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About

Starbox Group Holdings Ltd., through its subsidiaries, engages in the provision of cash rebate, digital advertising, and payment solution services to retail merchant in Malaysia. It connects retail merchants with individual online and offline shoppers to facilitate transactions through cash rebate programs offered by retail merchants. The company operates GETBATS website and mobile app that feature cash rebates from merchants in industries, such as automotive, beauty and health, books and media, electronics, fashion, food and beverages, groceries and pets, home and living, and sports and entertainment; SEEBATS website and mobile app, a video streaming platform, that allows members to watch movies and television series; and PAYBATS websites and mobile app that provides payment solutions to merchants. It also provides digital advertising services for luxury property development, medical services, retail jewelry sales, and real estate agencies, and other industries. In addition, the company is involved in the licensing of customized software systems, including AI Rebates Calculation Engine System and Data Management System; provision of brand-building-related consulting, market research, advertisement idea conceptualization, brand positioning proposals, and final proposals and solutions; photography, video recording, audio recording, script development, equipment rental, and post-production editing; and marketing and promotional campaign services, as well as media booking agency services to sell advertisement lots on behalf of media companies. The company was founded in 2019 and is based in Kuala Lumpur, Malaysia.

Fundamentals
Scroll to Statements
Sector Communication Services Industry Internet Content & Infor Market Cap 26.95K
Enterprise Value 41.21M Income -101.31M Sales 6.17M
Book/sh 327.11 Cash/sh 2.22 Dividend Yield
Payout 0.00% Employees 81 IPO
P/E Forward P/E PEG
P/S 0.00 P/B 0.00 P/C
EV/EBITDA -0.48 EV/Sales 6.67 Quick Ratio 0.59
Current Ratio 4.33 Debt/Eq 2.40 LT Debt/Eq
EPS (ttm) -1598.80 EPS next Y EPS Growth
Revenue Growth -77.80% Earnings ROA -41.39%
ROE -90.31% ROIC Gross Margin 66.02%
Oper. Margin -45.08% Profit Margin 0.00% Shs Outstand 532.65K
Shs Float 533.62K Short Float 1.60% Short Ratio 0.02
Short Interest 52W High 4.68 52W Low 0.05
Beta 2.05 Avg Volume 1.16K Volume 71.00
Target Price Recom None Prev Close $0.05
Price $0.05 Change 3.09%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
Mean price target
2. Current target
$0.05
Latest analyst target
3. DCF / Fair value
$1261.55
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$0.05
Low
High
Mean

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Insider Transactions

No recent insider transactions.

Financials
Line Item2024-09-302023-09-302022-09-302021-09-30
TaxEffectOfUnusualItems-106.37K0.000.000.00
TaxRateForCalcs0.000.240.280.32
NormalizedEBITDA-64.20M6.44M5.11M2.15M
TotalUnusualItems-22.20M0.000.00
TotalUnusualItemsExcludingGoodwill-22.20M0.000.00
NetIncomeFromContinuingOperationNetMinorityInterest-101.31M2.15M3.60M1.45M
ReconciledDepreciation4.30M1.84M161.27K9.84K
ReconciledCostOfRevenue2.10M838.55K6.38K19.87K
EBITDA-86.41M6.44M5.11M2.15M
EBIT-90.71M4.60M4.95M2.14M
NetInterestIncome-53.11K750.000.000.00
InterestIncome750.000.000.00
NormalizedIncome-79.21M2.15M3.60M1.45M
NetIncomeFromContinuingAndDiscontinuedOperation-101.31M2.15M3.60M1.45M
TotalExpenses96.88M7.14M2.24M1.03M
TotalOperatingIncomeAsReported-90.71M4.60M4.95M2.14M
DilutedAverageShares25.21K18.10K17.86K
BasicAverageShares25.21K18.10K17.86K
DilutedEPS98.00201.6089.60
BasicEPS98.00201.6089.60
DilutedNIAvailtoComStockholders-101.31M2.15M3.60M1.45M
NetIncomeCommonStockholders-101.31M2.15M3.60M1.45M
NetIncome-101.31M2.15M3.60M1.45M
MinorityInterests11.87M-311.50K0.000.00
NetIncomeIncludingNoncontrollingInterests-113.18M2.46M3.60M1.45M
NetIncomeContinuousOperations-113.18M2.46M3.60M1.45M
TaxProvision-544.82K2.13M1.41M692.40K
PretaxIncome-113.72M4.59M5.01M2.14M
OtherIncomeExpense-22.96M-4.92K59.38K166.00
OtherNonOperatingIncomeExpenses-755.27K-4.92K59.38K166.00
SpecialIncomeCharges-22.20M0.000.00
ImpairmentOfCapitalAssets22.20M0.000.00
NetNonOperatingInterestIncomeExpense-53.11K750.000.000.00
TotalOtherFinanceCost53.11K
InterestIncomeNonOperating750.000.000.00
OperatingIncome-90.71M4.60M4.95M2.14M
OperatingExpense94.78M6.25M2.18M1.01M
OtherOperatingExpenses85.67M294.64K292.58K185.76K
DepreciationAmortizationDepletionIncomeStatement4.30M1.79M106.27K2.57K
DepreciationAndAmortizationInIncomeStatement4.30M1.79M106.27K2.57K
DepreciationIncomeStatement106.27K2.57K
SellingGeneralAndAdministration4.81M4.17M1.78M1.01M
SellingAndMarketingExpense238.68K254.31K188.34K167.80K
GeneralAndAdministrativeExpense4.57M3.92M1.60M620.21K
OtherGandA3.20M2.73M1.17M428.23K
SalariesAndWages1.38M1.19M429.92K191.98K
GrossProfit4.07M10.85M7.13M3.15M
CostOfRevenue2.10M889.68K61.38K19.87K
TotalRevenue6.17M11.74M7.19M3.17M
OperatingRevenue6.21M11.93M7.44M3.31M
Line Item2024-09-302023-09-302022-09-302021-09-30
OrdinarySharesNumber213.52K32.09K20.26K20.09K
ShareIssued213.52K32.09K20.26K20.09K
NetDebt2.03M
TotalDebt2.63M2.22M42.57K305.26K
TangibleBookValue-34.70M-32.12M22.14M1.26M
InvestedCapital72.37M91.86M23.05M1.26M
WorkingCapital10.25M24.85M22.11M1.18M
NetTangibleAssets-34.70M-32.12M22.14M1.26M
CapitalLeaseObligations110.90K144.90K42.57K305.26K
CommonStockEquity69.84M89.79M23.05M1.26M
TotalCapitalization72.18M91.86M23.05M1.26M
TotalEquityGrossMinorityInterest109.59M141.06M23.05M1.26M
MinorityInterest39.75M51.26M0.00
StockholdersEquity69.84M89.79M23.05M1.26M
GainsLossesNotAffectingRetainedEarnings3.68M-1.06M-607.05K-21.43K
OtherEquityAdjustments3.68M-1.06M-607.05K-21.43K
RetainedEarnings-92.43M8.87M4.69M1.08M
AdditionalPaidInCapital158.06M81.90M18.92M155.02K
CapitalStock538.07K80.87K51.05K45.00K
CommonStock538.07K80.87K51.05K45.00K
PreferredStock0.000.000.000.00
TotalLiabilitiesNetMinorityInterest11.35M11.97M2.00M2.75M
TotalNonCurrentLiabilitiesNetMinorityInterest8.28M8.58M26.74K232.90K
NonCurrentDeferredLiabilities5.89M6.41M0.00
NonCurrentDeferredTaxesLiabilities5.89M6.41M0.00
LongTermDebtAndCapitalLeaseObligation2.39M2.17M26.74K232.90K
LongTermCapitalLeaseObligation54.14K97.36K26.74K232.90K
LongTermDebt2.33M2.07M
CurrentLiabilities3.08M3.39M1.97M2.52M
CurrentDeferredLiabilities485.70K393.62K0.00800.49K
CurrentDeferredRevenue485.70K393.62K0.00800.49K
CurrentDebtAndCapitalLeaseObligation245.67K47.54K15.83K72.36K
CurrentCapitalLeaseObligation56.76K47.54K15.83K72.36K
CurrentDebt188.91K
OtherCurrentBorrowings188.91K
PayablesAndAccruedExpenses2.35M2.95M1.95M1.65M
CurrentAccruedExpenses352.90K287.85K541.05K16.83K
Payables1.99M2.66M1.41M1.63M
OtherPayable662.35K983.24K
DuetoRelatedPartiesCurrent301.64K246.84K7.36K756.48K
TotalTaxPayable774.63K339.35K1.40M874.83K
IncomeTaxPayable140.75K326.39K1.19M683.86K
AccountsPayable255.02K1.09M0.00
TotalAssets120.94M153.03M25.04M4.02M
TotalNonCurrentAssets107.62M124.79M959.72K317.44K
NonCurrentPrepaidAssets145.60K213.05K0.00
GoodwillAndOtherIntangibleAssets104.54M121.91M903.77K0.00
OtherIntangibleAssets44.50M39.67M903.77K
Goodwill60.04M82.24M0.00
NetPPE2.93M2.67M55.95K317.44K
AccumulatedDepreciation-1.58M-1.26M-14.60K-11.84K
GrossPPE4.51M3.93M70.55K329.28K
OtherProperties189.81K166.65K49.15K312.43K
MachineryFurnitureEquipment615.71K505.46K21.41K16.85K
Properties3.71M3.26M0.00
CurrentAssets13.32M28.24M24.08M3.70M
OtherCurrentAssets40.00K
PrepaidAssets12.22M16.19M4.27M0.00
Receivables608.11K9.52M2.03M1.36M
DuefromRelatedPartiesCurrent71.22K112.28K1.47K0.00
AccountsReceivable536.89K9.41M2.03M1.36M
AllowanceForDoubtfulAccountsReceivable-122.99K-101.95K0.000.00
GrossAccountsReceivable659.88K9.51M2.03M1.36M
CashCashEquivalentsAndShortTermInvestments495.94K2.52M17.78M2.30M
CashAndCashEquivalents495.94K2.52M17.78M2.30M
CashFinancial2.52M17.78M2.30M
Line Item2024-09-302023-09-302022-09-302021-09-30
FreeCashFlow-2.51M-29.22M-2.37M1.88M
RepurchaseOfCapitalStock-177.42K
RepaymentOfDebt-164.53K-32.33K-729.52K-125.88K
IssuanceOfDebt420.22K328.55K0.00
IssuanceOfCapitalStock11.77M18.77M0.00
CapitalExpenditure-35.45K-17.69M-1.14M-5.20K
InterestPaidSupplementalData86.48K26.45K0.000.00
IncomeTaxPaidSupplementalData594.99K2.38M934.91K15.75K
EndCashPosition495.94K2.52M17.78M2.30M
BeginningCashPosition2.52M17.78M2.30M371.25K
EffectOfExchangeRateChanges810.80K972.42K-187.89K-28.79K
ChangesInCash-2.84M-16.23M15.67M1.95M
FinancingCashFlow78.27K12.06M18.04M74.12K
CashFlowFromContinuingFinancingActivities78.27K12.06M18.04M74.12K
NetOtherFinancingCharges200.00K
NetCommonStockIssuance-177.42K11.77M18.77M0.00
CommonStockPayments-177.42K
CommonStockIssuance11.77M18.77M0.00
NetIssuancePaymentsOfDebt255.69K296.21K-729.52K-125.88K
NetLongTermDebtIssuance255.69K296.21K-729.52K-125.88K
LongTermDebtPayments-164.53K-32.33K-729.52K-125.88K
LongTermDebtIssuance420.22K328.55K0.00
InvestingCashFlow-444.69K-16.76M-1.14M-5.20K
CashFlowFromContinuingInvestingActivities-444.69K-16.76M-1.14M-5.20K
NetInvestmentPurchaseAndSale-409.24K0.000.00
PurchaseOfInvestment-409.24K0.000.00
NetBusinessPurchaseAndSale0.00932.89K0.000.00
SaleOfBusiness0.00932.89K0.000.00
NetIntangiblesPurchaseAndSale0.00-17.68M-1.13M0.00
PurchaseOfIntangibles0.00-17.68M-1.13M0.00
NetPPEPurchaseAndSale-35.45K-14.86K-6.67K-5.20K
PurchaseOfPPE-35.45K-14.86K-6.67K-5.20K
OperatingCashFlow-2.47M-11.53M-1.23M1.88M
CashFlowFromContinuingOperatingActivities-2.47M-11.53M-1.23M1.88M
ChangeInWorkingCapital8.00M-16.73M-5.05M426.40K
ChangeInOtherWorkingCapital33.12K-217.53K-778.70K688.98K
ChangeInOtherCurrentLiabilities-54.35K-41.09K-56.69K-7.27K
ChangeInPayablesAndAccruedExpense-1.87M-78.60K1.40M883.94K
ChangeInAccruedExpense-301.87K467.15K740.41K13.41K
ChangeInPayable-1.57M-545.75K661.36K870.53K
ChangeInAccountPayable-873.34K0.000.00
ChangeInTaxPayable-693.16K-545.75K661.36K870.53K
ChangeInIncomeTaxPayable-693.16K-545.75K661.36K870.53K
ChangeInPrepaidAssets866.31K-11.27M-4.75M-39.19K
ChangeInReceivables9.02M-5.12M-864.10K-1.10M
ChangesInAccountReceivables9.02M-5.12M-864.10K-1.10M
OtherNonCashItems76.84M41.09K56.69K
AssetImpairmentCharge22.20M0.000.00
DeferredTax-639.65K857.38K0.00
DeferredIncomeTax-639.65K857.38K0.00
DepreciationAmortizationDepletion4.30M1.84M161.27K9.84K
DepreciationAndAmortization4.30M1.84M161.27K9.84K
AmortizationCashFlow4.22M1.82M157.16K
AmortizationOfIntangibles4.22M1.82M157.16K
Depreciation83.02K21.85K4.10K9.84K
NetIncomeFromContinuingOperations-113.18M2.46M3.60M1.45M
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