HK Stock MarketDetailed Quotes

01449 LEADER EDU

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  • 0.265
  • -0.005-1.85%
Market Closed Nov 15 16:08 CST
176.67MMarket Cap3.53P/E (TTM)

LEADER EDU Key Stats

All
YOY yoy
Hide blank lines yoy
(Q6)Feb 29, 2024
(FY)Aug 31, 2023
(Q6)Feb 28, 2023
(FY)Aug 31, 2022
(Q6)Feb 28, 2022
(FY)Aug 31, 2021
(Q6)Feb 28, 2021
(FY)Aug 31, 2020
(Q6)Feb 29, 2020
(FY)Aug 31, 2019
Assets
Current assets
Advance deposits and other receivables
92.26%39.11M
-28.53%21.66M
11.28%20.34M
69.47%30.31M
29.86%18.28M
-48.73%17.89M
37.06%14.08M
564.99%34.89M
--10.27M
-52.79%5.25M
Cash and equivalents
66.68%334.7M
6.99%270.78M
32.77%200.8M
-16.73%253.09M
-38.50%151.24M
-9.96%303.93M
690.11%245.92M
141.23%337.55M
--31.12M
19.76%139.93M
Financial assets at fair value-current assets
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----
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----
--8.26M
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----
----
----
----
Special items of current assets
----
----
----
----
----
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--46.8M
Total current assets
69.03%373.8M
3.19%292.44M
24.39%221.14M
-11.94%283.4M
-31.62%177.78M
-13.59%321.82M
528.09%259.99M
94.01%372.45M
--41.39M
16.42%191.97M
Non-current assets
Property, plant and equipment
2.62%1.79B
5.91%1.78B
5.19%1.74B
6.54%1.68B
7.02%1.66B
8.48%1.57B
9.37%1.55B
7.39%1.45B
--1.41B
19.22%1.35B
Advance payment
50.77%44.49M
28.75%35.19M
7.99%29.51M
-63.73%27.33M
-63.69%27.32M
212.88%75.35M
390.61%75.25M
2.65%24.08M
--15.34M
222.92%23.46M
Interests in Joint Venture
--372K
--382K
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----
----
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Intangible assets
17.35%3.69M
8.30%3.29M
-3.08%3.14M
16.63%3.04M
-0.40%3.24M
-14.20%2.6M
6.41%3.26M
178.70%3.04M
--3.06M
153.26%1.09M
Other illiquid assets
8.49%22.05M
164.26%20.15M
79.93%20.33M
-4.69%7.63M
45.29%11.3M
90.48%8M
85.12%7.78M
40.00%4.2M
--4.2M
-70.00%3M
Total non-current assets
3.34%1.92B
6.82%1.9B
5.42%1.86B
6.33%1.78B
7.04%1.77B
11.82%1.68B
13.47%1.65B
7.39%1.5B
--1.45B
19.45%1.4B
Total assets
10.31%2.3B
6.32%2.2B
7.16%2.08B
3.39%2.07B
1.78%1.94B
6.76%2B
27.71%1.91B
17.87%1.87B
--1.49B
19.08%1.59B
Liabilities
Current liabilities
Amounts payable to associated parties-current liabilities
----
----
----
----
----
----
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-90.99%6.05M
Other payables and accrued expenses
50.97%90.09M
-13.26%64.94M
-15.53%59.68M
-7.98%74.87M
-31.99%70.64M
19.38%81.37M
58.08%103.87M
-27.57%68.16M
--65.7M
-15.68%94.1M
Bank loans and overdrafts
104.47%509.6M
58.74%360.35M
9.09%249.23M
14.78%227M
31.45%228.47M
107.40%197.77M
83.90%173.8M
50.73%95.36M
--94.51M
62.54%63.26M
Deferred income-current liabilities
-81.99%2.02M
6.63%7.82M
4,405.22%11.22M
2,845.78%7.34M
0.00%249K
--249K
--249K
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Special items of current liabilities
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--53.09M
Total current liabilities
64.48%728.13M
37.42%717.62M
9.04%442.68M
16.37%522.23M
7.86%405.98M
68.94%448.77M
60.81%376.4M
-23.16%265.64M
--234.07M
7.22%345.7M
Net current assets
-59.94%-354.33M
-78.03%-425.18M
2.92%-221.54M
-88.13%-238.83M
-96.03%-228.2M
-218.86%-126.95M
39.58%-116.41M
169.48%106.8M
---192.68M
2.41%-153.72M
Total assets less current liabilities
-4.31%1.57B
-4.21%1.48B
6.66%1.64B
-0.37%1.54B
0.28%1.54B
-3.52%1.55B
21.57%1.53B
29.29%1.61B
--1.26B
22.86%1.24B
Non-current liabilities
Long-term bank loan
-8.11%624.33M
-9.88%566.49M
4.59%679.44M
-7.53%628.57M
-5.54%649.6M
-6.30%679.78M
0.09%687.66M
8.75%725.46M
--687.01M
7.57%667.11M
Long-term accounts payable
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----
----
----
----
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--61.04M
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Deferred income-non-current liabilities
-13.16%2.58M
55.46%2.81M
54.02%2.97M
-12.08%1.81M
-11.43%1.93M
--2.05M
--2.18M
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Other non-current liabilities
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0.00%18.4M
0.00%18.4M
--18.4M
--18.4M
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Special items of non-current liabilities
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--57.85M
--113.88M
Total non-current liabilities
-8.13%626.91M
-9.69%569.29M
4.74%682.41M
-9.98%630.37M
-8.01%651.53M
-13.00%700.23M
-7.21%708.24M
3.06%804.91M
--763.27M
25.93%780.98M
Total liabilities
20.44%1.36B
11.65%1.29B
6.39%1.13B
0.31%1.15B
-2.50%1.06B
7.33%1.15B
8.75%1.08B
-4.98%1.07B
--997.34M
19.53%1.13B
Total assets less total liabilities
-1.59%941.95M
-0.42%908.92M
8.08%957.16M
7.55%912.75M
7.40%885.63M
6.01%848.68M
65.72%824.6M
73.74%800.57M
--497.59M
17.98%460.79M
Total equity and non-current liabilities
-4.31%1.57B
-4.21%1.48B
6.66%1.64B
-0.37%1.54B
0.28%1.54B
-3.52%1.55B
21.57%1.53B
29.29%1.61B
--1.26B
22.86%1.24B
Equity
Share capital
0.00%46.29M
0.00%46.29M
0.00%46.29M
0.00%46.29M
0.00%46.29M
0.00%46.29M
--46.29M
--46.29M
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----
Reserve
-1.67%895.68M
-0.44%862.64M
8.52%910.87M
7.98%866.46M
7.84%839.34M
6.38%802.39M
56.42%778.31M
63.69%754.28M
--497.59M
17.98%460.79M
Shareholders' Equity
-1.59%941.97M
-0.42%908.94M
8.08%957.16M
7.55%912.75M
7.40%885.63M
6.01%848.68M
65.72%824.6M
73.74%800.57M
--497.59M
17.98%460.79M
Non-controlling interest
---20K
---15K
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Total equity
-1.59%941.95M
-0.42%908.92M
8.08%957.16M
7.55%912.75M
7.40%885.63M
6.01%848.68M
65.72%824.6M
73.74%800.57M
--497.59M
17.98%460.79M
Total equity and total liabilities
10.31%2.3B
6.32%2.2B
7.16%2.08B
3.39%2.07B
1.78%1.94B
6.76%2B
27.71%1.91B
17.87%1.87B
--1.49B
19.08%1.59B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
(Q6)Feb 29, 2024(FY)Aug 31, 2023(Q6)Feb 28, 2023(FY)Aug 31, 2022(Q6)Feb 28, 2022(FY)Aug 31, 2021(Q6)Feb 28, 2021(FY)Aug 31, 2020(Q6)Feb 29, 2020(FY)Aug 31, 2019
Assets
Current assets
Advance deposits and other receivables 92.26%39.11M-28.53%21.66M11.28%20.34M69.47%30.31M29.86%18.28M-48.73%17.89M37.06%14.08M564.99%34.89M--10.27M-52.79%5.25M
Cash and equivalents 66.68%334.7M6.99%270.78M32.77%200.8M-16.73%253.09M-38.50%151.24M-9.96%303.93M690.11%245.92M141.23%337.55M--31.12M19.76%139.93M
Financial assets at fair value-current assets ------------------8.26M--------------------
Special items of current assets --------------------------------------46.8M
Total current assets 69.03%373.8M3.19%292.44M24.39%221.14M-11.94%283.4M-31.62%177.78M-13.59%321.82M528.09%259.99M94.01%372.45M--41.39M16.42%191.97M
Non-current assets
Property, plant and equipment 2.62%1.79B5.91%1.78B5.19%1.74B6.54%1.68B7.02%1.66B8.48%1.57B9.37%1.55B7.39%1.45B--1.41B19.22%1.35B
Advance payment 50.77%44.49M28.75%35.19M7.99%29.51M-63.73%27.33M-63.69%27.32M212.88%75.35M390.61%75.25M2.65%24.08M--15.34M222.92%23.46M
Interests in Joint Venture --372K--382K--------------------------------
Intangible assets 17.35%3.69M8.30%3.29M-3.08%3.14M16.63%3.04M-0.40%3.24M-14.20%2.6M6.41%3.26M178.70%3.04M--3.06M153.26%1.09M
Other illiquid assets 8.49%22.05M164.26%20.15M79.93%20.33M-4.69%7.63M45.29%11.3M90.48%8M85.12%7.78M40.00%4.2M--4.2M-70.00%3M
Total non-current assets 3.34%1.92B6.82%1.9B5.42%1.86B6.33%1.78B7.04%1.77B11.82%1.68B13.47%1.65B7.39%1.5B--1.45B19.45%1.4B
Total assets 10.31%2.3B6.32%2.2B7.16%2.08B3.39%2.07B1.78%1.94B6.76%2B27.71%1.91B17.87%1.87B--1.49B19.08%1.59B
Liabilities
Current liabilities
Amounts payable to associated parties-current liabilities -------------------------------------90.99%6.05M
Other payables and accrued expenses 50.97%90.09M-13.26%64.94M-15.53%59.68M-7.98%74.87M-31.99%70.64M19.38%81.37M58.08%103.87M-27.57%68.16M--65.7M-15.68%94.1M
Bank loans and overdrafts 104.47%509.6M58.74%360.35M9.09%249.23M14.78%227M31.45%228.47M107.40%197.77M83.90%173.8M50.73%95.36M--94.51M62.54%63.26M
Deferred income-current liabilities -81.99%2.02M6.63%7.82M4,405.22%11.22M2,845.78%7.34M0.00%249K--249K--249K------------
Special items of current liabilities --------------------------------------53.09M
Total current liabilities 64.48%728.13M37.42%717.62M9.04%442.68M16.37%522.23M7.86%405.98M68.94%448.77M60.81%376.4M-23.16%265.64M--234.07M7.22%345.7M
Net current assets -59.94%-354.33M-78.03%-425.18M2.92%-221.54M-88.13%-238.83M-96.03%-228.2M-218.86%-126.95M39.58%-116.41M169.48%106.8M---192.68M2.41%-153.72M
Total assets less current liabilities -4.31%1.57B-4.21%1.48B6.66%1.64B-0.37%1.54B0.28%1.54B-3.52%1.55B21.57%1.53B29.29%1.61B--1.26B22.86%1.24B
Non-current liabilities
Long-term bank loan -8.11%624.33M-9.88%566.49M4.59%679.44M-7.53%628.57M-5.54%649.6M-6.30%679.78M0.09%687.66M8.75%725.46M--687.01M7.57%667.11M
Long-term accounts payable ------------------------------61.04M--------
Deferred income-non-current liabilities -13.16%2.58M55.46%2.81M54.02%2.97M-12.08%1.81M-11.43%1.93M--2.05M--2.18M------------
Other non-current liabilities --------------------0.00%18.4M0.00%18.4M--18.4M--18.4M----
Special items of non-current liabilities ----------------------------------57.85M--113.88M
Total non-current liabilities -8.13%626.91M-9.69%569.29M4.74%682.41M-9.98%630.37M-8.01%651.53M-13.00%700.23M-7.21%708.24M3.06%804.91M--763.27M25.93%780.98M
Total liabilities 20.44%1.36B11.65%1.29B6.39%1.13B0.31%1.15B-2.50%1.06B7.33%1.15B8.75%1.08B-4.98%1.07B--997.34M19.53%1.13B
Total assets less total liabilities -1.59%941.95M-0.42%908.92M8.08%957.16M7.55%912.75M7.40%885.63M6.01%848.68M65.72%824.6M73.74%800.57M--497.59M17.98%460.79M
Total equity and non-current liabilities -4.31%1.57B-4.21%1.48B6.66%1.64B-0.37%1.54B0.28%1.54B-3.52%1.55B21.57%1.53B29.29%1.61B--1.26B22.86%1.24B
Equity
Share capital 0.00%46.29M0.00%46.29M0.00%46.29M0.00%46.29M0.00%46.29M0.00%46.29M--46.29M--46.29M--------
Reserve -1.67%895.68M-0.44%862.64M8.52%910.87M7.98%866.46M7.84%839.34M6.38%802.39M56.42%778.31M63.69%754.28M--497.59M17.98%460.79M
Shareholders' Equity -1.59%941.97M-0.42%908.94M8.08%957.16M7.55%912.75M7.40%885.63M6.01%848.68M65.72%824.6M73.74%800.57M--497.59M17.98%460.79M
Non-controlling interest ---20K---15K--------------------------------
Total equity -1.59%941.95M-0.42%908.92M8.08%957.16M7.55%912.75M7.40%885.63M6.01%848.68M65.72%824.6M73.74%800.57M--497.59M17.98%460.79M
Total equity and total liabilities 10.31%2.3B6.32%2.2B7.16%2.08B3.39%2.07B1.78%1.94B6.76%2B27.71%1.91B17.87%1.87B--1.49B19.08%1.59B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Ernst & Young--Ernst & Young--Ernst & Young--Ernst & Young--Ernst & Young

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.

Analysis

Analyst Rating

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Price Target

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