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FMY Financials

Balance sheets

Oct 31, 2024Apr 30, 2024Oct 31, 2023Apr 30, 2023Oct 31, 2022Apr 30, 2022Oct 31, 2021

Total Assets

$54.5 M(-12.8%)$62.5 M(+3.2%)$60.6 M(-3.3%)$62.7 M(+18.4%)$52.9 M(-5.5%)$56.0 M(-6.3%)$59.8 M

Current Assets

------$4.2 M

Non Current Assets

------$55.6 M

Total Liabilities

$1.1 M(-89.1%)$10.4 M(-6.9%)$11.2 M(+11.3%)$10.1 M(+406.6%)$2.0 M(+72.0%)$1.2 M(+14.7%)$1.0 M

Current Liabilities

------$1.0 M

Long Term Liabilities

------$0.0

Shareholders Equity

$53.4 M(+2.4%)$52.1 M(+5.5%)$49.4 M(-6.1%)$52.6 M(+3.3%)$50.9 M(-7.2%)$54.9 M(-6.5%)$58.6 M

Book Value

$53.4 M(+2.4%)$52.1 M(+5.5%)$49.4 M(-6.1%)$52.6 M(+3.3%)$50.9 M(-7.2%)$54.9 M(-6.5%)$58.6 M

Working Capital

------$3.2 M

Cash And Cash Equivalents

---$2.1 M(+6.8%)$1.9 M(-43.9%)$3.4 M(-6.6%)$3.7 M

Accounts Payable

$892.4 K(-91.2%)$10.2 M(-7.8%)$11.1 M(+11.5%)$9.9 M(+439.5%)$1.8 M(+84.3%)$997.0 K(-1.0%)$1.0 M

Accounts Receivable

------$490.5 K

Short Term Debt

------$0.0

Long Term Debt

------$0.0

Total Debt

------$0.0

Debt To Equity

------0.0

Current Ratio

------4.1

Quick Ratio

------4.1

Inventory

------$0.0

Retained Earnings

-$10.1 M(+13.7%)-$11.7 M(+18.8%)-$14.3 M(-28.9%)-$11.1 M(+13.2%)-$12.8 M(-30.2%)-$9.8 M(-62.4%)-$6.1 M

PB Ratio

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Income statements

Oct 31, 2024Apr 30, 2024Oct 31, 2023Apr 30, 2023Oct 31, 2022Apr 30, 2022Oct 31, 2021

EPS

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TTM EPS

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Revenue

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TTM Revenue

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Total Expenses

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Operating Expenses

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Cost Of Goods Sold

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TTM Cost Of Goods Sold

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Gross Profit

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TTM Gross Profit

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Gross Margin

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Operating Profit

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TTM Operating Profit

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Operating Margin

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Net Income

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TTM Net Income

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Net Margin

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EBIT

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TTM EBIT

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EBITDA

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TTM EBITDA

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Selling, General & Administrative Expenses

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TTM SGA

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Depreciation And Amortization

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TTM D&A

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Interest Expense

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TTM Interest Expense

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Income Tax

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TTM Income Tax

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PE Ratio

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PS Ratio

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Cashflow statements

Oct 31, 2024Apr 30, 2024Oct 31, 2023Apr 30, 2023Oct 31, 2022Apr 30, 2022Oct 31, 2021

Cash From Operations

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TTM CFO

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Cash From Investing

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TTM CFI

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Cash From Financing

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TTM CFF

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Free Cash Flow

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TTM FCF

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CAPEX

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TTM CAPEX

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Dividends Paid

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TTM Dividends Paid

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TTM Dividend Per Share

$0.96(+15.6%)$0.83(+22.4%)$0.68(+3.0%)$0.66(0%)$0.66(-4.3%)$0.69(-4.2%)$0.72

TTM Dividend Yield

8.0%(+12.8%)7.0%(+12.8%)6.3%(+8.9%)5.7%(-4.2%)6.0%(+1.4%)5.9%(+12.4%)5.3%

Payout Ratio

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