Paranovus Entertainment Technology Ltd. (PAVS)

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CIK 0001751876 · Nasdaq · Services-Computer Processing & Data Preparation

  • Sector Services
  • Incorporated E9
  • Fiscal year ends Mar 31

In fiscal 2025, Paranovus Entertainment Technology Ltd. reported revenue of $71.5K. The company ran a net loss, with a net margin of -11033.0% and a gross margin of 12.6%. It held $35.56M in total assets against $6.56M in total liabilities.

Key ratios (FY2025)

12.6%
Gross margin
-9481.9%
Operating margin
-11033.0%
Net margin
-32.5%
Return on equity
Metric (FY)202520242023202220212020201920182017
Revenue$71.5K$0$0$20.76M$71.48M$65.06M$63.94M$61.50M
Cost of Revenue$62.5K$0$0$20.50M$53.31M$34.64M$31.69M$32.14M
Gross Profit$9.0K$0$0$257.3K$18.18M$30.42M$32.25M$29.35M
Operating Income-$6.78M-$4.27M-$4.00M-$11.17M$1.53M$15.40M$21.84M$20.24M
Net Income-$7.89M-$10.13M-$71.74M-$48.80M$786.4K$12.69M$18.72M$17.49M
EPS (Diluted)$-12.63$-1.22$0.03$0.53
Total Assets$35.56M$7.73M$36.34M$97.43M$112.74M$85.10M$65.68M$53.40M
Total Liabilities$6.56M$2.56M$22.47M$20.01M$15.11M$5.51M$4.76M$8.84M
Shareholders' Equity$24.26M$5.58M$14.76M$78.13M$94.75M$79.59M$60.92M$44.55M$23.31M
Cash & Equivalents$261.4K$341.8K$3.36M$19.73M$36.56M$33.65M$14.80M$8.88M$4.27M
Operating Cash Flow-$2.67M-$13.11M-$20.71M-$10.50M$2.90M$10.78M$6.54M$12.93M
Capital Expenditures$0$0$273.6K$2.78M$1.16M$283.1K$158.0K
Shares Outstanding84.51M4.73M5.68M40.49M26.16M23.84M