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OIO

OIO Group

Price Chart
Latest Quote

$2.49

+0.18 (+7.79%)
Current Price
Previous Close $2.31
Open $2.49
Day High $2.49
Day Low $2.49
Volume 1,300
Fetched: 2026-06-23T13:39:18
Stock Information
Shares Outstanding 348.02M
Sector Financial Services
Industry Asset Management
Market Cap $866.58M
EPS (TTM) $-1.02
Exchange NCM
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📊 Comprehensive Analysis
Company Data
Book/sh$0.32
Financial Ratios
Returns & Margins
Ownership
Insider Ownership2.39%
Institutional Ownership0.00%
Insider & Institutional transactions data not available
Valuation Ratios
P/B7.81
Analyst Data
Recommendationnone
Technical Indicators
SMA20$2.12
SMA50$3.18
SMA200$9.04
RSI66.22
ATR0.2888
Short Float0.13%
Short Ratio0.40
Rel Volume0.03
Performance History
Week+3.32%
Month+33.16%
Quarter-73.65%
6 Months-79.25%
YTD-79.25%
Year-71.96%
3 Years-92.26%
10 Years-91.62%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-23 $2.49 1,300
2026-06-22 $2.31 24,800
2026-06-18 $2.29 21,900
2026-06-17 $2.36 21,700
2026-06-16 $2.46 10,100
2026-06-15 $2.41 26,400
2026-06-12 $2.31 30,700
2026-06-11 $2.30 61,000
2026-06-10 $2.23 45,400
2026-06-09 $2.03 283,600
2026-06-08 $1.80 6,700
2026-06-05 $1.93 31,100
2026-06-04 $1.81 15,100
2026-06-03 $1.96 29,800
2026-06-02 $2.01 39,700
2026-06-01 $2.11 23,200
2026-05-29 $1.98 48,900
2026-05-28 $1.92 24,800
2026-05-27 $1.88 13,400
2026-05-26 $1.82 89,900
About OIO Group

OIO Group operates as a waste management, treatment, and recycling company. The company is involved in the collection and recycling of hazardous and non-hazardous industrial waste from customers, such as pharmaceutical, semiconductor, petrochemical and electroplating companies. It also trades and sells products made from recycled waste; and engages in warehousing and distribution of circular products including zinc, precious metals, and base metals. The company was founded in 1959 and is headquartered in Singapore, Singapore.

📰 Latest News
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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Reconciled Cost Of Revenue $1,506,986 $427,364 $1,902,844 $1,782,956
Cost Of Revenue $1,506,986 $427,364 $1,902,844 $1,782,956
Total Revenue $5,831,650 $6,099,777 $6,164,173 $4,992,034
Operating Revenue $5,831,650 $6,099,777 $6,164,173 $4,992,034
Expenses
Interest Expense $292,656 $350,145 $388,717 $246,359
Total Expenses $10,727,206 $6,854,889 $100,436,941 $7,258,511
Rent Expense Supplemental $309,317 $409,145 $594,748 $290,481
Other Income Expense $283,889 $355,510 $-152,734 $137,223
Net Non Operating Interest Income Expense $-305,015 $-360,984 $-420,836 $-254,558
Total Other Finance Cost $12,379 $10,846 $50,427 $8,203
Interest Expense Non Operating $292,656 $350,145 $388,717 $246,359
Operating Expense $9,220,220 $6,427,525 $98,534,097 $5,475,555
Other Operating Expenses $1,271,319 $905,172 $93,946,487 $1,708,360
General And Administrative Expense $4,580,200 $2,692,253 $2,124,359 $1,361,172
Other Non Operating Income Expenses - $153,464 $36,692 $177,195
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $-4,760,894 $-633,257 $-94,979,338 $-2,391,812
Net Interest Income $-305,015 $-360,984 $-420,836 $-254,558
Interest Income $20 $7 $18,308 $4
Normalized Income $-5,035,788 $-801,479 $-94,822,114 $-2,358,635
Net Income From Continuing And Discontinued Operation $-4,760,894 $-633,257 $-94,979,338 $-2,391,812
Net Income Common Stockholders $-4,760,894 $-633,257 $-94,979,338 $-2,391,812
Net Income $-4,760,894 $-633,257 $-94,979,338 $-2,391,812
Net Income Including Noncontrolling Interests $-4,760,894 $-633,257 $-94,979,338 $-2,391,812
Net Income Continuous Operations $-4,760,894 $-633,257 $-94,979,338 $-2,391,812
Pretax Income $-4,916,682 $-760,586 $-94,846,338 $-2,383,812
Special Income Charges $73,730 $-49,851 $0 $-17,685
Interest Income Non Operating $20 $7 $18,308 $4
Operating Income $-4,895,556 $-755,112 $-94,272,768 $-2,266,477
Depreciation Amortization Depletion Income Statement $3,256,147 $2,720,774 $2,354,839 $2,300,252
Depreciation And Amortization In Income Statement $3,256,147 $2,720,774 $2,354,839 $2,300,252
Amortization Of Intangibles Income Statement $1,633,857 $1,118,678 $853,030 $638,849
Depreciation Income Statement $1,622,290 $1,602,096 $1,501,809 $1,661,403
Gross Profit $4,324,664 $5,672,413 $4,261,329 $3,209,078
Per Share
Diluted EPS - $-0.21 $-22.47 $-1.12
Basic EPS - $-0.21 $-22.47 $-1.12
Other
Tax Effect Of Unusual Items $8,995 $33,824 $-32,202 $-6,795
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $-1,651,768 $2,108,287 $-91,913,356 $202,771
Total Unusual Items $283,889 $202,046 $-189,426 $-39,972
Total Unusual Items Excluding Goodwill $283,889 $202,046 $-189,426 $-39,972
Reconciled Depreciation $3,256,147 $2,720,774 $2,354,839 $2,300,252
EBITDA (Bullshit earnings) $-1,367,879 $2,310,333 $-92,102,782 $162,799
EBIT $-4,624,026 $-410,441 $-94,457,621 $-2,137,453
Diluted NI Availto Com Stockholders $-4,760,894 $-633,257 $-94,979,338 $-2,391,812
Tax Provision $-155,788 $-127,329 $133,000 $8,000
Gain On Sale Of Ppe $73,730 $0 $0 $26,586
Write Off $0 $49,851 $0 $44,271
Gain On Sale Of Security $210,159 $251,897 $-189,426 $-22,287
Other Taxes $112,554 $109,326 $108,412 $105,771
Amortization $1,633,857 $1,118,678 $853,030 $638,849
Selling General And Administration $4,580,200 $2,692,253 $2,124,359 $1,361,172
Other Gand A $786,260 $633,525 $109,703 $93,978
Insurance And Claims $158,436 $260,787 $55,694 $43,589
Rent And Landing Fees $309,317 $409,145 $594,748 $290,481
Salaries And Wages $3,326,187 $1,388,796 $1,364,214 $933,124
Diluted Average Shares - $2,892,198 $4,227,679 $3,098,782
Basic Average Shares - $2,892,198 $4,227,679 $2,126,088
Fetched: 2026-06-22
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $11,242,732 $11,735,802 $5,639,292 $11,277,640
Fixed Assets Revaluation Reserve $15,931,256 $14,971,140 $14,971,140 $15,157,824
Total Assets $25,879,980 $25,855,412 $25,632,266 $25,627,873
Total Non Current Assets $23,905,993 $23,739,794 $24,167,830 $24,339,195
Goodwill And Other Intangible Assets $2,434,454 $2,977,311 $2,381,465 $1,845,912
Other Intangible Assets $2,434,454 $2,977,311 $2,381,465 $1,845,912
Current Assets $1,973,987 $2,115,618 $1,464,436 $1,288,678
Prepaid Assets $286,452 $356,603 $570,841 $423,186
Inventory $300,258 $440,194 $64,184 $221,151
Receivables $853,668 $683,939 $461,681 $391,942
Accounts Receivable $853,668 $683,939 $461,497 $389,648
Cash Cash Equivalents And Short Term Investments $533,609 $634,882 $366,761 $252,399
Cash And Cash Equivalents $533,609 $634,882 $366,761 $252,399
Hedging Assets Current - $0 $969 $0
Taxes Receivable - $0 $184 $2,294
Debt
Net Debt $2,966,097 $3,684,300 $5,411,718 $5,546,242
Total Debt $5,631,975 $6,467,138 $7,945,285 $8,055,976
Long Term Debt And Capital Lease Obligation $1,831,126 $1,926,702 $2,086,843 $2,442,674
Current Debt And Capital Lease Obligation $3,800,849 $4,540,436 $5,858,442 $5,613,302
Current Debt $3,499,706 $4,319,182 $5,666,160 $5,427,538
Other Current Borrowings - $4,319,182 $5,666,160 $5,427,538
Long Term Debt - - $112,319 $371,103
Liabilities
Total Liabilities Net Minority Interest $12,202,794 $11,142,299 $17,611,509 $12,504,321
Total Non Current Liabilities Net Minority Interest $1,846,126 $2,059,702 $2,382,843 $2,605,674
Non Current Deferred Liabilities $15,000 $133,000 $296,000 $163,000
Non Current Deferred Taxes Liabilities $15,000 $133,000 $296,000 $163,000
Current Liabilities $10,356,668 $9,082,597 $15,228,666 $9,898,647
Current Deferred Liabilities $785,991 $1,009,110 $2,077,358 $2,181,685
Payables And Accrued Expenses $5,769,828 $3,533,051 $7,292,866 $2,103,660
Payables $3,082,395 $1,487,718 $4,455,661 $1,457,799
Total Tax Payable $134,743 $151,561 $73,535 $4,326
Accounts Payable $540,304 $305,670 $528,865 $525,588
Other Payable - - $2,753,125 -
Income Tax Payable - - - -
Equity
Common Stock Equity $13,677,186 $14,713,113 $8,020,757 $13,123,552
Total Equity Gross Minority Interest $13,677,186 $14,713,113 $8,020,757 $13,123,552
Stockholders Equity $13,677,186 $14,713,113 $8,020,757 $13,123,552
Gains Losses Not Affecting Retained Earnings $20,038,600 $18,270,741 $18,270,741 $18,120,142
Other Equity Adjustments $4,662,799 $3,422,799 $3,422,799 $3,422,799
Retained Earnings $-105,380,079 $-100,619,185 $-99,985,928 $-5,006,590
Other
Ordinary Shares Number $14,130,413 $13,413,139 $4,227,679 $3,098,782
Share Issued $14,130,413 $13,413,139 $4,227,679 $3,098,782
Tangible Book Value $11,242,732 $11,735,802 $5,639,292 $11,277,640
Invested Capital $17,176,892 $19,032,295 $13,799,236 $18,922,193
Working Capital $-8,382,681 $-6,966,979 $-13,764,230 $-8,609,969
Capital Lease Obligations $2,132,269 $2,147,956 $2,166,806 $2,257,335
Total Capitalization $13,677,186 $14,713,113 $8,133,076 $13,494,655
Foreign Currency Translation Adjustments $-555,455 $-123,198 $-123,198 $-460,481
Additional Paid In Capital $99,004,833 $97,047,941 $89,725,052 $0
Capital Stock $13,832 $13,616 $10,892 $10,000
Common Stock $13,832 $13,616 $10,892 $10,000
Long Term Capital Lease Obligation $1,831,126 $1,926,702 $1,974,524 $2,071,571
Current Deferred Revenue $785,991 $1,009,110 $2,077,358 $2,181,685
Current Capital Lease Obligation $301,143 $221,254 $192,282 $185,764
Line Of Credit $3,499,706 $4,319,182 - -
Current Accrued Expenses $2,687,433 $2,045,333 $2,837,205 $645,861
Dueto Related Parties Current $2,407,348 $1,030,487 $1,100,136 $927,885
Net PPE $21,471,539 $20,762,483 $21,786,365 $22,493,283
Accumulated Depreciation $-6,694,108 $-6,570,874 $-4,968,778 $-4,242,053
Gross PPE $28,165,647 $27,333,357 $26,755,143 $26,735,336
Leases $19,126,238 $19,537,807 $19,264,346 $19,828,888
Construction In Progress $2,154,117 $1,198,070 - -
Other Properties $606,563 $490,239 $490,239 $487,229
Machinery Furniture Equipment $6,278,729 $6,107,241 $7,000,558 $6,419,219
Properties $0 $0 $0 $0
Finished Goods $287,573 $422,826 $0 $104,430
Raw Materials $12,685 $17,368 $64,184 $116,721
Duefrom Related Parties Current - - - $0
Fetched: 2026-06-22
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $-2,008,207 $-5,061,217 $3,243,139 $456,040
Operating Activities
Operating Cash Flow $314,005 $-3,041,938 $5,282,766 $1,969,910
Cash Flow From Continuing Operating Activities $314,005 $-3,041,938 $5,282,766 $1,969,910
Operating Gains Losses $-272,196 $90,947 $269,410 $-23,255
Investing Activities
Capital Expenditure $-2,322,212 $-2,019,279 $-2,039,627 $-1,513,870
Investing Cash Flow $-2,248,462 $-2,019,272 $-2,019,189 $-1,484,274
Cash Flow From Continuing Investing Activities $-2,248,462 $-2,019,272 $-2,019,189 $-1,484,274
Financing Activities
Issuance Of Capital Stock $2,000,000 $7,500,000 $754,448 $1,600,000
Financing Cash Flow $1,707,628 $5,329,331 $-3,149,215 $-370,251
Cash Flow From Continuing Financing Activities $1,707,628 $5,329,331 $-3,149,215 $-370,251
Net Other Financing Charges $-40,768 $-174,387 - -
Cash Dividends Paid $0 $0 $0 $0
Net Common Stock Issuance $2,000,000 $7,500,000 $754,448 $1,600,000
Common Stock Issuance $2,000,000 $7,500,000 $754,448 $1,600,000
Other
Repayment Of Debt $-1,335,809 $-1,646,137 $-7,111,017 $-1,723,892
Issuance Of Debt $1,376,861 $0 $3,596,071 $0
End Cash Position $533,609 $634,882 $366,761 $252,399
Beginning Cash Position $634,882 $366,761 $252,399 $137,014
Effect Of Exchange Rate Changes $125,556 $0 - -
Changes In Cash $-226,829 $268,121 $114,362 $115,385
Interest Paid Cff $-292,656 $-350,145 $-388,717 $-246,359
Net Issuance Payments Of Debt $41,052 $-1,646,137 $-3,514,946 $-1,723,892
Net Long Term Debt Issuance $41,052 $-1,646,137 $-3,514,946 $-1,723,892
Long Term Debt Payments $-1,335,809 $-1,646,137 $-7,111,017 $-1,723,892
Long Term Debt Issuance $1,376,861 $0 $3,596,071 $0
Interest Received Cfi $20 $7 $18,308 $4
Net Intangibles Purchase And Sale $-1,122,174 $-1,714,524 $-1,388,583 $-1,011,193
Purchase Of Intangibles $-1,122,174 $-1,714,524 $-1,388,583 $-1,011,193
Net PPE Purchase And Sale $-1,126,308 $-304,755 $-648,914 $-473,085
Sale Of PPE $73,730 $0 $2,130 $29,592
Purchase Of PPE $-1,200,038 $-304,755 $-651,044 $-502,677
Change In Working Capital $716,224 $-5,290,086 $4,067,122 $1,786,099
Change In Payables And Accrued Expense $674,585 $-2,123,660 $1,368,648 $1,791,714
Change In Payable $674,585 $-2,123,660 $1,368,648 $1,791,714
Change In Inventory $139,936 $-376,010 $156,967 $378,606
Change In Receivables $-98,297 $-190,416 $-210,649 $-384,221
Other Non Cash Items $292,636 $197,013 $93,437,733 $246,355
Stock Based Compensation $1,237,876 $0 - -
Depreciation Amortization Depletion $3,256,147 $2,720,774 $2,354,839 $2,300,252
Depreciation And Amortization $3,256,147 $2,720,774 $2,354,839 $2,300,252
Amortization Cash Flow $1,633,857 $1,118,678 $853,030 $638,849
Amortization Of Intangibles $1,633,857 $1,118,678 $853,030 $638,849
Depreciation $1,622,290 $1,602,096 $1,501,809 $1,661,403
Net Foreign Currency Exchange Gain Loss $-198,466 $89,978 $256,558 $3,331
Gain Loss On Sale Of PPE $-73,730 $0 $12,852 $-26,586
Net Income From Continuing Operations $-4,916,682 $-760,586 $-94,846,338 $-2,383,812
Change In Other Working Capital - $-2,600,000 $2,753,125 -
Change In Prepaid Assets - $0 $-969 $0
Gain Loss On Investment Securities - $969 - -
Asset Impairment Charge - - $0 $44,271
Taxes Refund Paid - - - -
Fetched: 2026-06-22