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UBXG U-BX Technology

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  • 3.869
  • +0.129+3.44%
Close Apr 29 16:00 ET
80.41MMarket Cap-64.48P/E (TTM)

U-BX Technology Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q2)Dec 31, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q2)Dec 31, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(Q2)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
264.14%18.7M
273.68%4.83M
273.68%4.83M
287.78%5.13M
-14.82%1.29M
-14.82%1.29M
-20.71%1.32M
92.49%1.52M
92.49%1.52M
--1.67M
-Cash and cash equivalents
264.14%18.7M
273.68%4.83M
273.68%4.83M
287.78%5.13M
-14.82%1.29M
-14.82%1.29M
-20.71%1.32M
92.49%1.52M
92.49%1.52M
--1.67M
Receivables
-91.02%73.05K
2,980.37%9.89M
2,980.37%9.89M
804.07%813.55K
-25.73%321.17K
-25.73%321.17K
-98.67%89.99K
-60.89%432.45K
-60.89%432.45K
--6.76M
-Accounts receivable
-87.80%32.44K
49.66%396.29K
49.66%396.29K
195.61%266.01K
-6.25%264.8K
-6.25%264.8K
-98.63%89.99K
-74.01%282.46K
-74.01%282.46K
--6.57M
-Loans receivable
--0
--9.46M
--9.46M
--507.11K
--0
--0
----
----
----
----
-Taxes receivable
2.44%41.42K
-30.53%39.16K
-30.53%39.16K
--40.43K
-62.42%56.37K
-62.42%56.37K
----
696.46%149.98K
696.46%149.98K
--188.46K
-Recievables adjustments allowances
---811
----
----
----
----
----
----
----
----
----
Prepaid assets
19.45%3.74M
-30.35%2.07M
-30.35%2.07M
-68.54%3.13M
-85.48%2.97M
-85.48%2.97M
2,109.11%9.95M
3,661.57%20.47M
3,661.57%20.47M
--450.19K
Other current assets
323.35%93.92K
-443.81%-58.49K
-443.81%-58.49K
-88.00%22.19K
61.29%17.01K
61.29%17.01K
2,976.21%184.94K
-51.13%10.55K
-51.13%10.55K
---6.43K
Total current assets
148.40%22.6M
263.55%16.74M
263.55%16.74M
-21.18%9.1M
-79.47%4.6M
-79.47%4.6M
30.05%11.54M
811.54%22.43M
811.54%22.43M
--8.88M
Non current assets
Net PPE
33.93%19.78K
584.92%25.53K
584.92%25.53K
250.93%14.77K
11.38%3.73K
11.38%3.73K
10.56%4.21K
43.16%3.35K
43.16%3.35K
--3.81K
-Gross PPE
--19.78K
584.92%25.53K
584.92%25.53K
----
--3.73K
--3.73K
----
----
----
--6.73K
-Accumulated depreciation
----
----
----
----
----
----
----
----
----
---2.93K
Goodwill and other intangible assets
--5.46K
--5.71K
--5.71K
----
--0
--0
----
----
----
----
Non current deferred assets
----
--0
--0
-50.93%246.43K
-47.96%245.96K
-47.96%245.96K
177,357.95%502.21K
25,827.04%472.65K
25,827.04%472.65K
--283
Other non current assets
--18.88K
--23.74K
--23.74K
----
----
----
----
----
----
----
Total non current assets
-83.11%44.12K
-77.98%54.99K
-77.98%54.99K
-48.42%261.19K
-47.55%249.68K
-47.55%249.68K
12,284.79%506.41K
11,339.49%476K
11,339.49%476K
--4.09K
Total assets
141.94%22.65M
245.98%16.79M
245.98%16.79M
-22.33%9.36M
-78.81%4.85M
-78.81%4.85M
35.69%12.05M
829.31%22.9M
829.31%22.9M
--8.88M
Liabilities
Current liabilities
Payables
-36.98%1.86M
20.12%2.1M
20.12%2.1M
122.35%2.95M
76.10%1.75M
76.10%1.75M
-83.44%1.32M
-56.99%991.22K
-56.99%991.22K
--8M
-accounts payable
-37.96%1.04M
25.19%718.13K
25.19%718.13K
--1.67M
--573.62K
--573.62K
----
--0
--0
--7.19M
-Total tax payable
-58.39%346.71K
18.93%875.61K
18.93%875.61K
-13.52%833.33K
-2.06%736.25K
-2.06%736.25K
58.48%963.56K
50.70%751.71K
50.70%751.71K
--608.01K
-Due to related parties current
9.80%453.85K
12.99%457.77K
12.99%457.77K
24.44%413.32K
94.79%405.14K
94.79%405.14K
96.87%332.15K
75.28%207.99K
75.28%207.99K
--168.72K
-Other payable
-32.62%19.94K
48.22%45.26K
48.22%45.26K
2.20%29.59K
-3.13%30.53K
-3.13%30.53K
-9.30%28.95K
15.72%31.52K
15.72%31.52K
--31.92K
Current debt and capital lease obligation
91.91%812.88K
412.27%708.95K
412.27%708.95K
--423.57K
--138.39K
--138.39K
----
----
----
----
-Current debt
90.16%805.46K
406.95%701.58K
406.95%701.58K
--423.57K
--138.39K
--138.39K
----
----
----
----
-Current capital lease obligation
--7.41K
--7.37K
--7.37K
----
--0
--0
----
----
----
----
Current deferred liabilities
----
--0
--0
-99.97%2.88K
-91.46%1.78M
-91.46%1.78M
3,771.73%9.55M
32,215.37%20.9M
32,215.37%20.9M
--246.7K
Other current liabilities
-8.95%105.68K
-6.61%106.94K
-6.61%106.94K
20.54%116.07K
17.09%114.52K
17.09%114.52K
-89.28%96.29K
392.69%97.8K
392.69%97.8K
--898.19K
Current liabilities
-20.45%2.77M
-23.01%2.91M
-23.01%2.91M
-68.21%3.49M
-82.80%3.78M
-82.80%3.78M
19.98%10.97M
820.55%21.99M
820.55%21.99M
--9.15M
Non current liabilities
Long term debt and capital lease obligation
--0
--7.58K
--7.58K
----
--0
--0
----
----
----
----
-Long term capital lease obligation
--0
--7.58K
--7.58K
----
--0
--0
----
----
----
----
Non current deferred liabilities
--338
--154
--154
----
--0
--0
----
----
----
----
Total non current liabilities
--338
--7.74K
--7.74K
--0
--0
--0
--0
--0
--0
--0
Total liabilities
-20.44%2.77M
-22.80%2.92M
-22.80%2.92M
-68.21%3.49M
-82.80%3.78M
-82.80%3.78M
19.98%10.97M
820.55%21.99M
820.55%21.99M
--9.15M
Shareholders'equity
Share capital
99.20%4.98K
12.50%2.7K
12.50%2.7K
4.17%2.5K
0.00%2.4K
0.00%2.4K
60.00%2.4K
60.00%2.4K
60.00%2.4K
--1.5K
-common stock
99.20%4.98K
12.50%2.7K
12.50%2.7K
4.17%2.5K
0.00%2.4K
0.00%2.4K
60.00%2.4K
60.00%2.4K
60.00%2.4K
--1.5K
Retained earnings
78.32%-93.49K
-475.52%-1.23M
-475.52%-1.23M
-155.75%-431.16K
38.45%-214.33K
38.45%-214.33K
70.00%-168.59K
-59.19%-348.24K
-59.19%-348.24K
---561.93K
Paid-in capital
235.62%20.28M
1,299.31%14.58M
1,299.31%14.58M
479.89%6.04M
0.00%1.04M
0.00%1.04M
608.59%1.04M
608.59%1.04M
608.59%1.04M
--147.03K
Gains losses not affecting retained earnings
-222.17%-316.84K
118.12%526.01K
118.12%526.01K
28.05%259.34K
12.21%241.16K
12.21%241.16K
34.87%202.52K
45.99%214.92K
45.99%214.92K
--150.16K
Other equity interest
----
----
----
----
----
----
----
----
----
---920
Total stockholders'equity
238.39%19.87M
1,195.33%13.87M
1,195.33%13.87M
444.64%5.87M
17.58%1.07M
17.58%1.07M
508.16%1.08M
1,106.65%910.94K
1,106.65%910.94K
---264.16K
Total equity
238.39%19.87M
1,195.33%13.87M
1,195.33%13.87M
444.64%5.87M
17.58%1.07M
17.58%1.07M
508.16%1.08M
1,106.65%910.94K
1,106.65%910.94K
---264.16K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
--
--
--
(Q2)Dec 31, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q2)Dec 31, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q2)Dec 31, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022(Q2)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 264.14%18.7M273.68%4.83M273.68%4.83M287.78%5.13M-14.82%1.29M-14.82%1.29M-20.71%1.32M92.49%1.52M92.49%1.52M--1.67M
-Cash and cash equivalents 264.14%18.7M273.68%4.83M273.68%4.83M287.78%5.13M-14.82%1.29M-14.82%1.29M-20.71%1.32M92.49%1.52M92.49%1.52M--1.67M
Receivables -91.02%73.05K2,980.37%9.89M2,980.37%9.89M804.07%813.55K-25.73%321.17K-25.73%321.17K-98.67%89.99K-60.89%432.45K-60.89%432.45K--6.76M
-Accounts receivable -87.80%32.44K49.66%396.29K49.66%396.29K195.61%266.01K-6.25%264.8K-6.25%264.8K-98.63%89.99K-74.01%282.46K-74.01%282.46K--6.57M
-Loans receivable --0--9.46M--9.46M--507.11K--0--0----------------
-Taxes receivable 2.44%41.42K-30.53%39.16K-30.53%39.16K--40.43K-62.42%56.37K-62.42%56.37K----696.46%149.98K696.46%149.98K--188.46K
-Recievables adjustments allowances ---811------------------------------------
Prepaid assets 19.45%3.74M-30.35%2.07M-30.35%2.07M-68.54%3.13M-85.48%2.97M-85.48%2.97M2,109.11%9.95M3,661.57%20.47M3,661.57%20.47M--450.19K
Other current assets 323.35%93.92K-443.81%-58.49K-443.81%-58.49K-88.00%22.19K61.29%17.01K61.29%17.01K2,976.21%184.94K-51.13%10.55K-51.13%10.55K---6.43K
Total current assets 148.40%22.6M263.55%16.74M263.55%16.74M-21.18%9.1M-79.47%4.6M-79.47%4.6M30.05%11.54M811.54%22.43M811.54%22.43M--8.88M
Non current assets
Net PPE 33.93%19.78K584.92%25.53K584.92%25.53K250.93%14.77K11.38%3.73K11.38%3.73K10.56%4.21K43.16%3.35K43.16%3.35K--3.81K
-Gross PPE --19.78K584.92%25.53K584.92%25.53K------3.73K--3.73K--------------6.73K
-Accumulated depreciation ---------------------------------------2.93K
Goodwill and other intangible assets --5.46K--5.71K--5.71K------0--0----------------
Non current deferred assets ------0--0-50.93%246.43K-47.96%245.96K-47.96%245.96K177,357.95%502.21K25,827.04%472.65K25,827.04%472.65K--283
Other non current assets --18.88K--23.74K--23.74K----------------------------
Total non current assets -83.11%44.12K-77.98%54.99K-77.98%54.99K-48.42%261.19K-47.55%249.68K-47.55%249.68K12,284.79%506.41K11,339.49%476K11,339.49%476K--4.09K
Total assets 141.94%22.65M245.98%16.79M245.98%16.79M-22.33%9.36M-78.81%4.85M-78.81%4.85M35.69%12.05M829.31%22.9M829.31%22.9M--8.88M
Liabilities
Current liabilities
Payables -36.98%1.86M20.12%2.1M20.12%2.1M122.35%2.95M76.10%1.75M76.10%1.75M-83.44%1.32M-56.99%991.22K-56.99%991.22K--8M
-accounts payable -37.96%1.04M25.19%718.13K25.19%718.13K--1.67M--573.62K--573.62K------0--0--7.19M
-Total tax payable -58.39%346.71K18.93%875.61K18.93%875.61K-13.52%833.33K-2.06%736.25K-2.06%736.25K58.48%963.56K50.70%751.71K50.70%751.71K--608.01K
-Due to related parties current 9.80%453.85K12.99%457.77K12.99%457.77K24.44%413.32K94.79%405.14K94.79%405.14K96.87%332.15K75.28%207.99K75.28%207.99K--168.72K
-Other payable -32.62%19.94K48.22%45.26K48.22%45.26K2.20%29.59K-3.13%30.53K-3.13%30.53K-9.30%28.95K15.72%31.52K15.72%31.52K--31.92K
Current debt and capital lease obligation 91.91%812.88K412.27%708.95K412.27%708.95K--423.57K--138.39K--138.39K----------------
-Current debt 90.16%805.46K406.95%701.58K406.95%701.58K--423.57K--138.39K--138.39K----------------
-Current capital lease obligation --7.41K--7.37K--7.37K------0--0----------------
Current deferred liabilities ------0--0-99.97%2.88K-91.46%1.78M-91.46%1.78M3,771.73%9.55M32,215.37%20.9M32,215.37%20.9M--246.7K
Other current liabilities -8.95%105.68K-6.61%106.94K-6.61%106.94K20.54%116.07K17.09%114.52K17.09%114.52K-89.28%96.29K392.69%97.8K392.69%97.8K--898.19K
Current liabilities -20.45%2.77M-23.01%2.91M-23.01%2.91M-68.21%3.49M-82.80%3.78M-82.80%3.78M19.98%10.97M820.55%21.99M820.55%21.99M--9.15M
Non current liabilities
Long term debt and capital lease obligation --0--7.58K--7.58K------0--0----------------
-Long term capital lease obligation --0--7.58K--7.58K------0--0----------------
Non current deferred liabilities --338--154--154------0--0----------------
Total non current liabilities --338--7.74K--7.74K--0--0--0--0--0--0--0
Total liabilities -20.44%2.77M-22.80%2.92M-22.80%2.92M-68.21%3.49M-82.80%3.78M-82.80%3.78M19.98%10.97M820.55%21.99M820.55%21.99M--9.15M
Shareholders'equity
Share capital 99.20%4.98K12.50%2.7K12.50%2.7K4.17%2.5K0.00%2.4K0.00%2.4K60.00%2.4K60.00%2.4K60.00%2.4K--1.5K
-common stock 99.20%4.98K12.50%2.7K12.50%2.7K4.17%2.5K0.00%2.4K0.00%2.4K60.00%2.4K60.00%2.4K60.00%2.4K--1.5K
Retained earnings 78.32%-93.49K-475.52%-1.23M-475.52%-1.23M-155.75%-431.16K38.45%-214.33K38.45%-214.33K70.00%-168.59K-59.19%-348.24K-59.19%-348.24K---561.93K
Paid-in capital 235.62%20.28M1,299.31%14.58M1,299.31%14.58M479.89%6.04M0.00%1.04M0.00%1.04M608.59%1.04M608.59%1.04M608.59%1.04M--147.03K
Gains losses not affecting retained earnings -222.17%-316.84K118.12%526.01K118.12%526.01K28.05%259.34K12.21%241.16K12.21%241.16K34.87%202.52K45.99%214.92K45.99%214.92K--150.16K
Other equity interest ---------------------------------------920
Total stockholders'equity 238.39%19.87M1,195.33%13.87M1,195.33%13.87M444.64%5.87M17.58%1.07M17.58%1.07M508.16%1.08M1,106.65%910.94K1,106.65%910.94K---264.16K
Total equity 238.39%19.87M1,195.33%13.87M1,195.33%13.87M444.64%5.87M17.58%1.07M17.58%1.07M508.16%1.08M1,106.65%910.94K1,106.65%910.94K---264.16K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion----Unqualified Opinion----------

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