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08118 BORTEX GLOBAL

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  • 0.089
  • +0.024+36.92%
Market Closed Dec 27 16:08 CST
44.50MMarket Cap-1.37P/E (TTM)

BORTEX GLOBAL Key Stats

All
YOY yoy
Hide blank lines yoy
(Q6)Oct 31, 2024
(FY)Apr 30, 2024
(Q6)Oct 31, 2023
(FY)Apr 30, 2023
(Q6)Oct 31, 2022
(FY)Apr 30, 2022
(Q6)Oct 31, 2021
(FY)Apr 30, 2021
(Q6)Oct 31, 2020
(FY)Apr 30, 2020
Cash flow from operating activities
Earning before tax
----
53.93%-32.15M
----
-1,186.96%-69.77M
----
-79.72%6.42M
----
28.69%31.65M
----
-16.30%24.59M
Profit adjustment
Interest (income) - adjustment
----
11.11%-8K
----
96.91%-9K
----
-104.93%-291K
----
41.08%-142K
----
-2.99%-241K
Impairment and provisions:
----
-48.02%20.09M
----
502.52%38.66M
----
1,470.94%6.42M
----
-592.63%-468K
----
--95K
-Impairment of property, plant and equipment (reversal)
----
171.71%5.53M
----
--2.04M
----
----
----
----
----
----
-Impairmen of inventory (reversal)
----
--9.01M
----
----
----
----
----
----
----
----
-Impairment of goodwill
----
----
----
--8.41M
----
----
----
----
----
----
-Other impairments and provisions
----
-80.33%5.55M
----
339.67%28.21M
----
1,470.94%6.42M
----
-592.63%-468K
----
--95K
Revaluation surplus:
----
----
----
----
----
-101.65%-26K
----
213.49%1.57M
----
-271.58%-1.39M
-Other fair value changes
----
----
----
----
----
-101.65%-26K
----
213.49%1.57M
----
-271.58%-1.39M
Asset sale loss (gain):
----
----
----
----
----
----
----
----
----
-115.56%-7K
-Loss (gain) on sale of property, machinery and equipment
----
----
----
----
----
----
----
----
----
-115.56%-7K
Depreciation and amortization:
----
-62.75%2.31M
----
-5.06%6.21M
----
-0.02%6.54M
----
13.17%6.54M
----
98.11%5.78M
Financial expense
----
-29.66%1.03M
----
-17.61%1.46M
----
-7.27%1.77M
----
30.89%1.91M
----
353.42%1.46M
Exchange Loss (gain)
----
-38.77%2.1M
----
635.76%3.44M
----
120.50%467K
----
-586.75%-2.28M
----
--468K
Special items
----
-79.64%5.13M
----
2,539.44%25.18M
----
-1,620.00%-1.03M
----
-300.00%-60K
----
59.46%-15K
Operating profit before the change of operating capital
----
-128.97%-1.49M
----
-74.56%5.15M
----
-47.67%20.26M
----
25.95%38.72M
----
-3.99%30.74M
Change of operating capital
Inventory (increase) decrease
----
-15.11%-11.46M
----
-45.49%-9.96M
----
44.74%-6.84M
----
47.56%-12.39M
----
-3,450.07%-23.62M
Accounts receivable (increase)decrease
----
-22.76%3.3M
----
465.48%4.28M
----
-75.19%756K
----
-79.06%3.05M
----
173.70%14.55M
Accounts payable increase (decrease)
----
-216.37%-6.38M
----
-123.82%-2.02M
----
312.47%8.47M
----
-126.62%-3.98M
----
14.20%-1.76M
prepayments (increase)decrease
----
89.38%-1.8M
----
-4.41%-16.91M
----
-343.63%-16.2M
----
244.57%6.65M
----
-1.59%-4.6M
Special items for working capital changes
----
-194.29%-1.44M
----
-4.63%1.52M
----
36.12%1.6M
----
296.62%1.17M
----
-37.29%296K
Cash  from business operations
----
-7.42%-19.26M
----
-323.12%-17.93M
-65.84%-17.36M
-75.80%8.04M
---10.47M
112.74%33.22M
----
127.16%15.62M
Other taxs
----
-186.16%-1.01M
----
95.72%-354K
----
-44.13%-8.26M
----
-68.52%-5.73M
----
43.56%-3.4M
Interest paid - operating
----
25.03%-749K
----
-1.83%-999K
----
-16.92%-981K
----
-623.28%-839K
----
63.98%-116K
Special items of business
151.06%9.95M
----
---19.49M
----
----
----
----
----
140.35%13.45M
----
Net cash from operations
151.06%9.95M
-9.02%-21.03M
-12.23%-19.49M
-1,499.25%-19.29M
-65.84%-17.36M
-104.53%-1.21M
-177.87%-10.47M
120.29%26.65M
140.35%13.45M
2,208.59%12.1M
Cash flow from investment activities
Interest received - investment
----
-11.11%8K
----
-96.91%9K
----
104.93%291K
----
-41.08%142K
----
2.99%241K
Sale of fixed assets
----
----
----
----
----
----
----
----
----
--76K
Purchase of fixed assets
----
----
----
80.61%-246K
----
62.64%-1.27M
----
-749.25%-3.4M
----
92.89%-400K
Recovery of cash from investments
----
----
----
----
----
--2.58M
----
----
----
----
Other items in the investment business
-25.00%3K
----
-98.42%4K
----
122.55%253K
----
44.84%-1.12M
----
-1,767.21%-2.03M
----
Net cash from investment operations
-25.00%3K
103.38%8K
-98.42%4K
-114.82%-237K
122.55%253K
149.12%1.6M
44.84%-1.12M
-3,821.69%-3.26M
-1,767.21%-2.03M
98.46%-83K
Net cash before financing
151.08%9.95M
-7.65%-21.02M
-13.86%-19.48M
-5,067.94%-19.52M
-47.60%-17.11M
-98.32%393K
-201.59%-11.59M
94.71%23.39M
99.63%11.41M
346.74%12.01M
Cash flow from financing activities
New borrowing
----
--17.43M
----
----
----
-12.71%15.08M
----
133.52%17.27M
----
-17.58%7.4M
Refund
----
41.08%-9.31M
----
-21.15%-15.81M
----
-68.60%-13.05M
----
-463.66%-7.74M
----
63.34%-1.37M
Interest paid - financing
----
39.70%-278K
----
41.72%-461K
----
26.21%-791K
----
4.96%-1.07M
----
---1.13M
Other items of the financing business
-137.23%-2.67M
----
398.67%7.18M
----
-272.53%-2.41M
----
-85.46%1.39M
----
283.87%9.59M
----
Net cash from financing operations
-137.23%-2.67M
126.37%5.01M
398.67%7.18M
-895.76%-19.01M
-272.53%-2.41M
-136.18%-1.91M
-85.46%1.39M
208.18%5.28M
283.87%9.59M
-59.96%1.71M
Effect of rate
86.27%-21K
71.68%-113K
-105.28%-153K
6.34%-399K
91.09%2.9M
-185.71%-426K
-82.15%1.52M
105.08%497K
226.35%8.49M
-40.10%-9.78M
Net Cash
159.18%7.28M
58.46%-16.01M
36.98%-12.3M
-2,441.75%-38.53M
-91.36%-19.52M
-105.29%-1.52M
-148.57%-10.2M
108.87%28.67M
4,082.87%21M
2,414.67%13.73M
Begining period cash
-89.38%1.92M
-68.34%18.03M
-68.34%18.03M
-3.30%56.97M
-3.30%56.97M
98.07%58.91M
186.60%58.91M
15.32%29.74M
26.36%20.55M
8.20%25.79M
Cash at the end
64.34%9.17M
-89.38%1.92M
-86.17%5.58M
-68.34%18.03M
-19.67%40.35M
-3.30%56.97M
0.36%50.23M
98.07%58.91M
398.04%50.04M
82.84%29.74M
Cash balance analysis
Cash and cash equivalent balance
----
----
----
----
----
----
----
98.07%58.91M
----
--29.74M
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
Auditor
--
--
--
Guowei Certified Public Accountants Co., Ltd.
--
Guowei Certified Public Accountants Co., Ltd.
--
Guowei Certified Public Accountants Co., Ltd.
--
Guowei Certified Public Accountants Co., Ltd.
(Q6)Oct 31, 2024(FY)Apr 30, 2024(Q6)Oct 31, 2023(FY)Apr 30, 2023(Q6)Oct 31, 2022(FY)Apr 30, 2022(Q6)Oct 31, 2021(FY)Apr 30, 2021(Q6)Oct 31, 2020(FY)Apr 30, 2020
Cash flow from operating activities
Earning before tax ----53.93%-32.15M-----1,186.96%-69.77M-----79.72%6.42M----28.69%31.65M-----16.30%24.59M
Profit adjustment
Interest (income) - adjustment ----11.11%-8K----96.91%-9K-----104.93%-291K----41.08%-142K-----2.99%-241K
Impairment and provisions: -----48.02%20.09M----502.52%38.66M----1,470.94%6.42M-----592.63%-468K------95K
-Impairment of property, plant and equipment (reversal) ----171.71%5.53M------2.04M------------------------
-Impairmen of inventory (reversal) ------9.01M--------------------------------
-Impairment of goodwill --------------8.41M------------------------
-Other impairments and provisions -----80.33%5.55M----339.67%28.21M----1,470.94%6.42M-----592.63%-468K------95K
Revaluation surplus: ---------------------101.65%-26K----213.49%1.57M-----271.58%-1.39M
-Other fair value changes ---------------------101.65%-26K----213.49%1.57M-----271.58%-1.39M
Asset sale loss (gain): -------------------------------------115.56%-7K
-Loss (gain) on sale of property, machinery and equipment -------------------------------------115.56%-7K
Depreciation and amortization: -----62.75%2.31M-----5.06%6.21M-----0.02%6.54M----13.17%6.54M----98.11%5.78M
Financial expense -----29.66%1.03M-----17.61%1.46M-----7.27%1.77M----30.89%1.91M----353.42%1.46M
Exchange Loss (gain) -----38.77%2.1M----635.76%3.44M----120.50%467K-----586.75%-2.28M------468K
Special items -----79.64%5.13M----2,539.44%25.18M-----1,620.00%-1.03M-----300.00%-60K----59.46%-15K
Operating profit before the change of operating capital -----128.97%-1.49M-----74.56%5.15M-----47.67%20.26M----25.95%38.72M-----3.99%30.74M
Change of operating capital
Inventory (increase) decrease -----15.11%-11.46M-----45.49%-9.96M----44.74%-6.84M----47.56%-12.39M-----3,450.07%-23.62M
Accounts receivable (increase)decrease -----22.76%3.3M----465.48%4.28M-----75.19%756K-----79.06%3.05M----173.70%14.55M
Accounts payable increase (decrease) -----216.37%-6.38M-----123.82%-2.02M----312.47%8.47M-----126.62%-3.98M----14.20%-1.76M
prepayments (increase)decrease ----89.38%-1.8M-----4.41%-16.91M-----343.63%-16.2M----244.57%6.65M-----1.59%-4.6M
Special items for working capital changes -----194.29%-1.44M-----4.63%1.52M----36.12%1.6M----296.62%1.17M-----37.29%296K
Cash  from business operations -----7.42%-19.26M-----323.12%-17.93M-65.84%-17.36M-75.80%8.04M---10.47M112.74%33.22M----127.16%15.62M
Other taxs -----186.16%-1.01M----95.72%-354K-----44.13%-8.26M-----68.52%-5.73M----43.56%-3.4M
Interest paid - operating ----25.03%-749K-----1.83%-999K-----16.92%-981K-----623.28%-839K----63.98%-116K
Special items of business 151.06%9.95M-------19.49M--------------------140.35%13.45M----
Net cash from operations 151.06%9.95M-9.02%-21.03M-12.23%-19.49M-1,499.25%-19.29M-65.84%-17.36M-104.53%-1.21M-177.87%-10.47M120.29%26.65M140.35%13.45M2,208.59%12.1M
Cash flow from investment activities
Interest received - investment -----11.11%8K-----96.91%9K----104.93%291K-----41.08%142K----2.99%241K
Sale of fixed assets --------------------------------------76K
Purchase of fixed assets ------------80.61%-246K----62.64%-1.27M-----749.25%-3.4M----92.89%-400K
Recovery of cash from investments ----------------------2.58M----------------
Other items in the investment business -25.00%3K-----98.42%4K----122.55%253K----44.84%-1.12M-----1,767.21%-2.03M----
Net cash from investment operations -25.00%3K103.38%8K-98.42%4K-114.82%-237K122.55%253K149.12%1.6M44.84%-1.12M-3,821.69%-3.26M-1,767.21%-2.03M98.46%-83K
Net cash before financing 151.08%9.95M-7.65%-21.02M-13.86%-19.48M-5,067.94%-19.52M-47.60%-17.11M-98.32%393K-201.59%-11.59M94.71%23.39M99.63%11.41M346.74%12.01M
Cash flow from financing activities
New borrowing ------17.43M-------------12.71%15.08M----133.52%17.27M-----17.58%7.4M
Refund ----41.08%-9.31M-----21.15%-15.81M-----68.60%-13.05M-----463.66%-7.74M----63.34%-1.37M
Interest paid - financing ----39.70%-278K----41.72%-461K----26.21%-791K----4.96%-1.07M-------1.13M
Other items of the financing business -137.23%-2.67M----398.67%7.18M-----272.53%-2.41M-----85.46%1.39M----283.87%9.59M----
Net cash from financing operations -137.23%-2.67M126.37%5.01M398.67%7.18M-895.76%-19.01M-272.53%-2.41M-136.18%-1.91M-85.46%1.39M208.18%5.28M283.87%9.59M-59.96%1.71M
Effect of rate 86.27%-21K71.68%-113K-105.28%-153K6.34%-399K91.09%2.9M-185.71%-426K-82.15%1.52M105.08%497K226.35%8.49M-40.10%-9.78M
Net Cash 159.18%7.28M58.46%-16.01M36.98%-12.3M-2,441.75%-38.53M-91.36%-19.52M-105.29%-1.52M-148.57%-10.2M108.87%28.67M4,082.87%21M2,414.67%13.73M
Begining period cash -89.38%1.92M-68.34%18.03M-68.34%18.03M-3.30%56.97M-3.30%56.97M98.07%58.91M186.60%58.91M15.32%29.74M26.36%20.55M8.20%25.79M
Cash at the end 64.34%9.17M-89.38%1.92M-86.17%5.58M-68.34%18.03M-19.67%40.35M-3.30%56.97M0.36%50.23M98.07%58.91M398.04%50.04M82.84%29.74M
Cash balance analysis
Cash and cash equivalent balance ----------------------------98.07%58.91M------29.74M
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions ------Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor ------Guowei Certified Public Accountants Co., Ltd.--Guowei Certified Public Accountants Co., Ltd.--Guowei Certified Public Accountants Co., Ltd.--Guowei 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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