(FY)Mar 31, 2024 | (Q6)Sep 30, 2023 | (FY)Mar 31, 2023 | (Q6)Sep 30, 2022 | (FY)Mar 31, 2022 | (Q6)Sep 30, 2021 | (FY)Mar 31, 2021 | (Q6)Sep 30, 2020 | (FY)Mar 31, 2020 | (Q6)Sep 30, 2019 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Inventory | -19.10%512.26M | -34.28%489.88M | -18.65%633.17M | 21.95%745.42M | 99.03%778.37M | 21.20%611.24M | -26.05%391.07M | 22.00%504.32M | 57.64%528.87M | 24.84%413.37M |
Developing and for sale properties | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -0.96%673.67M |
Accounts receivable | 10.94%619.16M | 1.54%717.34M | -7.89%558.11M | -2.40%706.45M | -7.95%605.9M | 52.96%723.78M | 118.44%658.27M | 50.32%473.19M | 7.90%301.35M | -9.41%314.79M |
Related party payments receivable | 27.28%3.35M | -37.79%3.02M | -93.42%2.63M | -20.97%4.86M | -92.26%39.95M | -95.27%6.15M | 348.12%515.95M | -7.34%130.12M | 435.44%115.14M | --140.43M |
Advance deposits and other receivables | 34.13%53.51M | -80.61%44.16M | -71.29%39.89M | 181.32%227.72M | 65.95%138.95M | -15.10%80.95M | 31.38%83.73M | 80.69%95.35M | 38.83%63.73M | 47.70%52.77M |
Withholding and tax receivable | 1.21%5.12M | 161.15%5.06M | 338.86%5.06M | 380.89%1.94M | 476.50%1.15M | 646.30%403K | 270.37%200K | -98.29%54K | -91.46%54K | 2,184.06%3.15M |
Cash and equivalents | -6.29%149.42M | -64.66%218.72M | -63.89%159.45M | 272.22%618.96M | 14.08%441.55M | -57.21%166.29M | 46.59%387.05M | 52.44%388.63M | 17.86%264.04M | 3.93%254.94M |
Secured deposit | ---- | ---- | ---- | -95.58%35M | 74.96%482.5M | --791.86M | 724.72%275.79M | ---- | --33.44M | ---- |
Special items of current assets | ---- | ---- | ---- | -5.43%1.01B | 14.15%1.27B | 20.41%1.07B | 35.66%1.11B | --890.03M | --818.88M | ---- |
Total current assets | -3.97%1.34B | -55.93%1.48B | -62.78%1.4B | -2.85%3.35B | 9.74%3.76B | 39.11%3.45B | 61.04%3.42B | 33.92%2.48B | 33.15%2.13B | 13.00%1.85B |
Non-current assets | ||||||||||
Property, plant and equipment | 3.36%693.17M | 2.37%669.68M | -2.56%670.65M | 14.89%654.2M | 32.46%688.26M | 9.40%569.4M | 1.72%519.6M | 16.65%520.48M | 9.34%510.84M | 0.07%446.2M |
Investment property | -18.73%229.07M | -11.83%262.6M | -15.35%281.87M | -7.74%297.84M | 4.90%332.96M | 5.64%322.82M | 7.67%317.42M | 2.87%305.57M | -7.47%294.8M | -3.19%297.03M |
Land use right | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -2.88%15.95M |
Associated company interest | -0.43%82.46M | 317.92%79.89M | 289.42%82.81M | -6.87%19.12M | 10.38%21.27M | 11.24%20.53M | 16.50%19.27M | 16.77%18.45M | 1.29%16.54M | 3.75%15.8M |
Intangible assets | 16.34%3.82M | -31.47%2.79M | -32.09%3.29M | -27.14%4.06M | -23.78%4.84M | -21.72%5.58M | -19.55%6.35M | -15.50%7.13M | -13.91%7.89M | -2.67%8.43M |
Deferred tax assets | -71.17%2.58M | -91.28%8.5M | -95.29%8.95M | 5,645.75%97.45M | 75.86%189.99M | -67.95%1.7M | 1,941.84%108.03M | 5.80%5.29M | 5.80%5.29M | -32.00%5M |
Other illiquid assets | -68.04%29.35M | 10.61%50.86M | 113.20%91.84M | -12.26%45.98M | 297.06%43.08M | 44.06%52.4M | -71.67%10.85M | -21.64%36.38M | 19.69%38.3M | 37.13%46.42M |
Total non-current assets | -8.03%1.06B | -4.84%1.09B | -12.00%1.15B | 14.63%1.15B | 29.93%1.31B | 9.80%1B | 12.83%1.01B | 6.19%913.03M | 2.96%893.29M | 0.77%859.82M |
Total assets | -5.80%2.4B | -42.89%2.57B | -49.65%2.55B | 1.08%4.5B | 14.34%5.07B | 31.23%4.45B | 46.78%4.43B | 25.13%3.39B | 22.52%3.02B | 8.81%2.71B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Accounts payable | 32.15%462.79M | -29.10%374.22M | -6.85%350.21M | 15.61%527.83M | 10.44%375.95M | 58.92%456.55M | 17.80%340.42M | 2.22%287.29M | 85.88%288.99M | 33.25%281.07M |
Tax payable | -9.59%99.08M | -79.82%106.6M | -81.95%109.58M | 77.89%528.3M | 0.17%607.12M | 187.95%296.98M | 584.35%606.11M | 27.65%103.14M | 21.98%88.57M | 5.16%80.8M |
Amounts payable to associated parties-current liabilities | -22.16%6.03M | 10.59%7.9M | 49.02%7.74M | -8.16%7.15M | -8.86%5.2M | 50.66%7.78M | 20.91%5.7M | 214.49%5.16M | 999.07%4.72M | -98.46%1.64M |
Other payables and accrued expenses | -36.06%307.68M | -37.13%476.78M | -57.94%481.18M | -23.43%758.32M | 35.22%1.14B | 29.26%990.37M | 71.88%846.01M | 53.05%766.21M | 12.60%492.22M | 43.19%500.62M |
Bank loans and overdrafts | -20.96%333.83M | 2.70%583.81M | -42.80%422.37M | 79.35%568.44M | 145.32%738.43M | 41.43%316.95M | 137.39%301.01M | 182.78%224.11M | 90.42%126.8M | -40.30%79.25M |
Financial lease liabilities-current liabilities | -49.64%3.33M | -18.73%5.65M | -16.76%6.61M | 12.48%6.96M | 206.17%7.94M | 63.73%6.18M | -20.04%2.59M | 15.01%3.78M | --3.24M | --3.28M |
Total current liabilities | -11.97%1.21B | -35.13%1.55B | -52.14%1.38B | 15.53%2.4B | 36.96%2.88B | 49.30%2.07B | 109.24%2.1B | 46.80%1.39B | 37.19%1B | -1.73%946.66M |
Net current assets | 531.10%130.06M | -108.03%-76.8M | -97.65%20.61M | -30.54%956.84M | -33.55%877.83M | 26.15%1.38B | 17.86%1.32B | 20.47%1.09B | 29.74%1.12B | 33.96%906.46M |
Total assets less current liabilities | 1.44%1.19B | -51.72%1.02B | -46.37%1.17B | -11.51%2.11B | -6.08%2.19B | 18.70%2.38B | 15.63%2.33B | 13.52%2.01B | 16.32%2.01B | 15.45%1.77B |
Non-current liabilities | ||||||||||
Long-term bank loan | -14.84%195.86M | -76.75%94.62M | -50.30%230M | -48.08%407M | -24.93%462.75M | 8.53%783.92M | -25.26%616.46M | 13.70%722.33M | 48.95%824.84M | 39.73%635.3M |
Financial lease liabilities-non-current liabilities | -91.17%276K | -97.29%210K | -75.26%3.13M | -26.54%7.74M | 1,007.27%12.63M | 430.30%10.54M | -19.70%1.14M | -14.87%1.99M | --1.42M | --2.33M |
Deferred tax liability | -91.66%201K | -74.49%2.28M | -73.99%2.41M | 59.23%8.96M | 65.88%9.26M | 33.94%5.62M | 35.21%5.58M | 20.21%4.2M | 12.44%4.13M | -6.70%3.49M |
Provision-non-current liabilities | -18.41%638K | -86.94%782K | -87.47%782K | -34.55%5.99M | -31.78%6.24M | 12.09%9.15M | 12.09%9.15M | 10.60%8.16M | 10.48%8.16M | 20.41%7.38M |
Total non-current liabilities | -16.65%196.97M | -77.22%97.9M | -51.86%236.32M | -46.90%429.68M | -22.37%490.89M | 9.85%809.23M | -24.59%632.33M | 13.60%736.68M | 48.46%838.55M | 39.61%648.5M |
Total liabilities | -12.66%1.41B | -41.53%1.65B | -52.10%1.61B | -1.99%2.83B | 23.24%3.37B | 35.63%2.88B | 48.35%2.73B | 33.30%2.13B | 42.10%1.84B | 11.72%1.6B |
Total assets less total liabilities | 6.00%993M | -45.19%918.85M | -44.78%936.76M | 6.72%1.68B | -0.01%1.7B | 23.84%1.57B | 44.31%1.7B | 13.47%1.27B | 0.76%1.18B | 4.92%1.12B |
Total equity and non-current liabilities | 1.44%1.19B | -51.72%1.02B | -46.37%1.17B | -11.51%2.11B | -6.08%2.19B | 18.70%2.38B | 15.63%2.33B | 13.52%2.01B | 16.32%2.01B | 15.45%1.77B |
Equity | ||||||||||
Share capital | 0.00%202.15M | 0.01%202.15M | 0.01%202.15M | 0.14%202.13M | 0.44%202.13M | 1.04%201.85M | 0.93%201.24M | 0.19%199.76M | 0.10%199.38M | 0.04%199.38M |
Other reserves | -22.54%189.23M | 313.81%183.24M | 148.76%244.29M | -128.49%-85.7M | -72.99%98.2M | 28.83%300.8M | 87.99%363.57M | 22.24%233.48M | -23.92%193.4M | -15.21%191.01M |
Retained profit | 22.70%601.63M | -65.80%533.46M | -64.88%490.33M | 46.04%1.56B | 23.35%1.4B | 27.90%1.07B | 44.57%1.13B | 14.81%835.12M | 9.74%782.92M | 13.51%727.39M |
Shareholders' Equity | 6.00%993M | -45.19%918.85M | -44.78%936.76M | 6.72%1.68B | -0.01%1.7B | 23.84%1.57B | 44.31%1.7B | 13.47%1.27B | 0.76%1.18B | 4.92%1.12B |
Total equity | 6.00%993M | -45.19%918.85M | -44.78%936.76M | 6.72%1.68B | -0.01%1.7B | 23.84%1.57B | 44.31%1.7B | 13.47%1.27B | 0.76%1.18B | 4.92%1.12B |
Total equity and total liabilities | -5.80%2.4B | -42.89%2.57B | -49.65%2.55B | 1.08%4.5B | 14.34%5.07B | 31.23%4.45B | 46.78%4.43B | 25.13%3.39B | 22.52%3.02B | 8.81%2.71B |
Currency Unit | HKD | HKD | HKD | HKD | HKD | HKD | HKD | HKD | HKD | HKD |
Accounting Standards | HKAS | HKAS | HKAS | HKAS | HKAS | HKAS | HKAS | HKAS | HKAS | HKAS |
Audit Opinions | Unqualified Opinion | -- | Unqualified Opinion | -- | Unqualified Opinion | -- | Unqualified Opinion | -- | Unqualified Opinion | -- |
Auditor | KPMG | -- | KPMG | -- | KPMG | -- | KPMG | -- | KPMG | -- |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.
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