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Key Metrics
Market Cap 10.96M
Total Shares Outstanding 3.77M
Book Value 54.44
PE Ratio -
PS Ratio 0.01
PB Ratio 0.3
Forward PE Ratio -
ROIC -
Return on Aseets -22.39
Return on Equity -61.37
Dividend -
Dividend Yield -
Balancesheet Metrics
Total Assets
Total Liability
Assets-to-Libability Ratio
Total Current Assets
Total Current Liability
Current Ratio
Quick Ratio
Debt to Equity Ratio
Income Statement Metrics
Net Income -
EPS -5.78
EBITA -
Gross Profit -
Gross Profit Margin -12.14%
Operating Margin -4.79%
Net Profit Margin -
Price Metrics
5 Days MA 2.23
10 Days MA 2.24
20 Days MA 2.23
50 Days MA 2.1
200 Days MA 2.05
52 Weeks High 4
52 Weeks low -
All Time High 6.7
RSI 52.86
MACD -
Share Stats
Shares Float 728.00M
Shares Short 17.37K
% Short 0.0027%
% Insider -
% Institutions 1.59%
News
14 Cheap Penny Stocks to Buy According to AnalystsIn this article, we will take a detailed look at the 14 Cheap Penny Stocks to Buy According to Analysts. For a quick overview of such stocks, read our article5 Cheap Penny Stocks to Buy According to Analysts. The US stock market is going through a pullback as optimism around rate cuts fades. The AI...

FGF FGH FPH GTEC MSFT NVDA | finance.yahoo | about 12 months ago | Neutral
Sound Group Inc. Announces Trading under New Name on NasdaqSINGAPORE, Jan. 26, 2024 (GLOBE NEWSWIRE) -- Sound Group Inc. (“Sound Group” or the “Company”) (NASDAQ: SOGP), a global audio-centric social and entertainment company, today announced that its American depositary shares, each representing two hundred (200) Class A ordinary shares, par value US$0.000...

LIZI SOGP | finance.yahoo | about 2 years ago | Neutral

Profile

Lizhi Inc (SOGP)

Sound Group Inc. operates as an audio-centric social and entertainment company. It focuses on building audio platform to connect and communicate. The company, through its product portfolio and in-house technologies, caters to user interest in audio entertainment and social networking. It also engages in investment holding, technical support and consulting, advertising, and postcast activties. The company was formerly known as LIZHI INC. and changed its name to Sound Group Inc. in January 2024. Sound Group Inc. was founded in 2010 and is based in Singapore.

Exchange: NASDAQ

IPO Date: 1/17/2020

Sector: Communication Services

Industry: Internet Content & Information

Employees: 563

Address: 60 Anson Road, Singapore, Singapore, 079914

https://soundgroupinc.com

&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;09/30/202412/31/202309/30/202306/30/202303/31/202312/31/202209/30/2022Totals
Assets
566.57K566.57K95.98K105.36K117.38K111.68K111.68K1.68M
Current Assets
533.09K533.09K89.34K99.85K110.74K104.07K104.07K1.57M
Cash And Short Term Investments
494.96K-84.32K95.96K106.42K99.24K99.24K980.13K
Net Receivables
12.88K1.56K306.405335.487435.9811.24K1.24K18.00K
Inventory
0.001-0.0010.0010.0010.0020.0020.008
Other Current Assets
25.25K4.83K4.72K3.55K3.88K3.59K3.59K49.42K
Non Current Assets
33.49K33.49K6.64K5.51K6.64K7.60K7.60K100.96K
Non Currrent Assets Other
818818146.153-1.38K-1.07K-1.01K-1.01K-2.69K
Liabilities
276.56K276.56K38.34K39.74K51.93K55.19K55.19K793.53K
Current Liabilities
272.63K272.63K37.55K38.73K50.55K53.44K53.44K778.96K
Accounts Payable
43.18K43.18K6.02K51.41K10.24K7.74K7.74K169.52K
Short Long Term Debt
--7.18K7.18K7.23K59.07K73.77K154.42K
Other Current Liabilities
185.38K3.89K468.51K178.34K23.92K27.31K27.31K914.68K
Non Current Liabilities
3.94K3.94K791.3411.02K1.39K1.75K1.75K14.56K
Stockholder Equity
299.48K299.48K58.52K66.22K65.82K56.49K56.49K902.48K
Liabilities And Stockholders Equity
566.57K-95.98K105.36K117.38K111.68K111.68K1.11M
Totals3.31M2.04M994.34K797.18K672.87K699.09K713.78K9.23M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202412/31/202312/31/202209/30/202212/31/202109/30/202112/31/202009/30/202012/31/201909/30/2019Totals
Assets
566.57K566.57K111.68K111.68K100.87K100.87K70.92K70.92K20.20K20.20K1.74M
Current Assets
533.09K533.09K104.07K104.07K90.61K90.61K64.21K64.21K15.00K15.00K1.61M
Cash And Short Term Investments
494.96K-99.24K99.24K84.33K84.33K59.97K59.97K11.87K11.87K1.01M
Net Receivables
12.88K1.56K8.24K1.24K15.06K2.44K1.73K1.73K964.296964.29646.80K
Inventory
--0.0020.002--0.0010.0010.0010.0010.008
Other Current Assets
25.25K4.83K35.70K3.59K29.16K3.85K2.51K2.51K2.16K2.16K111.73K
Non Current Assets
33.49K33.49K7.60K7.60K10.26K10.26K6.71K6.71K5.20K5.20K126.52K
Non Currrent Assets Other
818818-1.01K-1.01K-1.77K-1.77K-2.15K-2.15K-1.15K-1.15K-10.52K
Liabilities
276.56K276.56K55.19K55.19K60.88K60.88K45.05K45.05K27.58K27.58K930.54K
Current Liabilities
272.63K272.63K53.44K53.44K57.51K57.51K44.13K44.13K27.58K27.58K910.58K
Accounts Payable
43.18K43.18K53.83K7.74K80.79K12.68K78.27K11.97K10.38K10.38K352.41K
Short Long Term Debt
--73.77K73.77K69.00K69.00K39.51K39.51K--364.54K
Other Current Liabilities
185.38K3.89K189.10K27.31K-127.75K28.58K-95.24K22.96K14.96K14.96K264.15K
Non Current Liabilities
3.94K3.94K1.75K1.75K3.38K3.38K917.153917.1531.95M1.95M3.91M
Stockholder Equity
299.48K299.48K56.49K56.49K39.99K39.99K25.87K25.87K-7.38K-7.38K828.87K
Liabilities And Stockholders Equity
566.57K-111.68K111.68K100.87K100.87K70.92K70.92K20.20K20.20K1.17M
Totals3.31M2.04M960.77K713.78K613.19K663.46K413.34K465.24K2.09M2.09M13.37M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;Totals
Totals-
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;Totals
Totals-
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202309/30/202306/30/202303/31/202312/31/2022Totals
Net Income
-129.34K-59.88K13.21K49.36K31.41K-95.24K
Extraordinary Items
------
Capital Expenditures
------
Totals-129.34K-59.88K13.21K49.36K31.41K-95.24K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202412/31/202312/31/202209/30/202212/31/202109/30/202112/31/202009/30/202012/31/201909/30/2019Totals
Cash From Operating Activities
-117.05K-117.05K20.24K20.24K-6.27K-6.27K5.80K5.80K-13.86K-13.86K-222.28K
Net Income
-134.51K-126.65K12.85K12.85K-19.73K-19.73K-11.91K-11.91K-19.24K-19.24K-337.23K
Depreciation
31.10K31.10K5.03K5.03K4.84K4.84K2.80K2.80K1.81K1.81K91.17K
Extraordinary Items
-----------
Change To Inventory
--0.0010.0010.0010.001----0.004
Capital Expenditures
-7.22K-7.22K-1.76K-1.76K-3.25K-3.25K-3.33K-3.33K-4.25K-4.25K-39.62K
Other Cashflows From Investing Activities
5.976---------5.976
Cash From Financing Activities
-71.67K-71.67K708.524708.52432.98K32.98K43.18K43.18K--10.39K
Other Cashflows From Financing Activities
2.30K-5-18.23K38.08K-221.51K-13.70K-4.25K-4.25K-251.56K
Totals-297.04K-291.49K37.07K18.83K8.58K16.65K-184.98K22.83K-39.79K-39.79K-749.12K