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03057 SANCY

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  • 0.350
  • 0.0000.00%
15min DelayTrading Oct 9 12:12 CST
237.71MMarket Cap175.00P/E (TTM)

SANCY Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q2)Sep 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(FY)Mar 31, 2022
(Q4)Mar 31, 2022
(FY)Mar 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-87.84%128K
-86.96%323.98K
-86.96%323.98K
--1.05M
1,205.91%2.49M
1,205.91%2.49M
--3.81M
-32.61%190.29K
--190.29K
138.91%282.39K
-Cash and cash equivalents
-87.84%128K
-86.96%323.98K
-86.96%323.98K
--1.05M
1,205.91%2.49M
1,205.91%2.49M
--3.81M
-32.61%190.29K
--190.29K
138.91%282.39K
-Including:Cash
----
-84.75%73.98K
-84.75%73.98K
----
154.88%485.01K
154.88%485.01K
----
-32.61%190.29K
--190.29K
138.91%282.39K
-Including:Cash equivalents
----
-87.50%250K
-87.50%250K
----
--2M
--2M
----
----
----
----
Receivables
-48.45%1.38M
-42.83%1.68M
-42.83%1.68M
--2.69M
191.54%2.94M
191.54%2.94M
--1.68M
28.54%1.01M
--1.01M
-31.78%783.43K
-Accounts receivable
-48.45%1.38M
13.44%1.5M
13.44%1.5M
--2.69M
39.14%1.32M
39.14%1.32M
--1.67M
63.93%949.05K
--949.05K
-49.10%578.94K
-Gross accounts receivable
----
9.30%1.91M
9.30%1.91M
----
37.83%1.75M
37.83%1.75M
----
42.49%1.27M
--1.27M
-21.77%889.74K
-Bad debt provision
----
3.51%-411.97K
3.51%-411.97K
----
-33.95%-426.97K
-33.95%-426.97K
----
-2.56%-318.75K
---318.75K
---310.8K
-Other receivables
----
-88.83%180.44K
-88.83%180.44K
----
2,686.73%1.62M
2,686.73%1.62M
--15.35K
-71.65%57.97K
--57.97K
1,759.01%204.49K
Prepaid assets
----
456.44%336.28K
456.44%336.28K
----
69.30%60.43K
69.30%60.43K
----
9.24%35.7K
--35.7K
-9.04%32.68K
Tax assets-Current
208.64%500K
88.38%186.5K
88.38%186.5K
--162K
--99K
--99K
----
----
----
----
Total current assets
-48.41%2.01M
-54.75%2.53M
-54.75%2.53M
--3.9M
352.58%5.58M
352.58%5.58M
--5.49M
12.24%1.23M
--1.23M
-15.66%1.1M
Non current assets
Net PPE
41.28%397K
51.25%515.96K
51.25%515.96K
--281K
24.44%341.14K
24.44%341.14K
--379.07K
-34.95%274.14K
--274.14K
272.36%421.45K
-Gross PP&E
41.28%397K
16.37%928.26K
16.37%928.26K
--281K
40.85%797.7K
40.85%797.7K
--379.07K
2.78%566.34K
--566.34K
223.62%551.03K
-Accumulated depreciation
----
9.69%-412.3K
9.69%-412.3K
----
-56.25%-456.56K
-56.25%-456.56K
----
-125.49%-292.2K
---292.2K
-126.99%-129.58K
Total investment
----
----
----
----
--0
--0
--20
--0
--0
--0
-Long-term equity investment
----
----
----
----
--0
--0
--0
--0
--0
--0
-Other investment
----
----
----
----
----
----
--20
----
----
----
Goodwill and other intangible assets
21.41%23.59M
24.15%21.78M
24.15%21.78M
--19.43M
24.52%17.54M
24.52%17.54M
--16.76M
11.81%14.09M
--14.09M
--12.6M
-Goodwill
----
--0
--0
--0
--0
--0
----
--0
--0
--0
-Other intangible assets
----
24.15%21.78M
24.15%21.78M
--19.43M
24.52%17.54M
24.52%17.54M
----
11.81%14.09M
--14.09M
--12.6M
Deferred tax assets-non current
800.00%45K
749.06%45K
749.06%45K
--5K
--5.3K
--5.3K
----
----
----
----
Total non current assets
21.89%24.03M
24.88%22.34M
24.88%22.34M
--19.72M
24.55%17.89M
24.55%17.89M
--17.14M
10.30%14.36M
--14.36M
11,404.67%13.02M
Total assets
10.28%26.05M
5.95%24.87M
5.95%24.87M
--23.62M
50.49%23.47M
50.49%23.47M
--22.63M
10.45%15.6M
--15.6M
897.40%14.12M
Liabilities
Current liabilities
Financial liabilities
139.02%98K
72.61%175.19K
72.61%175.19K
--41K
-10.68%101.5K
-10.68%101.5K
--34.51K
-3.30%113.63K
--113.63K
--117.5K
-Current debt and capital lease obligation
139.02%98K
72.61%175.19K
72.61%175.19K
--41K
-10.68%101.5K
-10.68%101.5K
--34.51K
-3.30%113.63K
--113.63K
--117.5K
-Including:Current capital Lease obligation
139.02%98K
72.61%175.19K
72.61%175.19K
--41K
-10.68%101.5K
-10.68%101.5K
--34.51K
-3.30%113.63K
--113.63K
--117.5K
Payables
334.29%1.06M
-52.66%448.1K
-52.66%448.1K
--245K
100.31%946.59K
100.31%946.59K
--466.14K
-4.00%472.57K
--472.57K
-31.59%492.24K
-accounts payable
296.44%892K
--210K
--210K
--225K
--0
--0
--443.14K
-70.72%47.13K
--47.13K
-68.88%160.96K
-Total tax payable
760.00%172K
247.45%219.24K
247.45%219.24K
--20K
-79.77%63.1K
-79.77%63.1K
--23K
1.80%311.96K
--311.96K
99.43%306.45K
-Other payable
----
-97.87%18.86K
-97.87%18.86K
----
678.57%883.49K
678.57%883.49K
----
357.09%113.48K
--113.48K
-49.04%24.83K
Accrued and deferred income
-18.46%53K
-72.52%71.21K
-72.52%71.21K
--65K
7.30%259.11K
7.30%259.11K
----
-7.86%241.48K
--241.48K
147.44%262.07K
Current liabilities
246.15%1.22M
-46.87%694.5K
-46.87%694.5K
--351K
57.94%1.31M
57.94%1.31M
--500.64K
-5.06%827.67K
--827.67K
5.62%871.81K
Non current liabilities
Non current financial liabilities
152.05%184K
152.99%184.22K
152.99%184.22K
--73K
-3.70%72.82K
-3.70%72.82K
--159.72K
-60.04%75.62K
--75.62K
--189.24K
-Long term debt and capital lease obligation
152.05%184K
152.99%184.22K
152.99%184.22K
--73K
-3.70%72.82K
-3.70%72.82K
--159.72K
-60.04%75.62K
--75.62K
--189.24K
-Including:Long term capital lease obligation
152.05%184K
152.99%184.22K
152.99%184.22K
--73K
-3.70%72.82K
-3.70%72.82K
--159.72K
-60.04%75.62K
--75.62K
--189.24K
Non current deferred liabilities
----
----
----
----
--0
--0
--12.4K
--12.4K
--12.4K
--0
Total non current liabilities
152.05%184K
152.99%184.22K
152.99%184.22K
--73K
-17.27%72.82K
-17.27%72.82K
--172.12K
-53.49%88.02K
--88.02K
2,994.72%189.24K
Total liabilities
229.95%1.4M
-36.33%878.72K
-36.33%878.72K
--424K
50.71%1.38M
50.71%1.38M
--672.76K
-13.70%915.69K
--915.69K
27.60%1.06M
Shareholders'equity
Share capital
0.00%20.17M
0.00%20.17M
0.00%20.17M
--20.17M
61.32%20.17M
61.32%20.17M
--20.17M
2,400.30%12.5M
--12.5M
0.00%500K
-common stock
0.00%20.17M
0.00%20.17M
0.00%20.17M
--20.17M
61.32%20.17M
61.32%20.17M
--20.17M
2,400.30%12.5M
--12.5M
0.00%500K
Additional paid-in capital
----
----
----
--0
--0
--0
--0
-94.48%662.4K
--662.4K
--12M
Retained earnings
48.00%4.48M
98.75%3.82M
98.75%3.82M
--3.03M
26.78%1.92M
26.78%1.92M
--1.79M
171.93%1.52M
--1.52M
562.65%557.4K
Total stockholders'equity
6.26%24.65M
8.59%23.99M
8.59%23.99M
--23.19M
50.48%22.09M
50.48%22.09M
--21.96M
12.41%14.68M
--14.68M
2,135.67%13.06M
Total equity
6.26%24.65M
8.59%23.99M
8.59%23.99M
--23.19M
50.48%22.09M
50.48%22.09M
--21.96M
12.41%14.68M
--14.68M
2,135.67%13.06M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Sep 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q2)Sep 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(FY)Mar 31, 2022(Q4)Mar 31, 2022(FY)Mar 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -87.84%128K-86.96%323.98K-86.96%323.98K--1.05M1,205.91%2.49M1,205.91%2.49M--3.81M-32.61%190.29K--190.29K138.91%282.39K
-Cash and cash equivalents -87.84%128K-86.96%323.98K-86.96%323.98K--1.05M1,205.91%2.49M1,205.91%2.49M--3.81M-32.61%190.29K--190.29K138.91%282.39K
-Including:Cash -----84.75%73.98K-84.75%73.98K----154.88%485.01K154.88%485.01K-----32.61%190.29K--190.29K138.91%282.39K
-Including:Cash equivalents -----87.50%250K-87.50%250K------2M--2M----------------
Receivables -48.45%1.38M-42.83%1.68M-42.83%1.68M--2.69M191.54%2.94M191.54%2.94M--1.68M28.54%1.01M--1.01M-31.78%783.43K
-Accounts receivable -48.45%1.38M13.44%1.5M13.44%1.5M--2.69M39.14%1.32M39.14%1.32M--1.67M63.93%949.05K--949.05K-49.10%578.94K
-Gross accounts receivable ----9.30%1.91M9.30%1.91M----37.83%1.75M37.83%1.75M----42.49%1.27M--1.27M-21.77%889.74K
-Bad debt provision ----3.51%-411.97K3.51%-411.97K-----33.95%-426.97K-33.95%-426.97K-----2.56%-318.75K---318.75K---310.8K
-Other receivables -----88.83%180.44K-88.83%180.44K----2,686.73%1.62M2,686.73%1.62M--15.35K-71.65%57.97K--57.97K1,759.01%204.49K
Prepaid assets ----456.44%336.28K456.44%336.28K----69.30%60.43K69.30%60.43K----9.24%35.7K--35.7K-9.04%32.68K
Tax assets-Current 208.64%500K88.38%186.5K88.38%186.5K--162K--99K--99K----------------
Total current assets -48.41%2.01M-54.75%2.53M-54.75%2.53M--3.9M352.58%5.58M352.58%5.58M--5.49M12.24%1.23M--1.23M-15.66%1.1M
Non current assets
Net PPE 41.28%397K51.25%515.96K51.25%515.96K--281K24.44%341.14K24.44%341.14K--379.07K-34.95%274.14K--274.14K272.36%421.45K
-Gross PP&E 41.28%397K16.37%928.26K16.37%928.26K--281K40.85%797.7K40.85%797.7K--379.07K2.78%566.34K--566.34K223.62%551.03K
-Accumulated depreciation ----9.69%-412.3K9.69%-412.3K-----56.25%-456.56K-56.25%-456.56K-----125.49%-292.2K---292.2K-126.99%-129.58K
Total investment ------------------0--0--20--0--0--0
-Long-term equity investment ------------------0--0--0--0--0--0
-Other investment --------------------------20------------
Goodwill and other intangible assets 21.41%23.59M24.15%21.78M24.15%21.78M--19.43M24.52%17.54M24.52%17.54M--16.76M11.81%14.09M--14.09M--12.6M
-Goodwill ------0--0--0--0--0------0--0--0
-Other intangible assets ----24.15%21.78M24.15%21.78M--19.43M24.52%17.54M24.52%17.54M----11.81%14.09M--14.09M--12.6M
Deferred tax assets-non current 800.00%45K749.06%45K749.06%45K--5K--5.3K--5.3K----------------
Total non current assets 21.89%24.03M24.88%22.34M24.88%22.34M--19.72M24.55%17.89M24.55%17.89M--17.14M10.30%14.36M--14.36M11,404.67%13.02M
Total assets 10.28%26.05M5.95%24.87M5.95%24.87M--23.62M50.49%23.47M50.49%23.47M--22.63M10.45%15.6M--15.6M897.40%14.12M
Liabilities
Current liabilities
Financial liabilities 139.02%98K72.61%175.19K72.61%175.19K--41K-10.68%101.5K-10.68%101.5K--34.51K-3.30%113.63K--113.63K--117.5K
-Current debt and capital lease obligation 139.02%98K72.61%175.19K72.61%175.19K--41K-10.68%101.5K-10.68%101.5K--34.51K-3.30%113.63K--113.63K--117.5K
-Including:Current capital Lease obligation 139.02%98K72.61%175.19K72.61%175.19K--41K-10.68%101.5K-10.68%101.5K--34.51K-3.30%113.63K--113.63K--117.5K
Payables 334.29%1.06M-52.66%448.1K-52.66%448.1K--245K100.31%946.59K100.31%946.59K--466.14K-4.00%472.57K--472.57K-31.59%492.24K
-accounts payable 296.44%892K--210K--210K--225K--0--0--443.14K-70.72%47.13K--47.13K-68.88%160.96K
-Total tax payable 760.00%172K247.45%219.24K247.45%219.24K--20K-79.77%63.1K-79.77%63.1K--23K1.80%311.96K--311.96K99.43%306.45K
-Other payable -----97.87%18.86K-97.87%18.86K----678.57%883.49K678.57%883.49K----357.09%113.48K--113.48K-49.04%24.83K
Accrued and deferred income -18.46%53K-72.52%71.21K-72.52%71.21K--65K7.30%259.11K7.30%259.11K-----7.86%241.48K--241.48K147.44%262.07K
Current liabilities 246.15%1.22M-46.87%694.5K-46.87%694.5K--351K57.94%1.31M57.94%1.31M--500.64K-5.06%827.67K--827.67K5.62%871.81K
Non current liabilities
Non current financial liabilities 152.05%184K152.99%184.22K152.99%184.22K--73K-3.70%72.82K-3.70%72.82K--159.72K-60.04%75.62K--75.62K--189.24K
-Long term debt and capital lease obligation 152.05%184K152.99%184.22K152.99%184.22K--73K-3.70%72.82K-3.70%72.82K--159.72K-60.04%75.62K--75.62K--189.24K
-Including:Long term capital lease obligation 152.05%184K152.99%184.22K152.99%184.22K--73K-3.70%72.82K-3.70%72.82K--159.72K-60.04%75.62K--75.62K--189.24K
Non current deferred liabilities ------------------0--0--12.4K--12.4K--12.4K--0
Total non current liabilities 152.05%184K152.99%184.22K152.99%184.22K--73K-17.27%72.82K-17.27%72.82K--172.12K-53.49%88.02K--88.02K2,994.72%189.24K
Total liabilities 229.95%1.4M-36.33%878.72K-36.33%878.72K--424K50.71%1.38M50.71%1.38M--672.76K-13.70%915.69K--915.69K27.60%1.06M
Shareholders'equity
Share capital 0.00%20.17M0.00%20.17M0.00%20.17M--20.17M61.32%20.17M61.32%20.17M--20.17M2,400.30%12.5M--12.5M0.00%500K
-common stock 0.00%20.17M0.00%20.17M0.00%20.17M--20.17M61.32%20.17M61.32%20.17M--20.17M2,400.30%12.5M--12.5M0.00%500K
Additional paid-in capital --------------0--0--0--0-94.48%662.4K--662.4K--12M
Retained earnings 48.00%4.48M98.75%3.82M98.75%3.82M--3.03M26.78%1.92M26.78%1.92M--1.79M171.93%1.52M--1.52M562.65%557.4K
Total stockholders'equity 6.26%24.65M8.59%23.99M8.59%23.99M--23.19M50.48%22.09M50.48%22.09M--21.96M12.41%14.68M--14.68M2,135.67%13.06M
Total equity 6.26%24.65M8.59%23.99M8.59%23.99M--23.19M50.48%22.09M50.48%22.09M--21.96M12.41%14.68M--14.68M2,135.67%13.06M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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.