Pop Culture Group Co., Ltd (CPOP)

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CIK 0001807389 · Nasdaq · Services-Amusement & Recreation Services

  • Sector Services
  • Incorporated E9
  • Fiscal year ends Jun 30

In fiscal 2025, Pop Culture Group Co., Ltd reported revenue of $107.63M, up 127.2% from the prior year. The company ran a net loss, with a net margin of -6.4% and a gross margin of 4.0%. It held $114.88M in total assets against $93.27M in total liabilities.

Key ratios (FY2025)

4.0%
Gross margin
-5.9%
Operating margin
-6.4%
Net margin
-31.9%
Return on equity
+127.2%
Revenue growth (YoY)
Metric (FY)20252024202320222021202020192018
Revenue$107.63M$47.38M$18.54M$32.28M$25.53M$15.69M$19.03M
Cost of Revenue$103.31M$44.50M$22.21M$26.04M
Gross Profit$4.32M$2.88M-$3.66M$6.25M$7.22M$4.53M$5.87M
Operating Income-$6.37M-$13.64M-$24.42M$1.42M$5.83M$3.16M$5.25M
Net Income-$6.89M-$12.41M-$24.33M$788.0K$4.27M$2.63M$3.83M
EPS (Diluted)$-0.49$-4.32$-10.10$0.40$2.50$0.16
Total Assets$114.88M$42.23M$39.05M$64.37M$34.43M$22.90M
Total Liabilities$93.27M$26.91M$12.87M$11.60M$15.10M$9.18M
Shareholders' Equity$21.61M$15.33M$26.18M$52.77M$19.33M$13.72M$7.52M$3.85M
Cash & Equivalents$2.61M$230.6K$2.75M$1.32M$1.36M$655.5K$429.5K
Operating Cash Flow$192.8K-$5.16M-$5.96M-$11.38M-$4.04M-$2.60M$821.2K
Capital Expenditures$12.6K$16.8K$623.3K$82.7K$1.7K$11.4K
Shares Outstanding14.14M2.87M2.41M2.10M1.72M14.88M