KBSX
FST (KBSX)
NASDAQ
$1.31+$0.005 (+0.38%)
Price as of Jun 03, 2026 4:10 PM EDT
  • N/A
    Market Cap
  • -13.33%
    1-Year Change
  • Leisure
    Industry
Annual
Quarterly
12/31/2025
12/31/2024
Income Statement
Total Operating Revenue
48.0M
+31.43%
36.5M
N/A
Cost of Revenue
27.3M
+31.51%
20.8M
N/A
Gross Profit
20.6M
+31.31%
15.7M
N/A
Sales and Marketing Expense
12.3M
+16.65%
10.5M
N/A
Research and Development Expense
-1.5M
+15.05%
-1.3M
N/A
Depreciation and Amortization Expense
2.2M
+14.21%
1.9M
N/A
Total Operating Expenses
44.4M
+18.77%
37.4M
N/A
Operating Profit
-2.3M
-35.95%
-3.6M
N/A
Interest Income
352,537
-68.64%
1.1M
N/A
Interest Expense
-657,555
+29.64%
-507,198
N/A
Interest Income and Expense and Net
-305,018
-149.43%
617,125
N/A
Total Nonoperating Income and Expense
100,394
-88.40%
865,642
N/A
Income before Taxes
-2.2M
-19.62%
-2.8M
N/A
Income Taxes
-729,907
-259.98%
456,246
N/A
Extraordinary Items
N/A
N/A
N/A
N/A
Net Income
-1.5M
-53.63%
-3.2M
N/A
Net Income from Continuing Operations Applicable to Common
-2.2M
-19.62%
-2.8M
N/A
Basic EPS and Net Income
-0.03
-66.67%
-0.09
N/A
Diluted EPS and Net Income
-0.03
-66.67%
-0.09
N/A
Basic Weighted Average Shares
44.5M
+17.82%
37.7M
N/A
Diluted Weighted Average Shares
44.5M
+17.82%
37.7M
N/A
Balance Sheet
Cash and Cash Equivalents
7.2M
+40.82%
5.1M
N/A
Short-Term Investments
N/A
N/A
60,994
N/A
Cash and Cash Equivalents and Short-Term Investments
7.2M
+39.16%
5.2M
N/A
Total Current Assets
27.5M
+3.12%
26.7M
N/A
Accumulated Depreciation
14.2M
+19.17%
11.9M
N/A
Property and Plant and Equipment and Net
19.0M
-2.44%
19.5M
N/A
Total Long-Term Assets
33.4M
+4.73%
31.9M
N/A
Total Assets
60.9M
+4.00%
58.6M
N/A
Income Taxes Payable
N/A
N/A
111,329
N/A
Total Short-Term Debt
18.2M
+19.22%
15.3M
N/A
Total Current Liabilities
30.4M
+37.57%
22.1M
N/A
Total Long-Term Debt
11.0M
+16.06%
9.4M
N/A
Total Long-Term Liabilities
14.9M
+10.98%
13.5M
N/A
Total Liabilities
45.4M
+27.51%
35.6M
N/A
Retained Earnings
1.6M
-48.72%
3.1M
N/A
Total Stockholders Equity
15.4M
-32.43%
22.8M
N/A
Total Shares Outstanding
44.8M
+18.59%
37.7M
N/A
Cash Flow
Cash from Operating Activities
-1.0M
-36.55%
-1.6M
N/A
Capital Expenditures
602,960
-85.43%
4.1M
N/A
Cash from Investing Activities
-799,196
-82.06%
-4.5M
N/A
Dividends Paid
N/A
N/A
N/A
N/A
Cash from Financing Activities
3.3M
-10.66%
3.7M
N/A
Financials Ratio
Gross Margin
43.01%
N/A
N/A
N/A
Operating Margin
-4.87%
N/A
N/A
N/A
Return on Assets
-2.51%
N/A
N/A
N/A
Return on Equity
-7.84%
N/A
N/A
N/A
Revenue Growth
31.43%
N/A
N/A
N/A
Current Ratio
0.90
N/A
N/A
N/A
Cash Ratio
0.24
N/A
N/A
N/A
Debt-to-Equity Ratio
1.89
N/A
N/A
N/A
Debt-to-Assets Ratio
0.48
N/A
N/A
N/A

Earnings & Revenue History

Debt-to-Assets

Cash Flow