M--698.81K-3.31%319.66K--319.66K--330.61K
-Other payable --840.66K-8.45%695.79K-8.45%695.79K--914.01K-5.15%760K-5.15%760K--1.01M39.27%801.25K--801.25K--575.32K
Current accrued expenses ------0--0--0-97.14%1.92K-97.14%1.92K--54.69K-60.39%67.34K--67.34K--169.98K
Current debt and capital lease obligation --3.66M-11.06%1.95M-11.06%1.95M--1.81M29.81%2.19M29.81%2.19M--2.3M-18.17%1.69M--1.69M--2.07M
-Current debt --3.63M-11.28%1.92M-11.28%1.92M--1.78M30.05%2.16M30.05%2.16M--2.27M-18.43%1.66M--1.66M--2.04M
-Current capital lease obligation --35.42K3.37%34.52K3.37%34.52K--32.35K16.03%33.39K16.03%33.39K--31.44K0.11%28.78K--28.78K--28.75K
Current deferred liabilities --76.67K69.65%512.17K69.65%512.17K--802.29K-77.01%301.9K-77.01%301.9K--1.22M91.55%1.31M--1.31M--685.61K
Current liabilities --8.08M9.32%6.83M9.32%6.83M--6.52M-11.86%6.24M-11.86%6.24M--6.59M12.63%7.09M--7.09M--6.29M
Non current liabilities
Long term debt and capital lease obligation --197.02K285.26%611.42K285.26%611.42K--659.92K-41.79%158.71K-41.79%158.71K--284.49K-37.22%272.66K--272.66K--434.31K
-Long term debt --177.18K565.39%570K565.39%570K--610.22K-51.25%85.66K-51.25%85.66K--200.22K-23.54%175.72K--175.72K--229.83K
-Long term capital lease obligation --19.84K-43.29%41.43K-43.29%41.43K--49.7K-24.65%73.04K-24.65%73.04K--84.27K-52.59%96.94K--96.94K--204.48K
Total non current liabilities --197.02K285.26%611.42K285.26%611.42K--659.92K-41.79%158.71K-41.79%158.71K--284.49K-37.22%272.66K--272.66K--434.31K
Total liabilities --8.27M16.16%7.44M16.16%7.44M--7.18M-12.97%6.4M-12.97%6.4M--6.87M9.41%7.36M--7.36M--6.73M
Shareholders'equity
Share capital --60.00%60.00%6--60.00%60.00%6--60.00%6--6--6
-common stock --60.00%60.00%6--60.00%60.00%6--60.00%6--6--6
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings --1.15M127.26%1.52M127.26%1.52M--1.76M187.29%668.73K187.29%668.73K--68.58K-0.55%-766.11K---766.11K---761.89K
Paid-in capital --2.86M9.84%2.86M9.84%2.86M--2.86M34.57%2.6M34.57%2.6M--2.14M0.00%1.94M--1.94M--1.94M
Gains losses not affecting retained earnings ---57.7K101.83%4.15K101.83%4.15K---103.69K0.33%-227.22K0.33%-227.22K---173.34K-75.35%-227.97K---227.97K---130K
Total stockholders'equity --3.95M43.95%4.38M43.95%4.38M--4.52M223.58%3.05M223.58%3.05M--2.03M-9.79%941.29K--941.29K--1.04M
Total equity --3.95M43.95%4.38M43.95%4.38M--4.52M223.58%3.05M223.58%3.05M--2.03M-9.79%941.29K--941.29K--1.04M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
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