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SEGMENT REPORTING (Tables)
12 Months Ended
Sep. 30, 2021
SEGMENT REPORTING  
Schedule of segment information

For the year ended September 30, 2021

Oxytetracycline 

& Licorice 

Heparin 

products and 

products and

TCMD

Fertilizer

Sausage casing

Total

Revenue

    

$

33,451,159

    

$

486,171

    

$

23,162,554

    

$

57,099,884

Cost of revenue

 

28,362,016

 

463,738

 

22,635,600

 

51,461,354

Gross profit

$

5,089,143

$

22,433

$

526,954

$

5,638,530

Depreciation and amortization

$

951,015

$

47,194

$

203,020

$

1,201,229

Capital expenditures

$

3,321,629

$

46,169

$

125,576

$

3,493,374

For the year ended September 30, 2020

Oxytetracycline 

& Licorice 

Heparin 

products and 

products and 

TCMD

Fertilizer

Sausage casing

Total

Revenue

    

$

32,602,384

    

$

701,701

    

$

16,729,115

    

$

50,033,200

Cost of revenue

 

25,004,712

 

304,670

 

17,184,665

 

42,494,047

Gross profit

$

7,597,672

$

397,031

$

(455,550)

$

7,539,153

Depreciation and amortization

$

886,323

$

38,792

$

180,473

$

1,105,588

Capital expenditures

$

377,953

$

33,914

$

37,898

$

449,765

For the year ended September 30, 2019

Oxytetracycline 

& Licorice 

Heparin 

products and 

products and 

TCMD

Fertilizer

Sausage casing

Total

Revenue

    

$

30,149,950

    

$

549,231

    

$

15,397,503

    

$

46,096,684

Cost of revenue

 

22,324,422

 

186,504

 

13,905,846

 

36,416,772

Gross profit

$

7,825,528

$

362,727

$

1,491,657

$

9,679,912

Depreciation and amortization

$

985,212

$

38,525

$

164,436

$

1,188,173

Capital expenditures

$

331,917

$

5,598

$

278,873

$

616,388

    

September 30, 

    

September 30, 

2021

2020

Total Assets

 

  

 

  

Oxytetracycline & Licorice products and TCMD

$

60,786,870

$

34,370,665

Fertilizer

$

2,540,189

$

2,438,442

Heparin products and Sausage casing

$

12,026,204

$

11,334,031

Total

$

75,353,263

$

48,143,138