BGM Group Ltd. (BGM) Financial Statements & Historical Data

BGM Group Ltd. (BGM) — Price $9.35 — Healthcare — Drug Manufacturers - Specialty & Generic — NASDAQ

Latest reported results:

Detailed financial statements for BGM Group Ltd. (BGM): income statement, balance sheet and cash-flow summary. Track margins, debt, liquidity and profitability trends year over year: ten fiscal years free and up to 20 with Premium.

Operating from Chengdu, People's Republic of China, BGM Group Ltd. engages in the manufacturing and supply of active pharmaceutical ingredients (APIs), traditional Chinese medicine (TCM) derivatives, and various other related products across China.

Analysis Summary

BGM Group Ltd. reported revenue of $37.9M in the most recent fiscal year, growing at a 5-year CAGR of -5.4%.

Trailing-twelve-month margins: gross margin 12.8%, operating margin -23.4%, net margin -44.2%.

At the current price of $9.35, BGM has negative trailing earnings (P/E not meaningful) and an ROE of -5.37%. Market capitalisation stands at $119M.

Balance sheet quality for BGM: current ratio of 1.2, net cash position of $8.9M. A debt-to-equity below 1.0 typically signals conservative capital structure, while a current ratio above 1.5 indicates comfortable short-term liquidity.

Income Statement (10y)

Year201720182019202020212022202320242025
Revenue$22.5M$50.4M$46.1M$50.0M$57.1M$64.9M$46.5M$25.1M$37.9M
Cost of Revenue$19.2M$42.2M$36.4M$42.5M$51.5M$58.6M$44.7M$21.0M$33.1M
Gross Profit$3.4M$8.1M$9.7M$7.5M$5.6M$6.2M$1.8M$4.1M$4.8M
Research & Development00000$1.2M$568,470$1.4M$672,669
Selling, General & Admin$2.3M$2.2M$3.5M$2.7M$3.3M$2.9M$3.8M$3.3M$16.8M
Operating Expenses$2.3M$2.2M$3.5M$2.7M$3.3M$4.1M$4.4M$4.7M$17.4M
Operating Income$1.1M$6.0M$6.2M$4.8M$2.4M$2.1M-$2.6M-$563,771-$12.6M
EBITDA$3.4M$7.6M$8.4M$7.2M$4.2M$3.7M-$1.3M$879,873-$11.1M
Interest Expense$282,842$216,187$223,657$242,877$57,67100$639,5110
Pre-tax Income$1.9M$6.1M$6.9M$5.8M$3.4M$1.6M-$7.9M-$2.1M-$19.9M
Income Tax$321,458$943,363$1.0M$864,908$255,133$194,302$219,166-$619,981$277,790
Net Income$1.4M$5.2M$5.3M$5.1M$3.2M$1.1M-$7.8M-$1.4M-$19.9M
EPS$6.00$22.20$22.80$21.60$13.50$4.50$-32.40$-6.00$-5.40
EPS (Diluted)$6.00$22.20$22.80$21.60$13.50$4.50$-32.40$-6.00$-5.40
Shares Outstanding (Diluted)$233,333$233,333$233,333$233,333$227,262$240,883$240,883$240,883$3.8M

Income Statement (Quarterly)

Year2024-Q12025-Q12025-Q32026-Q1
Revenue$12.6M$14.3M$23.6M$24.3M
Gross Profit$1.4M$2.1M$2.8M$3.4M
Operating Income-$679,088-$2.2M-$10.3M-$877,901
EBITDA-$679,088-$1.8M-$9.3M$74,181
Net Income$328,780-$861,220-$19.1M-$2.1M
EPS$1.36$-0.41$-4.50$-0.34
EPS (Diluted)$1.36$-0.82$-4.50$-0.34

Balance Sheet (10y)

Year201720182019202020212022202320242025
Cash & Equivalents$5.4M$5.3M$4.6M$11.9M$10.5M$14.3M$7.5M$9.8M$9.8M
Short-term Investments0$14,5780000$14.9M$8.3M$994,895
Receivables$1.0M$5.3M$6.1M$12.6M$13.5M$4.9M$6.4M$5.8M$17.0M
Inventory$12.9M$9.6M$12.5M$12.0M$12.5M$8.9M$5.0M$5.0M$23.7M
Total Current Assets$22.0M$22.2M$25.0M$37.5M$40.4M$30.0M$34.5M$29.8M$51.5M
Property, Plant & Equipment$8.8M$8.5M$7.7M$7.7M$11.5M$12.3M$12.7M$14.9M$15.1M
Goodwill00000000$350.8M
Intangible Assets$2.1M$2.0M$1.8M$1.9M$1.9M$1.7M$3.4M$4.5M$4.5M
Total Assets$33.4M$33.3M$35.3M$48.1M$75.4M$64.5M$51.3M$53.0M$433.8M
Accounts Payable$4.7M$3.8M$3.6M$4.4M$6.6M$5.3M$3.6M$4.1M$6.6M
Short-term Debt$6.9M$4.2M$4.9M$7.3M$7.9M$1.7M$479,7150$1.9M
Total Current Liabilities$18.0M$14.3M$11.7M$18.4M$18.2M$9.2M$6.7M$8.8M$41.6M
Long-term Debt000000000
Total Liabilities$19.7M$15.6M$12.6M$19.3M$18.7M$9.6M$6.9M$8.9M$41.7M
Retained Earnings$3.1M$2.9M$7.6M$12.2M$14.7M$15.5M$5.9M$4.3M-$15.8M
Total Equity$11.2M$15.3M$19.9M$26.1M$54.9M$53.1M$42.8M$42.7M$390.9M
Total Debt$6.9M$4.2M$4.9M$7.6M$8.0M$1.8M$577,8500$1.9M
Net Debt$1.6M-$1.1M$308,688-$4.3M-$2.4M-$12.6M-$21.8M-$18.1M-$8.9M
Working Capital$4.0M$7.9M$13.3M$19.1M$22.2M$20.9M$27.9M$21.0M$9.9M

Balance Sheet (Quarterly)

Year2024-Q32025-Q12025-Q32026-Q1
Cash & Equivalents$9.8M$9.7M$9.8M$11.5M
Total Assets$53.0M$207.4M$433.8M$436.5M
Total Liabilities$8.9M$23.9M$41.7M$36.6M
Total Equity$42.7M$182.1M$390.9M$398.2M
Total Debt0$1.8M$1.9M$1.2M

Cash Flow (10y)

Year201720182019202020212022202320242025
Net Income$1.5M$5.2M$5.9M$4.9M$3.1M$1.4M-$8.1M-$1.5M-$19.9M
Depreciation & Amortization$1.2M$1.3M$1.2M$1.2M$1.2M$1.2M$1.1M$1.2M$1.5M
Stock-based Compensation00000$20,000000
Change in Working Capital-$227,601-$2.2M-$7.7M-$785,073-$3.7M$8.8M$1.1M$785,703-$3.2M
Operating Cash Flow$2.7M$4.4M-$580,197$5.1M$345,034$12.7M$312,209$544,238-$2.4M
Capital Expenditure-$1.5M-$1.1M-$617,023-$458,564-$3.5M-$3.3M-$3.7M-$3.9M-$2.1M
Acquisitions00-$133,5520-$706,6580-$28,3560$2.4M
Stock Repurchased000000000
Dividends Paid0-$733,9440000-$1.8M00
Free Cash Flow$1.2M$3.3M-$1.2M0-$3.1M$9.4M-$3.4M-$3.4M-$4.4M

Cash Flow (Quarterly)

Year2025-Q12025-Q32026-Q1
Operating Cash Flow-$3.1M$683,655$2.5M
Capital Expenditure-$1.0M-$1.0M-$663,786
Free Cash Flow-$4.1M-$363,740$1.8M
Dividends Paid000
Stock-based Compensation000

Growth & Margins (10y)

Year201720182019202020212022202320242025
Revenue Growth (YoY)+123.5%-8.5%+8.5%+14.1%+13.6%-28.3%-46.0%+51.1%
Net Income Growth (YoY)+265.4%+3.1%-5.0%-37.7%-65.9%-822.6%+81.5%-1,282.1%
EPS Growth (YoY)+270.0%+2.7%-5.3%-37.5%-66.7%-820.0%+81.5%+10.0%
Shares Change (YoY)+0.0%+0.0%+0.0%-2.6%+6.0%+0.0%+0.0%+1,467.3%
FCF Growth (YoY)+188.2%-136.1%+100.0%+398.4%-136.2%+0.4%-31.0%
Gross Margin15.0%16.1%21.0%15.1%9.9%9.6%3.8%16.4%12.8%
Operating Margin5.0%11.9%13.4%9.6%4.2%3.2%-5.6%-2.2%-33.2%
EBITDA Margin15.0%15.1%18.1%14.4%7.3%5.8%-2.7%3.5%-29.3%
Net Margin6.3%10.3%11.6%10.1%5.5%1.7%-16.7%-5.7%-52.6%
FCF Margin5.1%6.6%-2.6%0.0%-5.5%14.5%-7.3%-13.5%-11.7%
Effective Tax Rate17.3%15.3%14.9%14.9%7.6%12.5%-2.8%29.0%-1.4%

Per-Share Data (10y)

Year201720182019202020212022202320242025
FCF Per Share$4.94$14.23$-5.13$0.00$-13.85$39.00$-14.12$-14.06$-1.18
Dividends Per Share$0.00$3.15$0.00$0.00$0.00$0.00$7.42$0.00$0.00
Shares Outstanding (Basic)$233,333$233,333$233,333$233,333$227,262$240,883$240,883$240,883$3.8M

What to look at in Healthcare / Pharma

The R&D pipeline is the invisible asset. Patents expiring = revenues evaporating. Look at innovation and cash flow.

Profitability

Return on Equity-5.37%
Return on Invested Capital-2.80%
Return on Assets-4.85%
Gross Margin12.81%
Operating Margin-23.42%
Net Margin-44.22%

Financial Health

Debt / Equity0.00
Current Ratio1.25

Key Ratios (10y)

Year201720182019202020212022202320242025
P/E27.507.437.247.6412.2236.67-5.09-39.95-56.89
P/B3.422.511.941.480.680.750.931.352.97
P/S1.710.760.840.770.660.610.862.3030.59
Gross Margin15.0%16.1%21.0%15.1%9.9%9.6%3.8%16.4%12.8%
Operating Margin5.0%11.9%13.4%9.6%4.2%3.2%-5.6%-2.2%-33.2%
Net Margin6.3%10.3%11.6%10.1%5.5%1.7%-16.7%-5.7%-52.6%

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Explore sector: Healthcare · Drug Manufacturers - Specialty & Generic

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