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China SXT Pharmaceuticals (SXTC)

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  • 0.1061
  • +0.0098+10.18%
Close Jan 15 16:00 ET
  • 0.1050
  • -0.0011-1.04%
Post 19:59 ET
13.58MMarket Cap-1.40P/E (TTM)

China SXT Pharmaceuticals (SXTC) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2025
(FY)Mar 31, 2025
(Q4)Mar 31, 2025
(Q2)Sep 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q2)Sep 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q2)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
--21.17M
49.95%18.1M
49.95%18.1M
----
-30.50%12.07M
-30.50%12.07M
284.60%11.47M
11.88%17.37M
11.88%17.37M
9,417.68%2.98M
-Cash and cash equivalents
--21.17M
49.95%18.1M
49.95%18.1M
----
-30.50%12.07M
-30.50%12.07M
284.60%11.47M
11.88%17.37M
11.88%17.37M
9,417.68%2.98M
Receivables
--2.87M
41.13%1.9M
41.13%1.9M
----
-14.52%1.35M
-14.52%1.35M
-82.13%1.45M
-72.91%1.58M
-72.91%1.58M
-19.42%8.11M
-Accounts receivable
--1.34M
-1.02%1.3M
-1.02%1.3M
----
-2.22%1.31M
-2.22%1.31M
-60.55%1.31M
-59.66%1.34M
-59.66%1.34M
-14.42%3.32M
-Loans receivable
--98.33K
--124.71K
--124.71K
----
--0
--0
----
----
----
0.00%1.5M
-Notes receivable
----
----
----
----
----
----
----
----
----
--0
-Accrued interest receivable
----
----
----
----
----
----
----
----
----
0.00%81K
-Related party accounts receivable
--1.36M
--417.56K
--417.56K
----
--0
--0
----
274.69%58.38K
274.69%58.38K
-7.72%2.75M
-Other receivables
--541.89K
4.51%523.07K
4.51%523.07K
----
-22.46%500.51K
-22.46%500.51K
-69.80%137.98K
-23.98%645.5K
-23.98%645.5K
-86.06%456.88K
-Recievables adjustments allowances
---475.55K
0.50%-466.53K
0.50%-466.53K
----
0.92%-468.88K
0.92%-468.88K
----
---473.24K
---473.24K
--0
Inventory
--751.35K
4.18%828.05K
4.18%828.05K
----
49.62%794.86K
49.62%794.86K
-21.49%493.21K
-47.79%531.25K
-47.79%531.25K
-24.99%628.19K
Prepaid assets
--1.23M
2,844.93%438.85K
2,844.93%438.85K
----
-67.82%14.9K
-67.82%14.9K
51.57%88.1K
-7.97%46.3K
-7.97%46.3K
-89.11%58.13K
Restricted cash
--31K
344.50%30.41K
344.50%30.41K
----
--6.84K
--6.84K
----
--0
--0
--0
Other current assets
----
----
----
----
----
----
----
----
----
199.30%583.16K
Total current assets
24.12%26.04M
49.62%21.3M
49.62%21.3M
55.47%20.98M
-27.09%14.23M
-27.09%14.23M
9.19%13.5M
-13.05%19.52M
-13.05%19.52M
5.99%12.36M
Non current assets
Net PPE
--302.36K
-37.10%355.21K
-37.10%355.21K
----
-55.48%564.69K
-55.48%564.69K
-21.09%1.07M
-20.28%1.27M
-20.28%1.27M
-18.06%1.36M
-Gross PPE
--3M
-4.84%2.94M
-4.84%2.94M
----
-4.67%3.09M
-4.67%3.09M
-0.78%3.06M
-4.87%3.25M
-4.87%3.25M
-7.22%3.08M
-Accumulated depreciation
---2.7M
-2.36%-2.59M
-2.36%-2.59M
----
-27.91%-2.53M
-27.91%-2.53M
-15.21%-1.99M
-8.60%-1.98M
-8.60%-1.98M
-3.57%-1.72M
Goodwill and other intangible assets
--8.53K
-38.18%11.81K
-38.18%11.81K
----
-31.46%19.1K
-31.46%19.1K
-26.72%22.51K
-28.10%27.87K
-28.10%27.87K
-27.46%30.72K
-Other intangible assets
--8.53K
-38.18%11.81K
-38.18%11.81K
----
-31.46%19.1K
-31.46%19.1K
-26.72%22.51K
-28.10%27.87K
-28.10%27.87K
-27.46%30.72K
Related parties assets
--1.36M
--417.56K
--417.56K
----
--0
--0
----
274.69%58.38K
274.69%58.38K
-7.72%2.75M
Non current prepaid assets
----
--0
--0
----
-4.88%8.31M
-4.88%8.31M
--0
-7.69%8.74M
-7.69%8.74M
-9.42%8.43M
Total non current assets
-96.55%310.89K
-95.87%367.02K
-95.87%367.02K
724.50%9.01M
-11.35%8.89M
-11.35%8.89M
-88.87%1.09M
-9.57%10.03M
-9.57%10.03M
-10.79%9.82M
Total assets
-12.13%26.35M
-6.33%21.66M
-6.33%21.66M
105.58%29.99M
-21.75%23.13M
-21.75%23.13M
-34.23%14.59M
-11.90%29.55M
-11.90%29.55M
-2.16%22.18M
Liabilities
Current liabilities
Payables
--2.75M
-26.56%3.35M
-26.56%3.35M
----
-49.83%4.56M
-49.83%4.56M
-0.58%3.95M
-35.20%9.09M
-35.20%9.09M
-36.70%3.97M
-accounts payable
--530.66K
-9.47%1.16M
-9.47%1.16M
----
-7.14%1.28M
-7.14%1.28M
-15.72%1.32M
-7.04%1.38M
-7.04%1.38M
4.60%1.56M
-Total tax payable
--1.04M
-2.00%1.03M
-2.00%1.03M
----
-4.74%1.05M
-4.74%1.05M
-3.11%1.04M
-5.38%1.1M
-5.38%1.1M
-9.56%1.07M
-Due to related parties current
----
--0
--0
----
-79.87%1.05M
-79.87%1.05M
--421.17K
-40.16%5.2M
-40.16%5.2M
--0
-Other payable
--1.18M
-1.81%1.16M
-1.81%1.16M
----
-15.87%1.18M
-15.87%1.18M
-12.40%1.17M
-47.69%1.4M
-47.69%1.4M
-9.42%1.34M
Current accrued expenses
--1.16M
-9.96%1.1M
-9.96%1.1M
----
29.14%1.23M
29.14%1.23M
21.23%1.11M
12.12%949.59K
12.12%949.59K
-6.82%912.73K
Current provisions
--16.19K
-74.77%53.89K
-74.77%53.89K
----
90.77%213.57K
90.77%213.57K
33.49%146.05K
-8.81%111.95K
-8.81%111.95K
--109.41K
Current debt and capital lease obligation
--1.04M
-67.18%772.19K
-67.18%772.19K
----
-30.61%2.35M
-30.61%2.35M
135.42%2.84M
65.70%3.39M
65.70%3.39M
4,916.67%1.21M
-Current debt
--980.84K
-69.01%710.97K
-69.01%710.97K
----
-31.15%2.29M
-31.15%2.29M
130.76%2.78M
62.87%3.33M
62.87%3.33M
4,916.67%1.21M
-Current capital lease obligation
--64.12K
5.01%61.23K
5.01%61.23K
----
0.38%58.31K
0.38%58.31K
--56.17K
--58.09K
--58.09K
----
Current deferred liabilities
--65.06K
-68.76%58.63K
-68.76%58.63K
----
13.37%187.67K
13.37%187.67K
192.15%190.19K
113.96%165.53K
113.96%165.53K
-70.23%65.1K
Other current liabilities
--920.85K
86.53%674.39K
86.53%674.39K
----
-54.19%361.54K
-54.19%361.54K
-5.56%972.74K
--789.23K
--789.23K
-25.75%1.03M
Current liabilities
--5.96M
-32.46%6.01M
-32.46%6.01M
----
-38.59%8.9M
-38.59%8.9M
26.17%9.2M
-15.33%14.5M
-15.33%14.5M
-17.87%7.29M
Non current liabilities
Long term debt and capital lease obligation
--158.26K
-28.16%211.68K
-28.16%211.68K
----
-19.45%294.67K
-19.45%294.67K
--311.51K
--365.82K
--365.82K
----
-Long term debt
--73.1K
-17.81%96.26K
-17.81%96.26K
----
-0.62%117.13K
-0.62%117.13K
--106.58K
--117.86K
--117.86K
----
-Long term capital lease obligation
--85.16K
-34.99%115.42K
-34.99%115.42K
----
-28.40%177.54K
-28.40%177.54K
--204.94K
--247.96K
--247.96K
----
Other non current liabilities
---1
----
----
----
----
----
----
----
----
----
Total non current liabilities
--158.26K
-28.16%211.68K
-28.16%211.68K
----
-19.45%294.67K
-19.45%294.67K
--311.51K
--365.82K
--365.82K
--0
Total liabilities
-69.10%6.12M
-32.33%6.22M
-32.33%6.22M
108.25%19.81M
-38.12%9.2M
-38.12%9.2M
30.44%9.51M
-13.19%14.86M
-13.19%14.86M
-17.87%7.29M
Shareholders'equity
Share capital
--55.38M
923.15%44.53M
923.15%44.53M
----
376.29%4.35M
376.29%4.35M
404.97%1.45M
462.44%913.79K
462.44%913.79K
327.18%288.09K
-common stock
--55.38M
923.15%44.53M
923.15%44.53M
----
376.29%4.35M
376.29%4.35M
404.97%1.45M
462.44%913.79K
462.44%913.79K
327.18%288.09K
Retained earnings
---34.38M
-13.37%-28.02M
-13.37%-28.02M
----
-14.34%-24.71M
-14.34%-24.71M
-82.21%-31.31M
-37.77%-21.61M
-37.77%-21.61M
-31.73%-17.18M
Paid-in capital
----
--0
--0
----
-0.77%35.32M
-0.77%35.32M
10.40%35.95M
14.82%35.59M
14.82%35.59M
25.20%32.56M
Gains losses not affecting retained earnings
---766.99K
-4.85%-1.08M
-4.85%-1.08M
----
-419.20%-1.03M
-419.20%-1.03M
-30.72%-1.02M
-120.66%-197.57K
-120.66%-197.57K
-202.71%-779.4K
Total stockholders'equity
98.72%20.23M
10.83%15.44M
10.83%15.44M
100.57%10.18M
-5.18%13.93M
-5.18%13.93M
-65.91%5.08M
-10.55%14.69M
-10.55%14.69M
7.96%14.89M
Total equity
98.72%20.23M
10.83%15.44M
10.83%15.44M
100.57%10.18M
-5.18%13.93M
-5.18%13.93M
-65.91%5.08M
-10.55%14.69M
-10.55%14.69M
7.96%14.89M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)Sep 30, 2025(FY)Mar 31, 2025(Q4)Mar 31, 2025(Q2)Sep 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q2)Sep 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q2)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments --21.17M49.95%18.1M49.95%18.1M-----30.50%12.07M-30.50%12.07M284.60%11.47M11.88%17.37M11.88%17.37M9,417.68%2.98M
-Cash and cash equivalents --21.17M49.95%18.1M49.95%18.1M-----30.50%12.07M-30.50%12.07M284.60%11.47M11.88%17.37M11.88%17.37M9,417.68%2.98M
Receivables --2.87M41.13%1.9M41.13%1.9M-----14.52%1.35M-14.52%1.35M-82.13%1.45M-72.91%1.58M-72.91%1.58M-19.42%8.11M
-Accounts receivable --1.34M-1.02%1.3M-1.02%1.3M-----2.22%1.31M-2.22%1.31M-60.55%1.31M-59.66%1.34M-59.66%1.34M-14.42%3.32M
-Loans receivable --98.33K--124.71K--124.71K------0--0------------0.00%1.5M
-Notes receivable --------------------------------------0
-Accrued interest receivable ------------------------------------0.00%81K
-Related party accounts receivable --1.36M--417.56K--417.56K------0--0----274.69%58.38K274.69%58.38K-7.72%2.75M
-Other receivables --541.89K4.51%523.07K4.51%523.07K-----22.46%500.51K-22.46%500.51K-69.80%137.98K-23.98%645.5K-23.98%645.5K-86.06%456.88K
-Recievables adjustments allowances ---475.55K0.50%-466.53K0.50%-466.53K----0.92%-468.88K0.92%-468.88K-------473.24K---473.24K--0
Inventory --751.35K4.18%828.05K4.18%828.05K----49.62%794.86K49.62%794.86K-21.49%493.21K-47.79%531.25K-47.79%531.25K-24.99%628.19K
Prepaid assets --1.23M2,844.93%438.85K2,844.93%438.85K-----67.82%14.9K-67.82%14.9K51.57%88.1K-7.97%46.3K-7.97%46.3K-89.11%58.13K
Restricted cash --31K344.50%30.41K344.50%30.41K------6.84K--6.84K------0--0--0
Other current assets ------------------------------------199.30%583.16K
Total current assets 24.12%26.04M49.62%21.3M49.62%21.3M55.47%20.98M-27.09%14.23M-27.09%14.23M9.19%13.5M-13.05%19.52M-13.05%19.52M5.99%12.36M
Non current assets
Net PPE --302.36K-37.10%355.21K-37.10%355.21K-----55.48%564.69K-55.48%564.69K-21.09%1.07M-20.28%1.27M-20.28%1.27M-18.06%1.36M
-Gross PPE --3M-4.84%2.94M-4.84%2.94M-----4.67%3.09M-4.67%3.09M-0.78%3.06M-4.87%3.25M-4.87%3.25M-7.22%3.08M
-Accumulated depreciation ---2.7M-2.36%-2.59M-2.36%-2.59M-----27.91%-2.53M-27.91%-2.53M-15.21%-1.99M-8.60%-1.98M-8.60%-1.98M-3.57%-1.72M
Goodwill and other intangible assets --8.53K-38.18%11.81K-38.18%11.81K-----31.46%19.1K-31.46%19.1K-26.72%22.51K-28.10%27.87K-28.10%27.87K-27.46%30.72K
-Other intangible assets --8.53K-38.18%11.81K-38.18%11.81K-----31.46%19.1K-31.46%19.1K-26.72%22.51K-28.10%27.87K-28.10%27.87K-27.46%30.72K
Related parties assets --1.36M--417.56K--417.56K------0--0----274.69%58.38K274.69%58.38K-7.72%2.75M
Non current prepaid assets ------0--0-----4.88%8.31M-4.88%8.31M--0-7.69%8.74M-7.69%8.74M-9.42%8.43M
Total non current assets -96.55%310.89K-95.87%367.02K-95.87%367.02K724.50%9.01M-11.35%8.89M-11.35%8.89M-88.87%1.09M-9.57%10.03M-9.57%10.03M-10.79%9.82M
Total assets -12.13%26.35M-6.33%21.66M-6.33%21.66M105.58%29.99M-21.75%23.13M-21.75%23.13M-34.23%14.59M-11.90%29.55M-11.90%29.55M-2.16%22.18M
Liabilities
Current liabilities
Payables --2.75M-26.56%3.35M-26.56%3.35M-----49.83%4.56M-49.83%4.56M-0.58%3.95M-35.20%9.09M-35.20%9.09M-36.70%3.97M
-accounts payable --530.66K-9.47%1.16M-9.47%1.16M-----7.14%1.28M-7.14%1.28M-15.72%1.32M-7.04%1.38M-7.04%1.38M4.60%1.56M
-Total tax payable --1.04M-2.00%1.03M-2.00%1.03M-----4.74%1.05M-4.74%1.05M-3.11%1.04M-5.38%1.1M-5.38%1.1M-9.56%1.07M
-Due to related parties current ------0--0-----79.87%1.05M-79.87%1.05M--421.17K-40.16%5.2M-40.16%5.2M--0
-Other payable --1.18M-1.81%1.16M-1.81%1.16M-----15.87%1.18M-15.87%1.18M-12.40%1.17M-47.69%1.4M-47.69%1.4M-9.42%1.34M
Current accrued expenses --1.16M-9.96%1.1M-9.96%1.1M----29.14%1.23M29.14%1.23M21.23%1.11M12.12%949.59K12.12%949.59K-6.82%912.73K
Current provisions --16.19K-74.77%53.89K-74.77%53.89K----90.77%213.57K90.77%213.57K33.49%146.05K-8.81%111.95K-8.81%111.95K--109.41K
Current debt and capital lease obligation --1.04M-67.18%772.19K-67.18%772.19K-----30.61%2.35M-30.61%2.35M135.42%2.84M65.70%3.39M65.70%3.39M4,916.67%1.21M
-Current debt --980.84K-69.01%710.97K-69.01%710.97K-----31.15%2.29M-31.15%2.29M130.76%2.78M62.87%3.33M62.87%3.33M4,916.67%1.21M
-Current capital lease obligation --64.12K5.01%61.23K5.01%61.23K----0.38%58.31K0.38%58.31K--56.17K--58.09K--58.09K----
Current deferred liabilities --65.06K-68.76%58.63K-68.76%58.63K----13.37%187.67K13.37%187.67K192.15%190.19K113.96%165.53K113.96%165.53K-70.23%65.1K
Other current liabilities --920.85K86.53%674.39K86.53%674.39K-----54.19%361.54K-54.19%361.54K-5.56%972.74K--789.23K--789.23K-25.75%1.03M
Current liabilities --5.96M-32.46%6.01M-32.46%6.01M-----38.59%8.9M-38.59%8.9M26.17%9.2M-15.33%14.5M-15.33%14.5M-17.87%7.29M
Non current liabilities
Long term debt and capital lease obligation --158.26K-28.16%211.68K-28.16%211.68K-----19.45%294.67K-19.45%294.67K--311.51K--365.82K--365.82K----
-Long term debt --73.1K-17.81%96.26K-17.81%96.26K-----0.62%117.13K-0.62%117.13K--106.58K--117.86K--117.86K----
-Long term capital lease obligation --85.16K-34.99%115.42K-34.99%115.42K-----28.40%177.54K-28.40%177.54K--204.94K--247.96K--247.96K----
Other non current liabilities ---1------------------------------------
Total non current liabilities --158.26K-28.16%211.68K-28.16%211.68K-----19.45%294.67K-19.45%294.67K--311.51K--365.82K--365.82K--0
Total liabilities -69.10%6.12M-32.33%6.22M-32.33%6.22M108.25%19.81M-38.12%9.2M-38.12%9.2M30.44%9.51M-13.19%14.86M-13.19%14.86M-17.87%7.29M
Shareholders'equity
Share capital --55.38M923.15%44.53M923.15%44.53M----376.29%4.35M376.29%4.35M404.97%1.45M462.44%913.79K462.44%913.79K327.18%288.09K
-common stock --55.38M923.15%44.53M923.15%44.53M----376.29%4.35M376.29%4.35M404.97%1.45M462.44%913.79K462.44%913.79K327.18%288.09K
Retained earnings ---34.38M-13.37%-28.02M-13.37%-28.02M-----14.34%-24.71M-14.34%-24.71M-82.21%-31.31M-37.77%-21.61M-37.77%-21.61M-31.73%-17.18M
Paid-in capital ------0--0-----0.77%35.32M-0.77%35.32M10.40%35.95M14.82%35.59M14.82%35.59M25.20%32.56M
Gains losses not affecting retained earnings ---766.99K-4.85%-1.08M-4.85%-1.08M-----419.20%-1.03M-419.20%-1.03M-30.72%-1.02M-120.66%-197.57K-120.66%-197.57K-202.71%-779.4K
Total stockholders'equity 98.72%20.23M10.83%15.44M10.83%15.44M100.57%10.18M-5.18%13.93M-5.18%13.93M-65.91%5.08M-10.55%14.69M-10.55%14.69M7.96%14.89M
Total equity 98.72%20.23M10.83%15.44M10.83%15.44M100.57%10.18M-5.18%13.93M-5.18%13.93M-65.91%5.08M-10.55%14.69M-10.55%14.69M7.96%14.89M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion----Unqualified Opinion----Unqualified Opinion with Explanatory Notes----
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