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01468 KINGKEY FIN INT

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  • 0.090
  • +0.001+1.12%
Not Open Jul 16 16:08 CST
824.04MMarket Cap-1500P/E (TTM)

KINGKEY FIN INT Key Stats

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YOY yoy
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(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
-41.72%26.98M
-51.50%23.64M
-30.80%46.29M
-31.31%48.75M
-12.03%66.89M
74.87%70.97M
31.63%76.04M
-20.31%40.58M
6.60%57.77M
1,106.78%50.93M
Accounts receivable
-64.07%131.97M
-2.53%344.5M
14.50%367.26M
2.64%353.44M
24.19%320.77M
18.14%344.35M
-13.41%258.28M
7.74%291.49M
8.79%298.3M
-13.46%270.55M
Related party payments receivable
-3.93%3.05M
0.00%3.06M
3.96%3.18M
0.13%3.06M
29.93%3.06M
49.46%3.05M
97.15%2.35M
--2.04M
--1.19M
----
Interest receivable
----
----
----
----
----
----
----
-98.12%12K
----
--638K
Withholding and tax receivable
-34.01%1.17M
-18.41%514K
-9.26%1.77M
--630K
--1.95M
----
----
----
-93.04%527K
1,309.58%6.77M
Cash and equivalents
18.44%312.72M
-17.87%240.44M
-26.51%264.03M
-14.10%292.78M
46.88%359.29M
169.76%340.81M
261.96%244.62M
-29.02%126.34M
-54.90%67.58M
-15.27%177.98M
Secured deposit
----
----
0.00%35M
0.00%35M
100.00%35M
--35M
--17.5M
----
----
----
Financial assets at fair value-current assets
13.64%25K
----
-99.96%22K
2,509.92%48.15M
1,916.71%49.59M
--1.85M
--2.46M
----
----
----
Special items of current assets
92.71%167.3M
-29.88%120.27M
-62.29%86.82M
-34.07%171.52M
152.95%230.22M
528.48%260.17M
319.16%91.02M
19.15%41.4M
-51.70%21.71M
-66.86%34.75M
Total current assets
-20.03%643.22M
-23.17%732.43M
-24.60%804.37M
-9.74%953.33M
54.10%1.07B
110.46%1.06B
54.84%692.27M
-7.34%501.86M
-15.76%447.08M
-14.33%541.61M
Non-current assets
Property, plant and equipment
-26.44%8.97M
-12.74%10.97M
-17.92%12.2M
-84.26%12.58M
-82.21%14.86M
-5.98%79.89M
3.33%83.53M
-11.81%84.97M
-23.38%80.84M
-15.64%96.36M
Advance payment
61.41%1.92M
-6.73%1.19M
-90.81%1.19M
0.79%1.28M
914.71%12.97M
153.60%1.27M
216.34%1.28M
-58.16%500K
-80.95%404K
-41.91%1.2M
Associated company interest
-81.66%13.58M
-2.68%14.65M
373.26%74.06M
--15.06M
--15.65M
----
----
----
----
----
Financial assets at fair value-non-current assets
127.91%150.56M
75.62%130.79M
-14.35%66.06M
-34.59%74.47M
289.17%77.13M
--113.86M
--19.82M
----
----
----
Intangible assets
-97.92%12.07M
-7.95%530.06M
115,948.20%580.24M
115,073.40%575.87M
0.00%500K
0.00%500K
0.00%500K
0.00%500K
0.00%500K
0.00%500K
Goodwill
-96.84%7.45M
-31.18%235.75M
120.71%235.75M
220.71%342.56M
0.00%106.81M
0.00%106.81M
0.00%106.81M
0.00%106.81M
0.00%106.81M
-16.13%106.81M
Special items of non-current assets
176.01%28.82M
8.46%29.19M
-51.58%10.44M
123.22%26.92M
89.83%21.57M
-59.27%12.06M
52.05%11.36M
302.78%29.6M
--7.47M
--7.35M
Total non-current assets
-77.20%223.38M
-9.17%952.61M
292.78%979.94M
233.58%1.05B
11.73%249.49M
41.37%314.39M
13.91%223.31M
4.80%222.39M
-13.45%196.03M
-16.96%212.21M
Total assets
-51.43%866.6M
-15.83%1.69B
35.56%1.78B
46.07%2B
43.76%1.32B
89.24%1.37B
42.37%915.58M
-3.92%724.25M
-15.07%643.11M
-15.09%753.83M
Liabilities
Current liabilities
Accounts payable
17.44%278.66M
16.26%231.03M
-7.78%237.28M
-1.67%198.71M
24.04%257.28M
143.31%202.1M
465.97%207.42M
-39.69%83.06M
-55.92%36.65M
-10.10%137.72M
Notes payable
----
----
----
----
----
----
----
----
--3.43M
----
Tax payable
-48.66%6.1M
33.97%12.9M
77.98%11.88M
-14.89%9.63M
-33.13%6.68M
31.03%11.31M
50.46%9.98M
29.02%8.63M
-0.85%6.64M
-33.68%6.69M
Amounts payable to associated parties-current liabilities
158.31%16.92M
155.77%16.63M
-40.45%6.55M
-63.00%6.5M
-70.25%11M
-32.95%17.57M
2.70%36.97M
-52.37%26.2M
--36M
--55M
Bank loans and overdrafts
-55.83%38.33M
-33.93%60.69M
-8.97%86.78M
-17.28%91.86M
20.82%95.33M
35.44%111.05M
-4.17%78.9M
-16.99%81.99M
-58.66%82.34M
-46.72%98.77M
Financial lease liabilities-current liabilities
53.33%5.46M
102.71%5.09M
4,915.49%3.56M
-12.63%2.51M
-97.59%71K
171.64%2.87M
8.71%2.94M
-83.89%1.06M
1,387.91%2.71M
1,376.18%6.57M
Special items of current liabilities
----
----
--819.33M
--470.35M
----
----
----
----
----
----
Total current liabilities
-65.98%421.45M
-56.44%388.14M
165.22%1.24B
133.76%891.09M
25.08%467.08M
57.88%381.2M
103.77%373.42M
-23.29%241.44M
-38.75%183.26M
-9.84%314.75M
Net current assets
151.05%221.77M
453.19%344.29M
-172.44%-434.44M
-90.78%62.24M
88.08%599.69M
159.20%675M
20.86%318.85M
14.79%260.42M
13.94%263.82M
-19.87%226.86M
Total assets less current liabilities
-18.40%445.15M
16.74%1.3B
-35.76%545.5M
12.29%1.11B
56.63%849.18M
104.92%989.39M
17.90%542.15M
9.96%482.81M
0.39%459.86M
-18.49%439.08M
Non-current liabilities
Financial lease liabilities-non-current liabilities
-45.19%2.98M
-57.73%1.97M
--5.44M
54.39%4.66M
----
966.08%3.02M
--4.4M
-53.07%283K
----
--603K
Deferred tax liability
-99.74%336K
-11.72%119.52M
--131.63M
--135.38M
----
----
----
----
----
----
Convertible notes and bonds
6.41%36.82M
-36.27%33.72M
-41.25%34.6M
-58.02%52.9M
-47.38%58.89M
106.55%126.01M
242.09%111.93M
--61.01M
--32.72M
----
Total non-current liabilities
-76.62%40.13M
-19.56%155.2M
191.50%171.67M
49.54%192.94M
-49.37%58.89M
110.52%129.03M
255.54%116.33M
10,064.01%61.29M
41,846.15%32.72M
-93.97%603K
Total liabilities
-67.27%461.59M
-49.88%543.34M
168.17%1.41B
112.46%1.08B
7.40%525.97M
68.54%510.22M
126.76%489.75M
-4.00%302.73M
-27.83%215.98M
-12.19%315.35M
Total assets less total liabilities
8.34%405.02M
24.37%1.14B
-52.70%373.84M
6.70%918.02M
85.59%790.29M
104.11%860.37M
-0.31%425.83M
-3.87%421.52M
-6.73%427.14M
-17.06%438.48M
Total equity and non-current liabilities
-18.40%445.15M
16.74%1.3B
-35.76%545.5M
12.29%1.11B
56.63%849.18M
104.92%989.39M
17.90%542.15M
9.96%482.81M
0.39%459.86M
-18.49%439.08M
Equity
Share capital
6.31%76.3M
13.46%76.3M
6.73%71.77M
0.00%67.25M
38.66%67.25M
38.66%67.25M
0.00%48.5M
5.07%48.5M
5.07%48.5M
0.00%46.16M
Reserve
95.42%329.8M
32.05%941.26M
-76.66%168.76M
-10.13%712.81M
91.62%723.05M
112.62%793.12M
-0.35%377.33M
-5.61%373.03M
-8.67%378.64M
-18.29%395.2M
Legal reserve
95.42%329.8M
32.05%941.26M
-76.66%168.76M
-10.13%712.81M
91.62%723.05M
112.62%793.12M
-0.35%377.33M
-5.61%373.03M
-8.67%378.64M
-18.29%395.2M
Shareholders' Equity
68.83%406.1M
30.45%1.02B
-69.56%240.54M
-9.33%780.05M
85.59%790.29M
104.11%860.37M
-0.31%425.83M
-4.49%421.52M
-7.29%427.14M
-16.69%441.36M
Non-controlling interest
-100.81%-1.08M
-10.03%124.14M
--133.3M
--137.97M
----
----
----
----
----
-156.04%-2.88M
Total equity
8.34%405.02M
24.37%1.14B
-52.70%373.84M
6.70%918.02M
85.59%790.29M
104.11%860.37M
-0.31%425.83M
-3.87%421.52M
-6.73%427.14M
-17.06%438.48M
Total equity and total liabilities
-51.43%866.6M
-15.83%1.69B
35.56%1.78B
46.07%2B
43.76%1.32B
89.24%1.37B
42.37%915.58M
-3.92%724.25M
-15.07%643.11M
-15.09%753.83M
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
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Tianjian International Certified Public Accountants Co., Ltd.
--
Tianjian International Certified Public Accountants Co., Ltd.
--
(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 -41.72%26.98M-51.50%23.64M-30.80%46.29M-31.31%48.75M-12.03%66.89M74.87%70.97M31.63%76.04M-20.31%40.58M6.60%57.77M1,106.78%50.93M
Accounts receivable -64.07%131.97M-2.53%344.5M14.50%367.26M2.64%353.44M24.19%320.77M18.14%344.35M-13.41%258.28M7.74%291.49M8.79%298.3M-13.46%270.55M
Related party payments receivable -3.93%3.05M0.00%3.06M3.96%3.18M0.13%3.06M29.93%3.06M49.46%3.05M97.15%2.35M--2.04M--1.19M----
Interest receivable -----------------------------98.12%12K------638K
Withholding and tax receivable -34.01%1.17M-18.41%514K-9.26%1.77M--630K--1.95M-------------93.04%527K1,309.58%6.77M
Cash and equivalents 18.44%312.72M-17.87%240.44M-26.51%264.03M-14.10%292.78M46.88%359.29M169.76%340.81M261.96%244.62M-29.02%126.34M-54.90%67.58M-15.27%177.98M
Secured deposit --------0.00%35M0.00%35M100.00%35M--35M--17.5M------------
Financial assets at fair value-current assets 13.64%25K-----99.96%22K2,509.92%48.15M1,916.71%49.59M--1.85M--2.46M------------
Special items of current assets 92.71%167.3M-29.88%120.27M-62.29%86.82M-34.07%171.52M152.95%230.22M528.48%260.17M319.16%91.02M19.15%41.4M-51.70%21.71M-66.86%34.75M
Total current assets -20.03%643.22M-23.17%732.43M-24.60%804.37M-9.74%953.33M54.10%1.07B110.46%1.06B54.84%692.27M-7.34%501.86M-15.76%447.08M-14.33%541.61M
Non-current assets
Property, plant and equipment -26.44%8.97M-12.74%10.97M-17.92%12.2M-84.26%12.58M-82.21%14.86M-5.98%79.89M3.33%83.53M-11.81%84.97M-23.38%80.84M-15.64%96.36M
Advance payment 61.41%1.92M-6.73%1.19M-90.81%1.19M0.79%1.28M914.71%12.97M153.60%1.27M216.34%1.28M-58.16%500K-80.95%404K-41.91%1.2M
Associated company interest -81.66%13.58M-2.68%14.65M373.26%74.06M--15.06M--15.65M--------------------
Financial assets at fair value-non-current assets 127.91%150.56M75.62%130.79M-14.35%66.06M-34.59%74.47M289.17%77.13M--113.86M--19.82M------------
Intangible assets -97.92%12.07M-7.95%530.06M115,948.20%580.24M115,073.40%575.87M0.00%500K0.00%500K0.00%500K0.00%500K0.00%500K0.00%500K
Goodwill -96.84%7.45M-31.18%235.75M120.71%235.75M220.71%342.56M0.00%106.81M0.00%106.81M0.00%106.81M0.00%106.81M0.00%106.81M-16.13%106.81M
Special items of non-current assets 176.01%28.82M8.46%29.19M-51.58%10.44M123.22%26.92M89.83%21.57M-59.27%12.06M52.05%11.36M302.78%29.6M--7.47M--7.35M
Total non-current assets -77.20%223.38M-9.17%952.61M292.78%979.94M233.58%1.05B11.73%249.49M41.37%314.39M13.91%223.31M4.80%222.39M-13.45%196.03M-16.96%212.21M
Total assets -51.43%866.6M-15.83%1.69B35.56%1.78B46.07%2B43.76%1.32B89.24%1.37B42.37%915.58M-3.92%724.25M-15.07%643.11M-15.09%753.83M
Liabilities
Current liabilities
Accounts payable 17.44%278.66M16.26%231.03M-7.78%237.28M-1.67%198.71M24.04%257.28M143.31%202.1M465.97%207.42M-39.69%83.06M-55.92%36.65M-10.10%137.72M
Notes payable ----------------------------------3.43M----
Tax payable -48.66%6.1M33.97%12.9M77.98%11.88M-14.89%9.63M-33.13%6.68M31.03%11.31M50.46%9.98M29.02%8.63M-0.85%6.64M-33.68%6.69M
Amounts payable to associated parties-current liabilities 158.31%16.92M155.77%16.63M-40.45%6.55M-63.00%6.5M-70.25%11M-32.95%17.57M2.70%36.97M-52.37%26.2M--36M--55M
Bank loans and overdrafts -55.83%38.33M-33.93%60.69M-8.97%86.78M-17.28%91.86M20.82%95.33M35.44%111.05M-4.17%78.9M-16.99%81.99M-58.66%82.34M-46.72%98.77M
Financial lease liabilities-current liabilities 53.33%5.46M102.71%5.09M4,915.49%3.56M-12.63%2.51M-97.59%71K171.64%2.87M8.71%2.94M-83.89%1.06M1,387.91%2.71M1,376.18%6.57M
Special items of current liabilities ----------819.33M--470.35M------------------------
Total current liabilities -65.98%421.45M-56.44%388.14M165.22%1.24B133.76%891.09M25.08%467.08M57.88%381.2M103.77%373.42M-23.29%241.44M-38.75%183.26M-9.84%314.75M
Net current assets 151.05%221.77M453.19%344.29M-172.44%-434.44M-90.78%62.24M88.08%599.69M159.20%675M20.86%318.85M14.79%260.42M13.94%263.82M-19.87%226.86M
Total assets less current liabilities -18.40%445.15M16.74%1.3B-35.76%545.5M12.29%1.11B56.63%849.18M104.92%989.39M17.90%542.15M9.96%482.81M0.39%459.86M-18.49%439.08M
Non-current liabilities
Financial lease liabilities-non-current liabilities -45.19%2.98M-57.73%1.97M--5.44M54.39%4.66M----966.08%3.02M--4.4M-53.07%283K------603K
Deferred tax liability -99.74%336K-11.72%119.52M--131.63M--135.38M------------------------
Convertible notes and bonds 6.41%36.82M-36.27%33.72M-41.25%34.6M-58.02%52.9M-47.38%58.89M106.55%126.01M242.09%111.93M--61.01M--32.72M----
Total non-current liabilities -76.62%40.13M-19.56%155.2M191.50%171.67M49.54%192.94M-49.37%58.89M110.52%129.03M255.54%116.33M10,064.01%61.29M41,846.15%32.72M-93.97%603K
Total liabilities -67.27%461.59M-49.88%543.34M168.17%1.41B112.46%1.08B7.40%525.97M68.54%510.22M126.76%489.75M-4.00%302.73M-27.83%215.98M-12.19%315.35M
Total assets less total liabilities 8.34%405.02M24.37%1.14B-52.70%373.84M6.70%918.02M85.59%790.29M104.11%860.37M-0.31%425.83M-3.87%421.52M-6.73%427.14M-17.06%438.48M
Total equity and non-current liabilities -18.40%445.15M16.74%1.3B-35.76%545.5M12.29%1.11B56.63%849.18M104.92%989.39M17.90%542.15M9.96%482.81M0.39%459.86M-18.49%439.08M
Equity
Share capital 6.31%76.3M13.46%76.3M6.73%71.77M0.00%67.25M38.66%67.25M38.66%67.25M0.00%48.5M5.07%48.5M5.07%48.5M0.00%46.16M
Reserve 95.42%329.8M32.05%941.26M-76.66%168.76M-10.13%712.81M91.62%723.05M112.62%793.12M-0.35%377.33M-5.61%373.03M-8.67%378.64M-18.29%395.2M
Legal reserve 95.42%329.8M32.05%941.26M-76.66%168.76M-10.13%712.81M91.62%723.05M112.62%793.12M-0.35%377.33M-5.61%373.03M-8.67%378.64M-18.29%395.2M
Shareholders' Equity 68.83%406.1M30.45%1.02B-69.56%240.54M-9.33%780.05M85.59%790.29M104.11%860.37M-0.31%425.83M-4.49%421.52M-7.29%427.14M-16.69%441.36M
Non-controlling interest -100.81%-1.08M-10.03%124.14M--133.3M--137.97M---------------------156.04%-2.88M
Total equity 8.34%405.02M24.37%1.14B-52.70%373.84M6.70%918.02M85.59%790.29M104.11%860.37M-0.31%425.83M-3.87%421.52M-6.73%427.14M-17.06%438.48M
Total equity and total liabilities -51.43%866.6M-15.83%1.69B35.56%1.78B46.07%2B43.76%1.32B89.24%1.37B42.37%915.58M-3.92%724.25M-15.07%643.11M-15.09%753.83M
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--Tianjian International Certified Public Accountants Co., Ltd.--Tianjian International Certified Public Accountants Co., Ltd.--

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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