marketcaparena

FNGR

FingerMotion, Inc.

Company overview

Market capitalization
$8.68M
Employees
65
Latest publication
2026-09-29
About FingerMotion, Inc.

FingerMotion, Inc., a mobile data specialist company, provides mobile payment and recharge platform system in China. The company offers telecommunication products and services, including data plans, subscription plans, mobile phones, loyalty points redemption services, and other mobile protection plans; value added products and services comprising cloud services designed for corporate customers, such as robust data storage, processing capabilities, and databases accessible via the internet; and bulk short message and multimedia messaging services. It also provides rich communication services (RCS) platform, a text-messaging system that provides phonebook polling and capable of transmitting in-call multimedia features, as well as enables businesses and brands to communicate and service their customers on the 5G infrastructure; and Sapientus, a proprietary big data insights platform that deliver data-driven for businesses in the insurance, healthcare, and financial services industries. FingerMotion, Inc. is headquartered in Singapore.

Company website

Financial statements

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20272026-05-31 · USDQ4 20262026-02-28 · USDQ3 20262025-11-30 · USDQ2 20262025-08-31 · USDQ1 20262025-05-31 · USDQ4 20252025-02-28 · USDQ3 20252024-11-30 · USDQ2 20252024-08-31 · USD
Total Revenue650,089USD1,229,566USD5,796,441USD8,647,511USD8,458,743USD10,240,789USD8,534,079USD8,458,763USD
Cost Of Revenue441,611USD990,085USD5,668,302USD8,616,537USD8,306,222USD8,903,569USD8,090,509USD8,157,735USD
Gross Profit208,478USD239,481USD128,139USD38,740USD152,521USD1,337,220USD443,570USD301,028USD
Research Development56,280USD76,523USD85,210USD77,540USD172,652USD126,766USD146,735USD180,273USD
General And Administrative Expenses1,236,546USD———————
Total Operating Expenses2,142,559USD1,801,483USD1,829,903USD1,528,160USD2,141,451USD2,316,839USD2,057,677USD1,992,194USD
Operating Income-1,934,081USD-1,759,923USD-1,701,764USD-1,489,420USD-1,988,930USD-979,619USD-1,614,107USD-1,691,166USD
Total Other Income Expense Net-75,703USD-27,513USD20,152USD-60,104USD-33,831USD-11,786USD-48,548USD615USD
Interest Expense78,824USD28,881USD25,225USD40,248USD51,881USD68,156USD67,325USD28,578USD
Depreciation And Amortization197,592USD197,921USD134,964USD7,766USD10,553USD121,182USD11,561USD11,740USD
Income Before Tax-2,009,784USD-1,787,436USD-1,681,612USD-1,549,524USD-2,022,761USD-991,405USD-1,662,655USD-1,690,551USD
Income Tax Expense0USD-43,563USD—-8,514USD—-891,158USD57USD-2,322USD
Net Income-2,009,784USD-1,778,007USD-1,670,197USD-1,541,010USD-2,008,556USD-107,870USD-1,660,801USD-1,688,229USD
Minority Interest-9,457USD9,429USD11,415USD8,514USD14,205USD-7,623USD1,911USD2,322USD
Net Income Applicable To Common Shares-2,000,327USD———————
Selling General Administrative—753,966USD1,162,065USD1,495,216USD1,638,173USD1,627,604USD1,758,903USD1,728,599USD
Selling And Marketing Expenses—83,017USD31,122USD18,836USD12,106USD1,674USD140,478USD71,582USD
Interest Income—11,691USD4,448USD4,573USD5,137USD50,552USD4,270USD12,228USD
Net Interest Income—-17,190USD-20,777USD-35,675USD-46,744USD-17,604USD-63,055USD-16,350USD
Tax Provision—0USD0USD0USD0USD-891,158USD57USD0USD
Net Income From Continuing Ops—-1,787,436USD-1,681,612USD-1,549,524USD-2,022,761USD-100,247USD-1,662,712USD-1,690,551USD
Ebit—-1,759,921USD-1,656,386USD-1,509,276USD-1,970,880USD-923,249USD-1,595,327USD-1,661,978USD
Ebitda—-1,562,000USD-1,521,422USD-1,501,510USD-1,960,327USD-802,067USD-1,583,766USD-1,650,238USD
Reconciled Depreciation—197,921USD134,964USD7,766USD10,553USD121,182USD11,561USD11,740USD
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Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20262026-02-28 · USDFY 20252025-02-28 · USDFY 20242024-02-29 · USDFY 20232023-02-28 · USDFY 20222022-02-28 · USDFY 20212021-02-28 · USDFY 20202020-02-29 · USDFY 20192019-02-28 · USD
Total Revenue24,132,261USD35,607,614USD35,791,685USD34,054,205USD22,927,415USD16,683,570USD9,131,294USD1,473,037USD
Cost Of Revenue23,438,416USD32,843,907USD31,929,967USD31,735,735USD20,113,294USD15,036,876USD8,165,535USD1,217,180USD
Gross Profit693,845USD2,763,707USD3,861,718USD2,318,470USD2,814,121USD1,646,694USD965,759USD255,857USD
Research Development411,925USD632,767USD699,559USD797,549USD923,387USD552,343USD390,288USD0USD
Selling General Administrative5,049,420USD7,207,573USD6,768,887USD7,693,592USD6,058,158USD4,887,274USD3,634,597USD2,746,652USD
Selling And Marketing Expenses83,197USD276,258USD140,052USD430,291USD641,917USD364,160USD—73,932USD
Unclassified Operating Expenses2,089,340USD———————
Total Operating Expenses7,633,882USD8,712,708USD7,679,407USD8,984,535USD7,681,356USD5,830,832USD4,031,803USD2,820,584USD
Operating Income-6,940,037USD-5,949,000USD-3,817,689USD-6,666,065USD-4,867,235USD-4,184,138USD-3,066,044USD-2,564,727USD
Interest Income25,849USD87,063USD62,646USD52,015USD21,150USD3,277USD1,319USD400USD
Interest Expense146,235USD164,059USD121,451USD566,083USD170,141USD273,594USD24,260USD32,540USD
Net Interest Income-120,386USD-76,996USD-58,805USD-514,068USD-148,991USD-270,317USD-22,941USD-32,140USD
Income Before Tax-7,041,333USD-5,988,463USD-3,812,017USD-7,538,837USD-4,940,548USD-4,378,074USD-3,000,094USD-2,912,875USD
Income Tax Expense-43,563USD-879,121USD-54,498USD305USD76,209USD384,769USD127,329USD-315,608USD
Tax Provision0USD-879,121USD0USD0USD0USD0USD——
Net Income-6,997,770USD-5,112,804USD-3,757,519USD-7,539,142USD-4,943,444USD-4,381,974USD-3,004,365USD-2,912,875USD
Net Income From Continuing Ops-7,041,333USD-5,109,342USD-3,812,017USD-7,538,837USD-4,940,548USD-4,377,539USD-3,000,094USD-2,912,875USD
Ebit-7,187,568USD-5,824,404USD-3,690,563USD-6,854,064USD-4,770,405USD-4,104,476USD-2,975,834USD-2,880,340USD
Ebitda-7,538,772USD-5,667,907USD-3,619,654USD-6,790,961USD-4,712,511USD-4,077,421USD-2,968,916USD-2,793,181USD
Depreciation And Amortization-351,204USD156,497USD70,909USD63,103USD57,894USD27,055USD6,918USD87,159USD
Reconciled Depreciation351,204USD156,497USD70,909USD63,103USD57,894USD27,055USD6,918USD87,159USD
Total Other Income Expense Net-101,296USD-39,462USD5,672USD-872,772USD-73,313USD-193,936USD65,950USD-348,148USD
Minority Interest43,563USD-3,462USD54,498USD-305USD-2,896USD3,900USD4,183USD4,183USD
Non Operating Income Net Other———358,704USD—117,426USD—0USD
Net Income Applicable To Common Shares———7,539,142USD-4,943,444USD-4,381,974USD-3,004,365USD-2,912,875USD
Discontinued Operations———————0USD
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Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20272026-05-31 · USDQ4 20262026-02-28 · USDQ3 20262025-11-30 · USDQ2 20262025-08-31 · USDQ1 20262025-05-31 · USDQ4 20252025-02-28 · USDQ3 20252024-11-30 · USDQ2 20252024-08-31 · USD
Total Assets61,899,775USD60,845,989USD60,055,042USD51,900,062USD55,708,451USD48,820,451USD31,942,333USD30,188,875USD
Cash And Equivalents987,391USD———————
Total Current Assets52,933,912USD51,771,563USD50,953,944USD45,059,470USD48,889,413USD42,037,360USD31,745,513USD29,948,402USD
Other Current Assets4,932,114USD4,800,636USD6,566,971USD2,018,701USD468,011USD1,482,065USD5,166,551USD7,653,877USD
Total Liabilities48,570,308USD———————
Total Current Liabilities48,552,060USD45,678,410USD43,696,547USD36,807,360USD39,489,417USD35,134,555USD22,318,905USD20,239,541USD
Total Stockholder Equity13,376,997USD15,149,577USD16,369,692USD15,092,616USD16,210,597USD13,653,466USD9,630,870USD9,923,836USD
Total Equity Including Noncontrolling Interest13,329,467USD———————
Net Receivables44,927,081USD46,644,172USD44,247,007USD37,778,762USD38,781,671USD32,659,436USD26,383,266USD21,484,241USD
Inventory309,492USD258,159USD115,752USD123,546USD852,501USD136,020USD31,096USD-6,454,707USD
Property Plant Equipment Net47,958USD19,201USD75,460USD86,225USD120,421USD149,841USD181,904USD220,024USD
Accounts Payable35,105,714USD34,412,906USD33,864,932USD28,399,705USD30,263,861USD24,560,361USD18,433,571USD15,226,681USD
Short Term Debt576,233USD597,441USD423,487USD453,174USD1,232,998USD1,250,553USD1,712,887USD1,141,863USD
Common Stock6,129USD6,129USD6,123USD5,941USD5,941USD5,714USD5,381USD5,271USD
Retained Earnings-43,185,481USD-41,185,154USD-39,407,147USD-37,736,950USD-36,195,940USD-34,187,384USD-33,453,767USD-31,792,966USD
Accumulated Other Comprehensive Income105,570USD-84,104USD-550,277USD-661,921USD-790,967USD-943,276USD-881,810USD-607,145USD
Intangible Assets—2,030,291USD2,226,621USD2,587USD4,738USD9,758USD14,916USD20,449USD
Total Liab—45,696,412USD43,713,994USD36,824,675USD39,506,569USD35,161,495USD22,358,838USD20,310,503USD
Other Current Liab—10,668,063USD9,408,128USD7,954,481USD7,992,558USD9,323,641USD2,172,447USD3,870,997USD
Capital Stock—6,129USD6,123USD5,941USD5,941USD5,714USD5,381USD5,271USD
Cash—68,596USD24,214USD221,836USD2,863,238USD1,128,135USD164,600USD810,284USD
Cash And Short Term Investments—68,596USD24,214USD5,138,461USD8,787,230USD7,759,839USD164,600USD810,284USD
Net Debt—518,241USD399,273USD231,338USD-1,630,240USD132,404USD1,588,220USD402,541USD
Short Long Term Debt—576,233USD382,623USD382,623USD1,133,745USD1,133,745USD1,596,806USD1,024,688USD
Short Long Term Debt Total—586,837USD423,487USD453,174USD1,232,998USD1,260,539USD1,752,820USD1,212,825USD
Property Plant Equipment Gross—147,548USD171,223USD181,054USD206,889USD230,526USD256,656USD306,743USD
Common Stock Shares Outstanding—59,597,091shares60,454,663shares59,408,429shares57,289,873shares53,326,531shares53,326,531shares52,712,850shares
Non Current Assets Total—9,074,426USD9,101,098USD6,840,592USD6,819,038USD6,783,091USD196,820USD240,473USD
Non Current Liabilities Total—18,000USD17,447USD17,315USD17,152USD26,940USD39,933USD70,962USD
Non Currrent Assets Other—28,366USD6,799,017USD6,751,780USD6,693,879USD6,623,492USD27,334USD34,274USD
Net Working Capital—6,093,153USD7,257,397USD8,252,110USD9,399,996USD6,902,805USD9,426,608USD9,708,861USD
Unclassified Non Current Assets—6,996,568USD——————
Unclassified Equity—56,406,577USD56,314,870USD53,479,605USD53,185,622USD48,772,698USD43,955,685USD42,313,405USD
Short Term Investments———4,916,625USD5,923,992USD6,631,704USD——
Unclassified Current Liabilities————-1,133,745USD-1,133,745USD-1,596,806USD-1,024,688USD
Current Deferred Revenue———————-907,513USD
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Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20262026-02-28 · USDFY 20252025-02-28 · USDFY 20242024-02-29 · USDFY 20232023-02-28 · USDFY 20222022-02-28 · USDFY 20212021-02-28 · USDFY 20202020-02-29 · USDFY 20192019-02-28 · USD
Total Assets60,845,989USD48,820,451USD18,446,003USD17,547,124USD10,366,905USD7,341,504USD5,876,778USD4,437,692USD
Intangible Assets2,030,291USD9,758USD30,456USD73,066USD125,932USD161,210USD—0USD
Other Current Assets4,800,636USD1,482,065USD3,057,804USD6,690,726USD4,870,607USD2,153,097USD3,083,866USD2,596,033USD
Total Liab45,696,412USD35,161,495USD6,753,915USD4,574,824USD5,278,655USD5,226,538USD6,171,213USD3,851,660USD
Total Stockholder Equity15,149,577USD13,653,466USD11,690,060USD12,961,016USD5,077,271USD2,106,883USD-298,618USD586,032USD
Other Current Liab10,668,063USD9,323,641USD1,595,760USD1,156,225USD1,680,228USD1,046,190USD1,043,681USD2,176,380USD
Common Stock6,129USD5,714USD5,254USD4,943USD4,263USD3,890USD2,585USD2,476USD
Capital Stock6,129USD5,714USD5,254USD4,943USD4,263USD3,890USD2,585USD2,476USD
Retained Earnings-41,185,154USD-34,187,384USD-29,074,580USD-24,691,314USD-17,152,172USD-12,208,728USD-7,826,754USD-4,822,389USD
Cash68,596USD1,128,135USD1,517,232USD9,240,241USD461,933USD850,717USD102,919USD1,337,245USD
Cash And Short Term Investments68,596USD7,759,839USD6,709,765USD9,240,241USD461,933USD850,717USD102,919USD1,337,245USD
Total Current Assets51,771,563USD42,037,360USD18,356,107USD17,265,851USD10,209,096USD7,104,527USD5,848,768USD4,427,086USD
Total Current Liabilities45,678,410USD35,134,555USD6,753,915USD2,036,520USD5,278,655USD4,112,295USD6,171,213USD3,851,660USD
Net Debt518,241USD132,404USD-1,512,436USD-5,849,013USD-456,864USD855,995USD2,320,859USD-901,245USD
Short Term Debt597,441USD1,250,553USD4,796USD852,924USD5,069USD592,469USD2,423,778USD436,000USD
Short Long Term Debt576,233USD1,133,745USD—730,000USD—544,900USD1,066,000USD0USD
Short Long Term Debt Total586,837USD1,260,539USD4,796USD3,391,228USD5,069USD1,706,712USD2,423,778USD436,000USD
Net Receivables46,644,172USD32,659,436USD8,588,538USD1,334,884USD4,875,149USD4,099,312USD2,661,983USD493,808USD
Inventory258,159USD136,020USD1USD1,082,636USD1,407USD1,401USD1USD0USD
Accounts Payable34,412,906USD24,560,361USD5,153,359USD27,371USD3,588,289USD2,473,636USD2,703,754USD1,239,280USD
Property Plant Equipment Net19,201USD149,841USD59,440USD208,207USD31,877USD75,767USD28,010USD10,606USD
Property Plant Equipment Gross147,548USD230,526USD131,695USD251,105USD67,416USD97,267USD37,628USD0USD
Accumulated Other Comprehensive Income-84,104USD-943,276USD-767,011USD-391,692USD137,911USD140,906USD3,963USD-8,951USD
Common Stock Shares Outstanding59,597,091shares53,326,531shares52,168,747shares44,014,060shares40,840,413shares33,702,858shares25,847,953shares24,763,753shares
Non Current Assets Total9,074,426USD6,783,091USD89,896USD281,273USD157,809USD236,977USD28,010USD10,606USD
Non Current Liabilities Total18,000USD26,940USD0USD2,538,304USD3,593,358USD1,114,243USD1,072,671USD436,000USD
Non Currrent Assets Other28,366USD6,623,492USD-1USD-281,273USD—646,377USD-600,455USD-25,309USD
Net Working Capital6,093,153USD6,902,805USD11,971,003USD15,229,331USD4,930,441USD2,992,232USD750,226USD1,011,426USD
Unclassified Non Current Assets6,996,568USD———-3,358,150USD———
Unclassified Equity56,406,577USD48,772,698USD41,521,143USD38,034,136USD22,083,006USD14,166,925USD7,519,003USD5,412,420USD
Short Term Investments—6,631,704USD5,192,533USD————0USD
Unclassified Current Liabilities—-1,133,745USD————-1,066,000USD—
Other Assets——1USD—3,358,150USD——0USD
Long Term Debt———2,533,333USD—1,109,307USD1,066,000USD436,000USD
Non Current Liabilities Other———4,971USD—4,936USD—0USD
Net Tangible Assets———12,887,950USD4,951,339USD1,945,673USD-298,618USD586,032USD
Unclassified Current Assets———-1,082,636USD————
Unclassified Non Current Liabilities————3,593,358USD———
Current Deferred Revenue——————-1,006,671USD-370,000USD
Deferred Long Term Liab———————0USD
Other Liab———————0USD
Good Will———————0USD
Long Term Investments———————0USD
Accumulated Depreciation———————0USD
Additional Paid In Capital———————0USD
Treasury Stock———————0USD
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Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20272026-05-31 · USDQ4 20262026-02-28 · USDQ3 20262025-11-30 · USDQ2 20262025-08-31 · USDQ1 20262025-05-31 · USDQ4 20252025-02-28 · USDQ3 20252024-11-30 · USDQ2 20252024-08-31 · USD
Net Income-2,009,784USD-1,787,436USD-1,681,612USD-1,549,524USD-2,022,761USD-100,247USD-1,662,712USD-1,690,551USD
Depreciation197,592USD197,921USD134,964USD7,766USD10,553USD121,182USD11,561USD11,740USD
Stock Based Compensation81,166USD86,790USD208,333USD107,750USD127,747USD-378,668USD250,724USD345,388USD
Unclassified Operating Cash Flow-776,737USD——————-2,584,642USD
Change To Account Receivables-11,443USD-1,191USD-6,559,204USD898,574USD-5,934,324USD-7,602,691USD-4,177,416USD-3,768,759USD
Change To Inventory-47,263USD-133,255USD8,682USD-28,426USD43,613USD-106,258USD-31,096USD—
Change To Liabilities220,815USD———————
Change In Working Capital162,109USD604,652USD446,610USD-376,828USD372,247USD2,991,220USD-282,267USD-160,810USD
Operating Cash Flow-2,345,654USD———————
Financing Cash Flow3,275,000USD———————
Effect Of Forex Changes On Cash-10,551USD———————
Change In Cash918,795USD44,382USD-197,622USD-2,641,402USD1,735,103USD963,535USD-645,684USD-253,840USD
End Cash Flow987,391USD———————
Other Non Cash Items—627,574USD343,259USD-71,196USD307,997USD-6,225,925USD-601,725USD2,584,642USD
Total Cash From Operating Activities—-270,499USD-548,446USD-1,882,032USD-1,204,217USD-3,592,438USD-1,682,694USD-1,494,233USD
Capital Expenditures—-1,826USD-18,259USD-1,826USD-1,826USD-2,410USD-34USD-1,737USD
Free Cash Flow—-272,325USD-548,446USD-1,880,206USD-1,206,043USD-3,594,848USD-1,682,658USD-1,494,232USD
Total Cashflows From Investing Activities—-131USD-18,259USD1,826USD-1,826USD-2,410USD36USD-1,741USD
Net Borrowings—193,610USD0USD——-463,061USD572,118USD1,024,688USD
Total Cash From Financing Activities—292,725USD365,285USD-751,122USD2,956,615USD4,536,943USD609,618USD1,854,688USD
Issuance Of Capital Stock—99,115USD365,285USD0USD2,956,615USD5,000,004USD1,642,500USD0USD
Begin Period Cash Flow—24,214USD221,836USD2,863,238USD1,128,135USD164,600USD810,284USD1,064,124USD
End Period Cash Flow—68,596USD24,214USD221,836USD2,863,238USD1,128,135USD164,600USD810,284USD
Other Cashflows From Investing Activities—1,695USD————36USD-1,742USD
Other Cashflows From Financing Activities—292,725USD—-2,956,615USD——-1,605,000USD830,000USD
Investments———0USD-1,826USD-2,410USD36USD-1,741USD
Unclassified Financing Cash Flow———2,205,493USD————
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20262026-02-28 · USDFY 20252025-02-28 · USDFY 20242024-02-29 · USDFY 20232023-02-28 · USDFY 20222022-02-28 · USDFY 20212021-02-28 · USDFY 20202020-02-29 · USDFY 20192019-02-28 · USD
Net Income-7,041,333USD-5,109,342USD-3,757,519USD-7,538,837USD-4,940,548USD-4,378,074USD-3,000,094USD-2,912,875USD
Depreciation351,204USD156,497USD70,909USD63,103USD57,894USD27,055USD6,918USD87,159USD
Stock Based Compensation530,620USD609,971USD730,209USD2,361,475USD777,576USD640,394USD869,147USD1,608,853USD
Other Non Cash Items1,207,634USD439,614USD-54,497USD112,561USD589,995USD32,747USD8,749USD322,973USD
Change To Account Receivables-11,596,145USD-23,461,358USD-9,300,401USD1,228,121USD-775,837USD-1,437,329USD-2,168,175USD-197,559USD
Change To Inventory-109,386USD-137,354USD0USD1,280USD-6USD-1,401USD-262,754USD-1,401USD
Change In Working Capital1,046,681USD2,389,495USD-5,193,048USD-3,612,435USD-1,742,784USD-593,740USD-973,126USD175,616USD
Total Cash From Operating Activities-3,905,194USD-8,179,304USD-8,203,946USD-8,614,133USD-5,847,862USD-4,271,618USD-3,088,406USD-718,274USD
Capital Expenditures-20,216USD-4,115USD-376USD-74,817USD-26,072USD-238,485USD-17,507USD-11,711USD
Free Cash Flow-3,905,194USD-8,183,419USD-8,204,322USD-8,688,950USD-5,873,934USD-4,510,103USD-3,105,913USD-729,985USD
Total Cashflows From Investing Activities-20,216USD-4,115USD-376USD-74,817USD-26,072USD-238,485USD-17,237USD-11,711USD
Net Borrowings-557,512USD1,133,745USD-1,135,333USD5,263,333USD299,695USD1,351,107USD470,734USD386,000USD
Total Cash From Financing Activities2,863,503USD7,776,249USD-295,333USD17,343,333USD5,414,194USD5,174,600USD1,830,652USD2,064,674USD
Sale Purchase Of Stock2,355,000USD——12,020,000USD0USD-15,000USD0USD0USD
Issuance Of Capital Stock3,421,015USD6,642,504USD840,000USD12,020,000USD5,114,499USD5,886,500USD830,652USD1,678,674USD
Change In Cash-1,059,539USD-389,097USD-7,723,009USD8,778,308USD-388,784USD747,798USD-1,234,326USD1,326,694USD
Begin Period Cash Flow1,128,135USD1,517,232USD9,240,241USD461,933USD850,717USD102,919USD1,337,245USD10,551USD
End Period Cash Flow68,596USD1,128,135USD1,517,232USD9,240,241USD461,933USD850,717USD102,919USD1,337,245USD
Other Cashflows From Investing Activities-20,216USD——-74,817USD-11,678USD-221,489USD-17,507USD-11,711USD
Other Cashflows From Financing Activities2,863,503USD—-376USD60,000USD-26,072USD1,957,307USD2,000,000USD772,000USD
Unclassified Financing Cash Flow-1,797,488USD———5,140,571USD3,535,393USD——
Investments—-4,115USD-376USD-74,817USD-26,072USD-238,485USD-17,237USD-11,711USD
Unclassified Operating Cash Flow—-6,665,539USD——————
Change To Liabilities———-3,764,641USD1,114,653USD-230,118USD1,464,474USD1,132,198USD
Cash And Cash Equivalents Changes———8,654,383USD—747,798USD—0USD
Dividends Paid—————-1,654,207USD—0USD
Exchange Rate Changes—————83,301USD—0USD
SourceLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

PeriodDimensionBusiness / regionRevenueCurrencySource
Q1 2027Quarterly · 2026-05-31ProductAdvanced Technology And Platform Solutions135,478USDDisclosure
Q1 2027Quarterly · 2026-05-31ProductMarketplace Platform And Digital Commerce Infrastructure Solutions11,939USDDisclosure
Q1 2027Quarterly · 2026-05-31ProductTelecommunication Products And Services502,672USDDisclosure
FY 2026Yearly · 2026-02-28ProductAdvanced Technology And Platform Solutions141,886USD0001520138-26-000194
FY 2026Yearly · 2026-02-28ProductData And Analytics Platform Solutions27,780USD0001520138-26-000194
FY 2026Yearly · 2026-02-28ProductMarketplace Platform And Digital Commerce Infrastructure Solutions25,037USD0001520138-26-000194
FY 2026Yearly · 2026-02-28ProductTelecommunication Products And Services23,937,558USD0001520138-26-000194
Q1 2026Quarterly · 2025-05-31ProductBig Data27,310USD0001520138-25-000211
Q1 2026Quarterly · 2025-05-31ProductCommand And Communication109,241USD0001520138-25-000211
Q1 2026Quarterly · 2025-05-31ProductDa Ge Platform10,938USD0001520138-25-000211
Q1 2026Quarterly · 2025-05-31ProductTelecommunication Products And Services8,311,254USD0001520138-25-000211
FY 2025Yearly · 2025-02-28ProductBig Data-58,209USD0001520138-25-000162
FY 2025Yearly · 2025-02-28ProductCommand And Communication188,576USD0001520138-25-000162
FY 2025Yearly · 2025-02-28ProductDa Ge Platform80,592USD0001520138-25-000162
FY 2025Yearly · 2025-02-28ProductSMSAnd MMS8,191,308USD0001520138-25-000162
FY 2025Yearly · 2025-02-28ProductTelecommunication Products And Services27,205,347USD0001520138-25-000162
Q1 2025Quarterly · 2024-05-31ProductDa Ge Platform463USD0001520138-25-000211
Q1 2025Quarterly · 2024-05-31ProductTelecommunication Products And Services8,373,520USD0001520138-25-000211
FY 2024Yearly · 2024-02-29ProductBig Data327,913USD0001520138-25-000162
FY 2024Yearly · 2024-02-29ProductSMSAnd MMS2,672,826USD0001520138-25-000162
FY 2024Yearly · 2024-02-29ProductTelecommunication Products And Services32,790,946USD0001520138-25-000162
Q1 2024Quarterly · 2023-05-31ProductBig Data149,706USD0001520138-24-000232
Q1 2024Quarterly · 2023-05-31ProductSMSAnd MMSBusiness8,121USD0001520138-24-000232
Q1 2024Quarterly · 2023-05-31ProductTelecommunication Products And Services12,011,264USD0001520138-24-000232
FY 2023Yearly · 2023-02-28ProductBig Data437,500USD0001520138-24-000219
FY 2023Yearly · 2023-02-28ProductSMSAnd MMSBusiness6,609,727USD0001520138-24-000219
FY 2023Yearly · 2023-02-28ProductTelecommunication Products And Services27,006,978USD0001520138-24-000219
Q1 2023Quarterly · 2022-05-31ProductSms3,338,998USD0001520138-23-000287
Q1 2023Quarterly · 2022-05-31ProductTelecommunication Products And Services1,516,125USD0001520138-23-000287
FY 2022Yearly · 2022-02-28ProductBig Data131,418USD0001520138-23-000249
FY 2022Yearly · 2022-02-28ProductSms14,138,720USD0001520138-23-000249
FY 2022Yearly · 2022-02-28ProductTelecommunication Products And Services8,657,277USD0001520138-23-000249
Q1 2022Quarterly · 2021-05-31ProductBig Data98,715USD0001520138-22-000302
Q1 2022Quarterly · 2021-05-31ProductSms4,160,694USD0001520138-22-000302
Q1 2022Quarterly · 2021-05-31ProductTelecommunication Products And Services1,737,080USD0001520138-22-000302
FY 2021Yearly · 2021-02-28ProductBig Data33,077USD0001520138-22-000237
FY 2021Yearly · 2021-02-28ProductMobile Recharge3,211,103USD0001520138-22-000237
FY 2021Yearly · 2021-02-28ProductSms13,439,390USD0001520138-22-000237
Q1 2021Quarterly · 2020-05-31ProductMobile Recharge393,792USD0001520138-21-000348
Q1 2021Quarterly · 2020-05-31ProductSms2,349,142USD0001520138-21-000348
FY 2020Yearly · 2020-02-29ProductMobile Recharge1,822,081USD0001520138-21-000306
FY 2020Yearly · 2020-02-29ProductSms7,309,213USD0001520138-21-000306
Q1 2020Quarterly · 2019-05-31ProductMobile Recharge750,942USD0001520138-20-000322
Q1 2020Quarterly · 2019-05-31ProductSms182,327USD0001520138-20-000322
FY 2019Yearly · 2019-02-28ProductGaming331,233USD0001437749-19-011984
FY 2019Yearly · 2019-02-28ProductMobile Recharge1,141,804USD0001437749-19-011984

Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.