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Baiya International Group Inc. Ordinary Shares
Baiya International Group Inc. Ordinary Shares

Baiya International Group Inc. Ordinary Shares (BIYA)

24HHigh$4.9024HLow$2.72
$4.18
+0.42%

Last updated: 2026-07-29 10:46:24

K-Line Chart, actual market data is subject to the trading page.

Key Data

Prev. Open
$2.94
Prev. Close
$4.18
Prev. Day's Range
$2.72 - $4.90
52W Range
$1.91 - $201.05
Trading Volume
69.617M
MC
$119.229M
P/E Ratio
--
EPS
$-108.61

Company Overview

NASDAQ
Sector--
Industry--
Headquarters--
Country--
Listing Date2025-03-21
Fiscal Year Ended2026-03-31
Shares Outstanding26.992M
CIK Code

Financial Metrics

Indicator2026-03-312025-06-302025-03-312024-06-30
Income$9.215M$7.262M$6.017M$6.792M
Operating Expenses$8.041M$6.536M$5.097M$6.305M
Net Income-$4.775M-$4.757M$50.816K-$59.566K
Net Profit Margin-51.8%-65.5%0.8%-0.9%
Earnings Per Share--------
EBITDA-$4.82M-$4.714M$91.847K-$8.324K
Effective Tax Rate0.0%-0.4%18.7%-26.2%

FAQ

BIYA operates in the [sector] sector and is primarily focused on [core industry]. Its core business revolves around [specific core business area], catering to [specific customer or market need]. By leveraging its expertise in [specific capability], BIYA generates revenue through [main revenue sources].
BIYA's primary revenue drivers include [key products or services], [specific market segments], and [relevant operational strengths]. The company's performance largely depends on its ability to [critical success factor] and capitalize on growth opportunities in [specific sector or industry trends].
Potential risks for BIYA include [specific market risks], competition from [main competitors], and possible challenges related to [operational/external factors]. Additionally, broader industry trends or regulatory changes in the [sector/industry] could impact the company’s performance.
BIYA competes with companies such as [major competitors] within the [sector/industry]. The company differentiates itself by focusing on [unique business strategy or offering], which allows it to [specific competitive advantage]. This is a key factor in how BIYA maintains its position in the market.
BIYA’s dividend policy is [current dividend policy], reflecting its approach to returning value to shareholders. While some companies in its sector offer dividends, it’s essential to consider BIYA’s reinvestment strategy and growth objectives when evaluating it as an investment.
BIYA is well-positioned to benefit from [specific industry trends or opportunities]. Its strategic investments in [specific areas] and ongoing focus on [growth strategy] create potential for expansion. However, investors should weigh these opportunities against possible risks in the competitive and regulatory landscape.
BIYA addresses competition by focusing on [specific differentiator/focus], such as superior [product, service, or operational capability]. Additionally, its investments in [technology, R&D, or market positioning] allow it to maintain a competitive edge in addressing customer needs and market demand.
Valuing BIYA requires an analysis of its [key valuation metrics, e.g., P/E ratio, EV/EBITDA] compared to peers in the [sector/industry]. Investors may also consider its growth prospects, profitability, and risk profile when assessing its valuation in relation to industry norms.
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