One Stop Systems Inc.

NASDAQ: OSS · Real-Time Price · USD
5.13
-0.13 (-2.47%)
At close: Aug 15, 2025, 12:22 PM

One Stop Systems Balance Sheet Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Jun 30, 2025 Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Cash & Equivalents
8.46M 6.5M 6.79M 9.4M 6.75M 6.9M 4.05M 3.74M 6.1M 3.47M 3.11M 3.18M 2.87M 2.22M 5.1M 3.96M 3.98M 19.61M
Short-Term Investments
1.03M 2.62M 3.22M 3.18M 5.02M 5.96M 7.77M 9.44M 9.32M 9.22M 10.12M 9.54M 11.51M 13.54M 14.54M 14.53M 14.52M n/a
Long-Term Investments
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a -10.46M n/a n/a n/a n/a n/a n/a n/a
Other Long-Term Assets
38.09K 38.09K 38.09K 38.09K 38.09K 38.09K 38.09K 48.09K 48.09K 60.24K 60.24K 38.09K 38.09K 35.63K 46.84K 35.63K 48.16K 45.14K
Receivables
7.11M 7.25M 8.18M 9.33M 8.43M 7.41M 8.32M 8.98M 9.23M 10.11M 11.33M 11.39M 10.01M 9.08M 5.09M 5.81M 6.53M 5.73M
Inventory
14.6M 15.1M 13.18M 15.3M 20.15M 21.48M 21.69M 22.23M 21.46M 23.64M 20.78M 20.09M 20.47M 16.43M 12.28M 14.36M 12.41M 9.55M
Other Current Assets
1.22M 1.18M 836.36K 960.24K 1.47M 832.05K 611.07K 668.66K 1.23M 1.44M 502.16K 1.03M 1.09M 1.06M n/a 1.12M 996.8K 889.04K
Total Current Assets
32.42M 32.64M 32.2M 38.17M 41.82M 42.58M 42.44M 45.05M 47.34M 47.88M 45.84M 45.23M 45.96M 42.32M 37.59M 39.78M 38.43M 35.79M
Property-Plant & Equipment
5.43M 2.94M 3.21M 3.47M 3.71M 4.06M 4.29M 4.21M 3M 3.06M 3.3M 3.41M 3.64M 3.95M 3.09M 3.09M 3.22M 3.37M
Goodwill & Intangibles
1.49M 1.49M 1.49M 1.49M 1.49M 1.49M 1.49M 1.49M 4.43M 7.15M 7.16M 7.18M 7.19M 7.21M 7.23M 7.29M 7.45M 7.62M
Total Long-Term Assets
6.96M 4.46M 4.73M 5.5M 5.59M 5.73M 17.9M 6.47M 7.48M 10.27M 10.52M 14.4M 14.51M 14.77M 14.01M 14.02M 14.21M 14.67M
Total Assets
39.38M 37.11M 36.93M 43.67M 47.41M 48.31M 60.34M 51.51M 54.82M 58.15M 56.36M 59.63M 60.47M 57.09M 51.59M 53.8M 52.64M 50.46M
Account Payables
4.1M 4.79M 2.07M 4.06M 2.86M 2.67M 1.2M 3.23M 2.81M 5.73M 4.59M 5.06M 6.33M 4.39M 2.06M 3.85M 4.15M 2.74M
Deferred Revenue
152.25K 402.34K n/a 161.65K 251.22K 289.46K 299.51K 315.27K 556.98K 811.79K 440.65K 768.13K 853.59K 1.3M 844.08K 908.83K 885.36K 1.28M
Short-Term Debt
1.63M 1.08M 1.32M 1.44M 1.51M 1.36M 2.47M 2.63M 3.01M 3.54M 2.95M 3.22M 3.42M 2.76M 3.73M 4.31M 4.29M 3.53M
Other Current Liabilities
2.09M 1.78M 2.25M 4.49M 3.86M 2.35M 1.96M 3.21M 3.32M 2.49M 1.65M 1.33M 1.04M 1.03M 1.12M 1.39M 1.17M 1.31M
Total Current Liabilities
9.25M 9.56M 8.2M 11.49M 9.25M 8.25M 6.87M 10.63M 11.4M 13.12M 11.1M 12.23M 13.05M 10.88M 9.63M 11.6M 11.48M 9.85M
Long-Term Debt
3.85M n/a n/a n/a n/a n/a 1.77M 1.73M n/a 207.45K 409.29K 1.06M 1.44M 794.43K n/a n/a n/a 1.64M
Other Long-Term Liabilities
n/a n/a n/a n/a n/a n/a -1.72M -1.73M n/a n/a n/a -504.1K -640.44K -794.43K -1.35M n/a n/a n/a
Total Long-Term Liabilities
3.92M 1.5M 1.57M 1.55M 1.62M 1.69M 13.89M 1.73M 285.58K 602.38K 945.21K 1.06M 1.44M 794.43K 1.45M n/a n/a 1.64M
Total Liabilities
13.17M 11.06M 9.76M 13.05M 10.86M 9.94M 20.76M 12.36M 11.68M 13.73M 12.04M 13.29M 14.48M 11.67M 9.63M 11.6M 11.48M 11.49M
Total Debt
5.48M 2.8M 2.83M 2.99M 3.13M 3.46M 4.23M 4.35M 3.75M 4M 4.3M 4.29M 4.85M 3.56M 3.73M 4.31M 4.29M 5.17M
Common Stock
2.19K 2.16K 2.12K 2.11K 2.1K 2.09K 2.07K 2.06K 2.05K 2.04K 2.01K 2K 2K 1.99K 1.88K 1.87K 1.85K 1.85K
Retained Earnings
-26.09M -24.07M -22.05M -18.92M -12.1M -9.76M -8.42M -8.14M -4.5M -2.1M -1.7M 1.56M 1.43M 1.11M 571.04K 957.28K -23.42K -1.72M
Comprehensive Income
1.39M 293.59K 140.25K 977.71K 487.07K 513.82K 675.31K 386.94K 1.24M 863.52K 510.49K -270.91K -66.81K 97K 153.36K 207.33K 145.06K 37.16K
Shareholders Equity
26.2M 26.05M 27.17M 30.62M 36.55M 38.37M 39.58M 39.15M 43.14M 44.42M 44.32M 46.35M 45.98M 45.42M 41.96M 42.21M 41.16M 38.97M
Total Investments
1.03M 2.62M 3.22M 3.18M 5.02M 5.96M 7.77M 9.44M 9.32M 9.22M 10.12M 9.54M 11.51M 13.54M 14.54M 14.53M 14.52M n/a