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ZCARW ZOOMCAR HOLDINGS INC C/WTS 31/05/2025 (TO PUR COM

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  • 0.015
  • -0.002-9.47%
Close Sep 5 16:00 ET
0Market Cap0.00P/E (TTM)

ZOOMCAR HOLDINGS INC C/WTS 31/05/2025 (TO PUR COM Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(FY)Mar 31, 2022
(Q4)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-62.66%1.58M
-53.43%1.79M
-53.43%1.79M
44.42%6.28M
--4.24M
-85.61%3.85M
-85.61%3.85M
--4.35M
-7.84%26.78M
--26.78M
-Cash and cash equivalents
-61.13%1.58M
-59.42%1.5M
-59.42%1.5M
40.64%6.12M
--4.07M
-86.24%3.69M
-86.24%3.69M
--4.35M
-7.84%26.78M
--26.78M
-Short-term investments
----
79.23%298.5K
79.23%298.5K
--164.38K
--166.64K
--166.54K
--166.54K
----
--0
--0
Receivables
-80.93%943.47K
-79.95%1.01M
-79.95%1.01M
-56.62%2M
--4.95M
42.89%5.05M
42.89%5.05M
--4.6M
-20.56%3.54M
--3.54M
-Accounts receivable
-28.28%164.46K
-23.90%194.2K
-23.90%194.2K
18.73%290.87K
--229.33K
24.96%255.18K
24.96%255.18K
--244.99K
225.82%204.2K
--204.2K
-Taxes receivable
-85.22%588.47K
-87.08%512.19K
-87.08%512.19K
-72.95%990.45K
--3.98M
72.28%3.96M
72.28%3.96M
--3.66M
-32.68%2.3M
--2.3M
-Other receivables
-74.12%190.53K
-63.24%306.82K
-63.24%306.82K
2.62%715.84K
--736.12K
-19.10%834.68K
-19.10%834.68K
--697.59K
6.18%1.03M
--1.03M
Prepaid assets
47.87%1.08M
28.76%1.58M
28.76%1.58M
5.71%642.26K
--733.61K
30.67%1.23M
30.67%1.23M
--607.59K
-16.24%937.75K
--937.75K
Restricted cash
--17.29K
----
----
----
----
----
----
----
----
----
Other current assets
----
124.41%44.17K
124.41%44.17K
-62.95%46.04K
--38.09K
--19.68K
--19.68K
--124.25K
----
----
Total current assets
-60.69%4.26M
-54.31%5.06M
-54.31%5.06M
-10.17%9.62M
--10.82M
-68.85%11.07M
-68.85%11.07M
--10.71M
-1.60%35.56M
--35.56M
Non current assets
Net PPE
-36.63%2.55M
-35.57%2.85M
-35.57%2.85M
-27.64%3.32M
--4.03M
28.95%4.42M
28.95%4.42M
--4.58M
-70.53%3.43M
--3.43M
-Gross PPE
47.94%9.28M
-10.10%9.54M
-10.10%9.54M
-13.24%5.82M
--6.27M
-12.35%10.61M
-12.35%10.61M
--6.71M
-58.09%12.11M
--12.11M
-Accumulated depreciation
-199.95%-6.72M
-8.09%-6.69M
-8.09%-6.69M
-17.83%-2.5M
---2.24M
28.68%-6.19M
28.68%-6.19M
---2.12M
49.70%-8.68M
---8.68M
Goodwill and other intangible assets
-60.64%9.62K
-44.95%18.39K
-44.95%18.39K
-40.46%21.06K
--24.43K
-55.93%33.41K
-55.93%33.41K
--35.37K
98.39%75.82K
--75.82K
-Other intangible assets
----
-44.95%18.39K
-44.95%18.39K
----
----
-55.93%33.41K
-55.93%33.41K
----
98.39%75.82K
--75.82K
Investments and advances
-78.51%75.11K
-63.80%91.95K
-63.80%91.95K
-20.92%319.4K
--349.52K
-36.46%254.03K
-36.46%254.03K
--403.88K
-22.07%399.81K
--399.81K
Non current accounts receivable
70.70%461.38K
91.98%476.72K
91.98%476.72K
7,062.89%3.24M
--270.29K
-89.43%248.32K
-89.43%248.32K
--45.26K
-22.21%2.35M
--2.35M
Non current prepaid assets
56.68%669.14K
58.87%676.26K
58.87%676.26K
-23.17%324.95K
--427.07K
17.18%425.67K
17.18%425.67K
--422.94K
125.18%363.28K
--363.28K
Total non current assets
-26.11%3.77M
-23.61%4.11M
-23.61%4.11M
31.57%7.22M
--5.1M
-18.64%5.38M
-18.64%5.38M
--5.49M
-56.94%6.62M
--6.62M
Total assets
-49.61%8.02M
-44.27%9.17M
-44.27%9.17M
3.97%16.85M
--15.93M
-60.97%16.46M
-60.97%16.46M
--16.2M
-18.11%42.17M
--42.17M
Liabilities
Current liabilities
Payables
101.50%18.08M
82.60%16.88M
82.60%16.88M
85.56%17.09M
--8.97M
2.77%9.25M
2.77%9.25M
--9.21M
-32.73%9M
--9M
-accounts payable
136.84%15.5M
118.07%14.28M
118.07%14.28M
106.75%14.05M
--6.55M
3.63%6.55M
3.63%6.55M
--6.8M
-18.43%6.32M
--6.32M
-Due to related parties current
--152.44K
--152.44K
--152.44K
--129.94K
----
--0
--0
----
----
----
-Other payable
-0.14%2.42M
-9.10%2.45M
-9.10%2.45M
20.51%2.91M
--2.43M
0.75%2.7M
0.75%2.7M
--2.41M
-52.42%2.68M
--2.68M
Current debt and capital lease obligation
337.06%18.87M
214.22%13.18M
214.22%13.18M
-47.04%7.21M
--4.32M
-29.80%4.19M
-29.80%4.19M
--13.61M
-82.63%5.98M
--5.98M
-Current debt
428.13%12.69M
186.44%7.08M
186.44%7.08M
-61.91%4.58M
--2.4M
-47.93%2.47M
-47.93%2.47M
--12.03M
-84.49%4.74M
--4.74M
-Current capital lease obligation
222.72%6.18M
254.03%6.1M
254.03%6.1M
65.61%2.63M
--1.91M
40.06%1.72M
40.06%1.72M
--1.59M
-67.68%1.23M
--1.23M
Current deferred liabilities
-35.81%557.06K
-8.96%716.09K
-8.96%716.09K
-32.66%802.79K
--867.84K
126.84%786.57K
126.84%786.57K
--1.19M
-54.00%346.75K
--346.75K
Other current liabilities
73.28%424.91K
41.00%330.58K
41.00%330.58K
90.08%423.95K
--245.21K
-93.83%234.46K
-93.83%234.46K
--223.03K
976.47%3.8M
--3.8M
Current liabilities
161.38%38.1M
114.23%31.3M
114.23%31.3M
5.39%25.7M
--14.58M
-24.29%14.61M
-24.29%14.61M
--24.39M
-60.68%19.3M
--19.3M
Non current liabilities
Long term provisions
----
----
----
----
----
----
----
--5.11K
--6.54K
--6.54K
Long term debt and capital lease obligation
-98.30%961.77K
-70.69%11.08M
-70.69%11.08M
49.01%16.87M
--56.6M
144.76%37.79M
144.76%37.79M
--11.32M
-12.39%15.44M
--15.44M
-Long term debt
----
-67.94%10.07M
-67.94%10.07M
201.34%12.03M
--50.71M
318.54%31.41M
318.54%31.41M
--3.99M
-11.90%7.5M
--7.5M
-Long term capital lease obligation
-83.66%961.77K
-84.18%1.01M
-84.18%1.01M
-34.02%4.83M
--5.89M
-19.56%6.38M
-19.56%6.38M
--7.33M
-12.86%7.94M
--7.94M
Employee benefits
-30.16%428.48K
12.00%491.45K
12.00%491.45K
25.06%509.51K
--613.54K
9.44%438.81K
9.44%438.81K
--407.4K
1.53%400.97K
--400.97K
Derivative product liabilities
----
--0
--0
--0
--24.54M
866.18%15.56M
866.18%15.56M
--2.45M
225.57%1.61M
--1.61M
Preferred securities outside stock equity
----
--0
--0
--0
--168.97M
0.00%168.97M
0.00%168.97M
--168.97M
34.06%168.97M
--168.97M
Total non current liabilities
-99.45%1.39M
-94.81%11.57M
-94.81%11.57M
-90.51%17.37M
--250.73M
19.49%222.77M
19.49%222.77M
--183.16M
28.97%186.43M
--186.43M
Total liabilities
-85.11%39.49M
-81.94%42.86M
-81.94%42.86M
-79.24%43.08M
--265.3M
15.38%237.38M
15.38%237.38M
--207.54M
6.25%205.73M
--205.73M
Shareholders'equity
Share capital
345.56%7.57K
13,064.58%6.32K
13,064.58%6.32K
270.04%6.29K
--1.7K
-97.17%48
-97.17%48
--1.7K
1.43%1.7K
--1.7K
-common stock
345.56%7.57K
13,064.58%6.32K
13,064.58%6.32K
270.04%6.29K
--1.7K
-97.17%48
-97.17%48
--1.7K
1.43%1.7K
--1.7K
Retained earnings
-3.78%-310.08M
-13.91%-307.55M
-13.91%-307.55M
-24.94%-300.03M
---298.78M
-29.83%-270M
-29.83%-270M
---240.14M
-17.55%-207.97M
---207.97M
Paid-in capital
1,125.79%276.85M
1,128.66%272.06M
1,128.66%272.06M
1,155.85%272.06M
--22.59M
19.49%22.14M
19.49%22.14M
--21.66M
90.43%18.53M
--18.53M
Gains losses not affecting retained earnings
3.25%1.76M
-1.75%1.8M
-1.75%1.8M
-14.06%1.74M
--1.7M
137.66%1.83M
137.66%1.83M
--2.02M
1,904.85%769.16K
--769.16K
Total stockholders'equity
88.54%-31.47M
86.31%-33.69M
86.31%-33.69M
87.88%-26.23M
---274.49M
-30.40%-246.03M
-30.40%-246.03M
---216.46M
-12.82%-188.67M
---188.67M
Noncontrolling interests
----
--0
--0
--0
--25.11M
0.00%25.11M
0.00%25.11M
--25.11M
0.00%25.11M
--25.11M
Total equity
87.38%-31.47M
84.75%-33.69M
84.75%-33.69M
86.29%-26.23M
---249.38M
-35.07%-220.92M
-35.07%-220.92M
---191.34M
-15.08%-163.55M
---163.55M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
--
(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(FY)Mar 31, 2022(Q4)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -62.66%1.58M-53.43%1.79M-53.43%1.79M44.42%6.28M--4.24M-85.61%3.85M-85.61%3.85M--4.35M-7.84%26.78M--26.78M
-Cash and cash equivalents -61.13%1.58M-59.42%1.5M-59.42%1.5M40.64%6.12M--4.07M-86.24%3.69M-86.24%3.69M--4.35M-7.84%26.78M--26.78M
-Short-term investments ----79.23%298.5K79.23%298.5K--164.38K--166.64K--166.54K--166.54K------0--0
Receivables -80.93%943.47K-79.95%1.01M-79.95%1.01M-56.62%2M--4.95M42.89%5.05M42.89%5.05M--4.6M-20.56%3.54M--3.54M
-Accounts receivable -28.28%164.46K-23.90%194.2K-23.90%194.2K18.73%290.87K--229.33K24.96%255.18K24.96%255.18K--244.99K225.82%204.2K--204.2K
-Taxes receivable -85.22%588.47K-87.08%512.19K-87.08%512.19K-72.95%990.45K--3.98M72.28%3.96M72.28%3.96M--3.66M-32.68%2.3M--2.3M
-Other receivables -74.12%190.53K-63.24%306.82K-63.24%306.82K2.62%715.84K--736.12K-19.10%834.68K-19.10%834.68K--697.59K6.18%1.03M--1.03M
Prepaid assets 47.87%1.08M28.76%1.58M28.76%1.58M5.71%642.26K--733.61K30.67%1.23M30.67%1.23M--607.59K-16.24%937.75K--937.75K
Restricted cash --17.29K------------------------------------
Other current assets ----124.41%44.17K124.41%44.17K-62.95%46.04K--38.09K--19.68K--19.68K--124.25K--------
Total current assets -60.69%4.26M-54.31%5.06M-54.31%5.06M-10.17%9.62M--10.82M-68.85%11.07M-68.85%11.07M--10.71M-1.60%35.56M--35.56M
Non current assets
Net PPE -36.63%2.55M-35.57%2.85M-35.57%2.85M-27.64%3.32M--4.03M28.95%4.42M28.95%4.42M--4.58M-70.53%3.43M--3.43M
-Gross PPE 47.94%9.28M-10.10%9.54M-10.10%9.54M-13.24%5.82M--6.27M-12.35%10.61M-12.35%10.61M--6.71M-58.09%12.11M--12.11M
-Accumulated depreciation -199.95%-6.72M-8.09%-6.69M-8.09%-6.69M-17.83%-2.5M---2.24M28.68%-6.19M28.68%-6.19M---2.12M49.70%-8.68M---8.68M
Goodwill and other intangible assets -60.64%9.62K-44.95%18.39K-44.95%18.39K-40.46%21.06K--24.43K-55.93%33.41K-55.93%33.41K--35.37K98.39%75.82K--75.82K
-Other intangible assets -----44.95%18.39K-44.95%18.39K---------55.93%33.41K-55.93%33.41K----98.39%75.82K--75.82K
Investments and advances -78.51%75.11K-63.80%91.95K-63.80%91.95K-20.92%319.4K--349.52K-36.46%254.03K-36.46%254.03K--403.88K-22.07%399.81K--399.81K
Non current accounts receivable 70.70%461.38K91.98%476.72K91.98%476.72K7,062.89%3.24M--270.29K-89.43%248.32K-89.43%248.32K--45.26K-22.21%2.35M--2.35M
Non current prepaid assets 56.68%669.14K58.87%676.26K58.87%676.26K-23.17%324.95K--427.07K17.18%425.67K17.18%425.67K--422.94K125.18%363.28K--363.28K
Total non current assets -26.11%3.77M-23.61%4.11M-23.61%4.11M31.57%7.22M--5.1M-18.64%5.38M-18.64%5.38M--5.49M-56.94%6.62M--6.62M
Total assets -49.61%8.02M-44.27%9.17M-44.27%9.17M3.97%16.85M--15.93M-60.97%16.46M-60.97%16.46M--16.2M-18.11%42.17M--42.17M
Liabilities
Current liabilities
Payables 101.50%18.08M82.60%16.88M82.60%16.88M85.56%17.09M--8.97M2.77%9.25M2.77%9.25M--9.21M-32.73%9M--9M
-accounts payable 136.84%15.5M118.07%14.28M118.07%14.28M106.75%14.05M--6.55M3.63%6.55M3.63%6.55M--6.8M-18.43%6.32M--6.32M
-Due to related parties current --152.44K--152.44K--152.44K--129.94K------0--0------------
-Other payable -0.14%2.42M-9.10%2.45M-9.10%2.45M20.51%2.91M--2.43M0.75%2.7M0.75%2.7M--2.41M-52.42%2.68M--2.68M
Current debt and capital lease obligation 337.06%18.87M214.22%13.18M214.22%13.18M-47.04%7.21M--4.32M-29.80%4.19M-29.80%4.19M--13.61M-82.63%5.98M--5.98M
-Current debt 428.13%12.69M186.44%7.08M186.44%7.08M-61.91%4.58M--2.4M-47.93%2.47M-47.93%2.47M--12.03M-84.49%4.74M--4.74M
-Current capital lease obligation 222.72%6.18M254.03%6.1M254.03%6.1M65.61%2.63M--1.91M40.06%1.72M40.06%1.72M--1.59M-67.68%1.23M--1.23M
Current deferred liabilities -35.81%557.06K-8.96%716.09K-8.96%716.09K-32.66%802.79K--867.84K126.84%786.57K126.84%786.57K--1.19M-54.00%346.75K--346.75K
Other current liabilities 73.28%424.91K41.00%330.58K41.00%330.58K90.08%423.95K--245.21K-93.83%234.46K-93.83%234.46K--223.03K976.47%3.8M--3.8M
Current liabilities 161.38%38.1M114.23%31.3M114.23%31.3M5.39%25.7M--14.58M-24.29%14.61M-24.29%14.61M--24.39M-60.68%19.3M--19.3M
Non current liabilities
Long term provisions ------------------------------5.11K--6.54K--6.54K
Long term debt and capital lease obligation -98.30%961.77K-70.69%11.08M-70.69%11.08M49.01%16.87M--56.6M144.76%37.79M144.76%37.79M--11.32M-12.39%15.44M--15.44M
-Long term debt -----67.94%10.07M-67.94%10.07M201.34%12.03M--50.71M318.54%31.41M318.54%31.41M--3.99M-11.90%7.5M--7.5M
-Long term capital lease obligation -83.66%961.77K-84.18%1.01M-84.18%1.01M-34.02%4.83M--5.89M-19.56%6.38M-19.56%6.38M--7.33M-12.86%7.94M--7.94M
Employee benefits -30.16%428.48K12.00%491.45K12.00%491.45K25.06%509.51K--613.54K9.44%438.81K9.44%438.81K--407.4K1.53%400.97K--400.97K
Derivative product liabilities ------0--0--0--24.54M866.18%15.56M866.18%15.56M--2.45M225.57%1.61M--1.61M
Preferred securities outside stock equity ------0--0--0--168.97M0.00%168.97M0.00%168.97M--168.97M34.06%168.97M--168.97M
Total non current liabilities -99.45%1.39M-94.81%11.57M-94.81%11.57M-90.51%17.37M--250.73M19.49%222.77M19.49%222.77M--183.16M28.97%186.43M--186.43M
Total liabilities -85.11%39.49M-81.94%42.86M-81.94%42.86M-79.24%43.08M--265.3M15.38%237.38M15.38%237.38M--207.54M6.25%205.73M--205.73M
Shareholders'equity
Share capital 345.56%7.57K13,064.58%6.32K13,064.58%6.32K270.04%6.29K--1.7K-97.17%48-97.17%48--1.7K1.43%1.7K--1.7K
-common stock 345.56%7.57K13,064.58%6.32K13,064.58%6.32K270.04%6.29K--1.7K-97.17%48-97.17%48--1.7K1.43%1.7K--1.7K
Retained earnings -3.78%-310.08M-13.91%-307.55M-13.91%-307.55M-24.94%-300.03M---298.78M-29.83%-270M-29.83%-270M---240.14M-17.55%-207.97M---207.97M
Paid-in capital 1,125.79%276.85M1,128.66%272.06M1,128.66%272.06M1,155.85%272.06M--22.59M19.49%22.14M19.49%22.14M--21.66M90.43%18.53M--18.53M
Gains losses not affecting retained earnings 3.25%1.76M-1.75%1.8M-1.75%1.8M-14.06%1.74M--1.7M137.66%1.83M137.66%1.83M--2.02M1,904.85%769.16K--769.16K
Total stockholders'equity 88.54%-31.47M86.31%-33.69M86.31%-33.69M87.88%-26.23M---274.49M-30.40%-246.03M-30.40%-246.03M---216.46M-12.82%-188.67M---188.67M
Noncontrolling interests ------0--0--0--25.11M0.00%25.11M0.00%25.11M--25.11M0.00%25.11M--25.11M
Total equity 87.38%-31.47M84.75%-33.69M84.75%-33.69M86.29%-26.23M---249.38M-35.07%-220.92M-35.07%-220.92M---191.34M-15.08%-163.55M---163.55M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
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