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Key Metrics
Market Cap 5.92M
Total Shares Outstanding 1.58M
Book Value 0.36
PE Ratio -
PS Ratio 0.58
PB Ratio 8.03
Forward PE Ratio -
ROIC -
Return on Aseets -8.77
Return on Equity -165.8
Dividend -
Dividend Yield -
Balancesheet Metrics
Total Assets 17.08M
Total Liability 16.67M
Assets-to-Libability Ratio 1.02
Total Current Assets 10.35M
Total Current Liability 13.57M
Current Ratio 0.76
Quick Ratio 0.74
Debt to Equity Ratio -
Income Statement Metrics
Net Income 1.98M
EPS -1.87
EBITA 2.85M
Gross Profit 8.82M
Gross Profit Margin -36.48%
Operating Margin -21.3%
Net Profit Margin 13.17%
Price Metrics
5 Days MA
10 Days MA
20 Days MA
50 Days MA
200 Days MA
52 Weeks High
52 Weeks low
All Time High
RSI
MACD
Share Stats
Shares Float 1.30M
Shares Short 40.97K
% Short 0.0576%
% Insider 17.428%
% Institutions 0.958%
News

Profile

Golden Sun Education Group Ltd (GSUN)

Golden Sun Health Technology Group Limited, through its subsidiaries, provides education services to medical health, e-commerce live broadcasting, cultural and tourism services, and other fields in China. It operates through two segments: Education and E-Commerce. The company was formerly known as Golden Sun Education Group Limited and changed its name to Golden Sun Health Technology Group Limited in February 2024. Golden Sun Health Technology Group Limited was founded in 1997 and is based in Shanghai, China.

Exchange: NASDAQ

IPO Date: 6/22/2022

Sector: Consumer Defensive

Industry: Education & Training Services

Employees: 217

Address: Building C2, Shanghai, China, 200083

https://www.jtyjyjt.com

&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202409/30/202406/30/202403/31/202412/31/202309/30/202306/30/202303/31/202312/31/202209/30/2022Totals
Assets
17.08K17.08K16.44K16.44K19.45K21.56K19.45K21.56K23.44K23.44K246.67K
Current Assets
10.35K10.35K9.43K9.43K12.05K14.62K12.05K14.62K22.12K22.12K178.64K
Cash And Short Term Investments
839.622-2.09K-6.55K12.71K6.55K-20.35K20.35K79.10K
Net Receivables
614.34850.765682.845234.658477.94826.872477.94826.872745.878745.87813.47K
Inventory
375.881375.881434.211434.211153.851153.851153.851---2.08K
Other Current Assets
8.52K3.01K6.22K6.22K4.87K1.08K4.87K1.08K1.02K1.02K55.53K
Non Current Assets
6.73K6.73K7.01K7.01K7.39K6.94K7.39K6.94K1.32K1.32K86.21K
Property Plant Equipment
-------1.87K--14.50K
Long Term Investments
-4.62K-5.28K-5.25K-4.60K--19.74K
Non Currrent Assets Other
1.20K1.20K572.593572.593473.387469.192473.387469.192978.87978.879.99K
Liabilities
16.67K16.67K13.87K13.87K15.07K15.01K15.07K15.01K14.71K14.71K229.87K
Current Liabilities
13.57K13.57K10.15K10.15K10.82K10.39K10.82K10.39K12.57K12.57K229.23K
Accounts Payable
1.41K1.41K1.15K1.15K974.3141.04K974.3141.04K665.397665.39717.17K
Short Long Term Debt
-2.02K-470.697-48.781-359.706-1.23K14.41K
Other Current Liabilities
1.55K-2.59K-2.61K1.04K9.79K6.44K6.24K6.24K86.99K
Non Current Liabilities
3.10K3.10K3.72K3.72K4.26K4.62K4.26K4.62K2.14K2.14K48.25K
Long Term Debt
-----------
Other Liabilities
----------2.77K
Stockholder Equity
717.536717.5362.64K2.64K4.43K6.60K4.43K6.60K8.79K8.79K18.41K
Preferred Stock Equity
-----------
Liabilities And Stockholders Equity
17.08K-16.44K-19.45K21.56K19.45K-23.44K23.44K192.09K
Common Equity
-----------
Retained Earnings
-----------
Totals99.83K80.90K93.44K77.62K109.03K123.93K116.21K96.43K138.52K139.75K50.22K30.52K53.88K32.17K140.29K55.39K107.01K1.55M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;09/30/202409/30/202309/30/202209/30/202109/30/202009/30/2019Totals
Assets
17.08K19.45K23.44K6.64K17.45K14.12K98.17K
Current Assets
10.35K12.05K22.12K5.53K5.14K4.08K59.27K
Cash And Short Term Investments
839.6226.55K20.35K1.19K3.21K3.11K35.25K
Net Receivables
614.348477.94745.878672.506161.537425.1793.10K
Inventory
375.881153.8510.001-0.001-529.7339999999999
Other Current Assets
8.52K4.92K1.02K2.96K3.83K967.86222.22K
Non Current Assets
6.73K7.39K1.32K1.11K12.31K10.05K38.91K
Property Plant Equipment
--344.028374.618405.7592.81K3.93K
Long Term Investments
4.62K5.25K----9.87K
Non Currrent Assets Other
1.20K473.387978.87732.65911.48K-14.86K
Liabilities
16.67K15.07K14.71K14.28K24.82K21.20K106.75K
Current Liabilities
13.57K10.82K12.57K12.58K19.00K15.34K83.88K
Accounts Payable
1.41K974.314665.397210.78248.8836.774.14K
Short Long Term Debt
2.02K48.7811.23K1.38K2.61K1.88K9.16K
Other Current Liabilities
1.55K2.61K2.39K935.17315.06K3.84K26.40K
Non Current Liabilities
3.10K4.26K2.14K1.70K5.81K5.86K22.87K
Other Liabilities
----4.55K1.01K5.56K
Stockholder Equity
717.5364.43K8.79K-7.55K-7.12K-6.82K-7.55K
Liabilities And Stockholders Equity
17.08K19.45K23.44K6.64K17.45K14.12K98.17K
Totals106.46K114.38K136.25K49.36K136.20K92.83K635.49K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;03/31/202212/31/202109/30/202106/30/202103/31/202112/31/2020Totals
Revenue
-------
Cost Of Revenue
-------
Gross Profit
-------
Operating Expenses
-------
Selling General Administrative
-------
Research Development
-------
Other Operating Expenses
-------
Operating Income
-------
Net Interest Income
-------
Interest Income
-------
Interest Expense
-------
Other Income Expense Net
-------
Income Before Tax
-------
Tax Provision
-------
NetIncome
-------
NetIncome Applicable To Common Shares
166.035166.035166.035166.035729.315729.3152.12K
Ebit
492.373492.373--1.19K1.19K3.37K
Totals658.408658.408166.035166.0351.92K1.92K5.49K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;09/30/202109/30/202009/30/2019Totals
Revenue
15.03K13.96K15.17K44.15K
Cost Of Revenue
6.21K7.69K7.05K20.95K
Gross Profit
8.82K6.27K8.12K23.20K
Operating Expenses
6.86K4.80K3.43K15.09K
Selling General Administrative
4.66K3.99K2.83K11.48K
Research Development
----
Other Operating Expenses
13.08K12.49K10.48K36.05K
Operating Income
1.95K680.3564.68K7.31K
Net Interest Income
-212.023-556.973-147.016-916.012
Interest Income
----
Interest Expense
212.023556.973147.016916.012
Other Income Expense Net
14.451-368.656-92.264-446.469
Income Before Tax
1.97K311.74.59K6.87K
Tax Provision
659.858256.7791.08K2.00K
NetIncome
1.98K42.0113.37K5.39K
NetIncome Applicable To Common Shares
1.98K42.0113.37K5.39K
Ebit
2.85K855.7634.59K8.30K
Totals66.05K51.02K68.67K185.73K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;06/30/202412/31/202309/30/202306/30/202303/31/202312/31/202209/30/202206/30/202203/31/202212/31/2021Totals
Cash From Operating Activities
-5.30K-4.65K-3.29K-2.29K-1.69K-1.69K-1.69K-1.69K---21.74K
Net Income
-1.76K-2.11K-3.67K-1.06K-1.84K-1.84K-1.24K-1.24K166.035166.035-12.96K
Depreciation
510.47281.229195.018140.61597.50997.50997.50997.509--1.92K
Extraordinary Items
-----------
Change Receivables
-----------
Change To Inventory
-279.286-79.573-79.573-79.573-------518.005
Change To Liabilities
-----485.737-485.737-----2.46K
Change To Net Income
----952.253952.253952.253952.253--3.97K
ChangeToOperatingActivities
-----492.986-492.986-492.986-492.986---2.28K
Cash flows From Investing Activities
-----2.35K-2.35K-2.35K-2.35K---9.27K
Capital Expenditures
-1.76K-110.028-167.292-40.836-83.646-83.646-83.646-83.646---2.54K
Other Cashflows From Investing Activities
113.352--2.26K--------2.15K
Cash From Financing Activities
36.804-200.298447.099-100.149223.55223.55223.55223.55--1.75K
Net Borrowings
----223.55223.55223.55223.55--1.75K
Sale Purchase Of Stock
-----------
Dividends Paid
-----------
Other Cashflows From Financing Activities
36.80439.448127.39-100.149-------77.947
Cash And Cash Equivalents Changes
-----------
Totals-8.40K-6.83K-8.71K-3.52K-5.44K-5.44K-4.35K-4.35K166.035166.0351.05K1.05K-44.59K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;09/30/202409/30/202309/30/202209/30/202109/30/202009/30/2019Totals
Cash From Operating Activities
-4.90K-7.94K910.25131.8931.17K6.81K-3.93K
Net Income
-3.97K-5.79K-2.12K1.31K54.9213.51K-7.00K
Depreciation
479.502476.247169.808143.562609.549536.1482.41K
Extraordinary Items
-------
Change To Inventory
-334.462-159.145-498.358156.825-161.57600000000002
Change To Liabilities
---910.992-942.1611.22K1.50K873.9280000000003
Change To Net Income
--192.687269.883881.934482.3961.83K
ChangeToOperatingActivities
--2.56K-1.81K-873.642-134.678-257.07900000000006
Cash flows From Investing Activities
---174.074-212.616-1.58K-592.548-2.56K
Capital Expenditures
-133.146-248.964-174.074-91.145-1.69K-592.548-2.93K
Other Cashflows From Investing Activities
-113.385-28.356--121.471114.16-1.26K-1.41K
Cash From Financing Activities
1.12K246.80118.63K-2.00K360.552-4.04K14.32K
Net Borrowings
--18.79K5.92K85.62-4.04K20.75K
Other Cashflows From Financing Activities
767.633166.838-922.735-2.52K215.442-2.38K-4.67K
Totals-7.09K-13.27K36.95K478.66799999999967724.0040000000007-201.406000000001317.59K