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Key Metrics
Market Cap 4.02M
Total Shares Outstanding 4.29M
Book Value 0.29
PE Ratio -
PS Ratio 0.47
PB Ratio 3.97
Forward PE Ratio -
ROIC -
Return on Aseets -62.55
Return on Equity -2.94K
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 -2.15
EBITA -
Gross Profit -
Gross Profit Margin -89.7%
Operating Margin -79.84%
Net Profit Margin -
Price Metrics
5 Days MA 0.95
10 Days MA 0.97
20 Days MA 1.06
50 Days MA 1.13
200 Days MA 1.15
52 Weeks High 3.69
52 Weeks low 0.19
All Time High 8.64
RSI 39.79
MACD -
Share Stats
Shares Float 1.91M
Shares Short 26.04K
% Short 0.0065%
% Insider 34.685%
% Institutions 1.071%
News

Profile

VS Media Holdings Limited Class A Ordinary Shares (VSME)

VS MEDIA Holdings Limited, an investment holding company, operates a network of digital creators who create and upload content to social media platforms in Hongkong and Taiwan. It provides marketing services for brands, including strategy development, creator selection, branding and messaging, content creation and distribution, social media amplification, social media engagement, and data insights and measurement; and creates and publishes content on social media platforms. The company also resells brands' products to its creators and helps them to build their own e-commerce businesses; and sells products directly to customers. It serves creators in the lifestyle, travel, food, gaming, travel and tourism, fast-moving consumer goods, and retail sectors. VS MEDIA Holdings Limited was founded in 2013 and is headquartered in Kwun Tong, Hong Kong.

Exchange: NASDAQ

IPO Date: 9/27/2023

Sector: Communication Services

Industry: Advertising Agencies

Employees: 49

Address: KOHO, Kwun Tong, Hong Kong

https://www.vs-media.com

&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;03/31/202412/31/202306/30/202312/31/202206/30/202212/31/2021Totals
Assets
10.08K10.08K7.72K7.59K8.78K9.23K53.49K
Current Assets
9.99K9.99K7.44K7.29K6.93K5.72K47.37K
Cash And Short Term Investments
1.50K1.50K597.016820.57778.398785.5895.98K
Net Receivables
8.49K8.49K6.84K6.47K6.15K4.93K41.38K
Inventory
---198.553-164.581-9.184-353.95
Other Current Assets
--198.553164.581--363.134
Non Current Assets
91.08591.085284.012301.1781.85K3.51K6.13K
Non Currrent Assets Other
----1.61K3.21K4.82K
Liabilities
5.89K5.89K8.21K5.97K6.17K6.66K38.80K
Current Liabilities
5.68K5.68K7.65K5.31K6.10K6.55K36.98K
Accounts Payable
1.84K1.84K973.4871.04K979.1441.32K7.99K
Short Long Term Debt
-3.32K3.23K2.86K--9.40K
Other Current Liabilities
355.121355.1213.11K1.28K994.891.16K7.26K
Non Current Liabilities
208.116208.116561.021666.72269.906111.1171.82K
Stockholder Equity
4.19K4.19K-495.1881.62K2.61K2.57K14.69K
Liabilities And Stockholders Equity
10.08K10.08K7.72K7.59K8.78K9.23K53.49K
Totals58.41K61.72K53.84K48.81K51.82K55.02K329.62K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202312/31/202212/31/202112/31/2020Totals
Assets
10.08K7.59K9.23K8.95K35.86K
Current Assets
9.99K7.29K5.72K3.44K26.45K
Cash And Short Term Investments
1.50K820.57785.589853.5033.96K
Net Receivables
8.49K6.47K2.79K2.51K20.26K
Inventory
-507.079-164.5819.18476.517-585.9590000000001
Other Current Assets
507.079164.5812.14K-2.81K
Non Current Assets
91.085301.1783.51K5.52K9.42K
Non Currrent Assets Other
--3.21K5.39K8.60K
Liabilities
5.89K5.97K6.66K5.98K24.50K
Current Liabilities
5.68K5.31K6.55K5.98K23.52K
Accounts Payable
1.84K1.04K1.32K1.27K5.47K
Short Long Term Debt
3.32K2.86K3.99K3.22K13.38K
Other Current Liabilities
355.1211.28K1.11K749.3793.50K
Non Current Liabilities
208.116666.722111.117-985.9549999999999
Stockholder Equity
4.19K1.62K2.57K2.98K11.36K
Liabilities And Stockholders Equity
10.08K7.59K9.23K8.95K35.86K
Totals61.72K48.81K58.95K55.87K225.36K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;Totals
Totals-
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;Totals
Totals-
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;06/30/202312/31/202206/30/2022Totals
Cash From Operating Activities
-49.56748.673-309.924-310.818
Net Income
-295.851-246.73716.101-526.487
Depreciation
2.241061.76231.802785.80614
Extraordinary Items
----
Change To Inventory
--0.053241.173571.12033
Capital Expenditures
-0.35809---0.35809
Cash From Financing Activities
-8.66393-14.771-32.819-56.253930000000004
Other Cashflows From Financing Activities
-8.66393-14.771-32.819-56.253930000000004
Totals-360.86289-225.89693999999997-356.48465000000004-943.2444799999997
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202312/31/202212/31/202112/31/2020Totals
Cash From Operating Activities
-7.25K-2.05K-1.49K-659.078-11.44K
Net Income
-6.59K-1.82K-351.691-262.106-9.03K
Depreciation
12.42394.59976.02287.267270.31100000000004
Extraordinary Items
-----
Change To Inventory
-8.77865.386-88.409-14.245000000000005
Capital Expenditures
-2.81--40.586-102.501-145.897
Cash From Financing Activities
7.66K-372.8831.49K1.08K9.86K
Other Cashflows From Financing Activities
5.4556.993652.8844.252669.584
Totals-6.16K-4.13K404.59760.041999999999966-9.83K