(Q1)Jul 31, 2024 | (FY)Apr 30, 2024 | (Q4)Apr 30, 2024 | (Q3)Jan 31, 2024 | (Q2)Oct 31, 2023 | (Q1)Jul 31, 2023 | (FY)Apr 30, 2023 | (Q4)Apr 30, 2023 | (Q3)Jan 31, 2023 | (Q2)Oct 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 191.70%74.17M | 141.75%75.11M | 141.75%75.11M | 32.92%44.67M | 58.35%35.84M | -10.02%25.43M | -10.31%31.07M | -10.31%31.07M | 31.90%33.61M | -27.88%22.64M |
-Cash and cash equivalents | 274.53%66.98M | 191.01%66.2M | 191.01%66.2M | 65.24%39.27M | 141.38%28.18M | 9.58%17.89M | 3.82%22.75M | 3.82%22.75M | 97.20%23.77M | -13.56%11.67M |
-Including:Cash | 200.32%34.03M | 196.67%45.78M | 196.67%45.78M | 85.48%24.2M | 246.73%21.32M | 50.71%11.33M | 3.56%15.43M | 3.56%15.43M | 87.26%13.05M | -27.70%6.15M |
-Including:Cash equivalents | 402.85%32.95M | 179.08%20.42M | 179.08%20.42M | 40.60%15.07M | 24.18%6.86M | -25.55%6.55M | 4.38%7.32M | 4.38%7.32M | 110.82%10.72M | 10.50%5.53M |
-Short term investments | -4.72%7.19M | 7.14%8.92M | 7.14%8.92M | -45.12%5.4M | -30.08%7.66M | -36.82%7.54M | -34.63%8.32M | -34.63%8.32M | -26.71%9.84M | -38.70%10.96M |
Receivables | -5.28%81.5M | 14.08%67.27M | 14.08%67.27M | 43.53%83.53M | -22.85%62.13M | 35.05%86.04M | 19.77%58.97M | 19.77%58.97M | 9.01%58.2M | 73.24%80.53M |
-Accounts receivable | 15.33%75.87M | 32.89%66.61M | 32.89%66.61M | 43.39%71.66M | -30.08%50.27M | 21.19%65.79M | 22.66%50.12M | 22.66%50.12M | 15.42%49.98M | 114.20%71.89M |
-Gross accounts receivable | ---- | 31.99%70.84M | 31.99%70.84M | 38.51%75.2M | -29.39%53.81M | --69.34M | 18.78%53.67M | 18.78%53.67M | 21.49%54.29M | 118.02%76.21M |
-Bad debt provision | ---- | -19.32%-4.23M | -19.32%-4.23M | 17.88%-3.55M | 17.88%-3.55M | ---3.55M | 17.88%-3.55M | 17.88%-3.55M | -209.98%-4.32M | -209.98%-4.32M |
-Other receivables | -72.21%5.63M | -92.45%668K | -92.45%668K | 44.42%11.87M | 37.29%11.86M | 114.82%20.25M | 5.71%8.85M | 5.71%8.85M | -18.53%8.22M | -33.16%8.64M |
Inventory | 8.73%16.3M | 5.54%16.29M | 5.54%16.29M | 4.65%15.98M | 4.55%17.32M | -1.66%14.99M | 22.55%15.43M | 22.55%15.43M | 102.94%15.27M | 107.87%16.57M |
Prepaid assets | ---- | -40.38%3.79M | -40.38%3.79M | ---- | ---- | ---- | 29.28%6.35M | 29.28%6.35M | ---- | ---- |
Restricted cash | -28.10%1.21M | -28.10%1.21M | -28.10%1.21M | 216.05%5.3M | 0.00%1.68M | --1.68M | -7.61%1.68M | -7.61%1.68M | -7.61%1.68M | -4.28%1.68M |
Tax assets-Current | -1.93%1.62M | -26.89%1.24M | -26.89%1.24M | -45.49%865K | -55.37%702K | 6.15%1.66M | 7.57%1.69M | 7.57%1.69M | 4.07%1.59M | 4.45%1.57M |
Total current assets | 34.68%174.8M | 43.15%164.9M | 43.15%164.9M | 36.26%150.34M | -4.32%117.67M | 19.32%129.79M | 9.95%115.2M | 9.95%115.2M | 22.96%110.33M | 38.03%122.98M |
Non current assets | ||||||||||
Net PPE | -8.67%668.01M | -7.05%692.36M | -7.05%692.36M | -0.23%701.88M | 1.46%733.12M | 3.75%731.41M | 3.26%744.85M | 3.26%744.85M | -0.09%703.49M | 0.94%722.54M |
-Gross PP&E | -8.67%668.01M | -0.81%2.04B | -0.81%2.04B | -0.23%701.88M | 1.46%733.12M | 3.75%731.41M | 2.63%2.05B | 2.63%2.05B | -0.09%703.49M | 0.94%722.54M |
-Accumulated depreciation | ---- | -2.74%-1.34B | -2.74%-1.34B | ---- | ---- | ---- | -2.28%-1.31B | -2.28%-1.31B | ---- | ---- |
Total investment | ---- | --0 | --0 | ---- | ---- | ---- | --0 | --0 | ---- | ---- |
-Long-term equity investment | ---- | --0 | --0 | ---- | ---- | ---- | --0 | --0 | ---- | ---- |
Total non current assets | -8.67%668.01M | -7.05%692.36M | -7.05%692.36M | -0.23%701.88M | 1.46%733.12M | 3.75%731.41M | 3.26%744.85M | 3.26%744.85M | -0.09%703.49M | 0.94%722.54M |
Total assets | -2.14%842.81M | -0.32%857.26M | -0.32%857.26M | 4.72%852.22M | 0.62%850.79M | 5.83%861.2M | 4.11%860.04M | 4.11%860.04M | 2.52%813.82M | 5.04%845.51M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | 18.09%87.93M | 0.27%71.57M | 0.27%71.57M | 19.50%84.14M | 15.62%76.26M | 27.19%74.46M | 18.13%71.38M | 18.13%71.38M | 33.48%70.41M | 87.83%65.96M |
-Current debt and capital lease obligation | 18.09%87.93M | 0.27%71.57M | 0.27%71.57M | 19.50%84.14M | 15.62%76.26M | 27.19%74.46M | 18.13%71.38M | 18.13%71.38M | 33.48%70.41M | 87.83%65.96M |
-Including:Current debt | 18.78%87.54M | 0.78%70.87M | 0.78%70.87M | 19.11%83.02M | 15.93%75.42M | 27.82%73.7M | 18.42%70.32M | 18.42%70.32M | 34.51%69.7M | 90.52%65.05M |
-Including:Current capital Lease obligation | -48.62%390K | -33.84%700K | -33.84%700K | 57.69%1.12M | -6.66%841K | -14.04%759K | 1.93%1.06M | 1.93%1.06M | -23.85%709K | -6.92%901K |
Payables | -34.35%32.96M | -16.83%41.99M | -16.83%41.99M | -8.44%37.31M | 12.59%43.63M | 33.32%50.21M | 6.35%50.49M | 6.35%50.49M | 30.07%40.75M | 18.41%38.75M |
-accounts payable | -34.20%32.7M | -18.55%40.59M | -18.55%40.59M | -10.17%36.57M | 11.91%43.09M | 32.26%49.7M | 27.66%49.83M | 27.66%49.83M | 29.96%40.71M | 17.64%38.5M |
-Total tax payable | -48.92%261K | -0.85%581K | -0.85%581K | 2,000.00%735K | 115.54%541K | 508.33%511K | 606.02%586K | 606.02%586K | --35K | --251K |
-Other payable | ---- | 1,013.51%824K | 1,013.51%824K | ---- | ---- | ---- | -99.11%74K | -99.11%74K | ---- | ---- |
Accrued and deferred income | -38.75%20.79M | -23.97%22.62M | -23.97%22.62M | -6.13%31.12M | -30.45%22.5M | 33.75%33.95M | 50.15%29.75M | 50.15%29.75M | 60.39%33.15M | 68.69%32.35M |
Current liabilities | -10.67%141.68M | -10.18%136.18M | -10.18%136.18M | 5.72%152.56M | 3.89%142.39M | 30.46%158.61M | 18.72%151.62M | 18.72%151.62M | 37.68%144.31M | 57.38%137.06M |
Non current liabilities | ||||||||||
Non current financial liabilities | -13.01%522.3M | -10.58%553.39M | -10.58%553.39M | -11.56%560.08M | -10.49%585.49M | -10.64%600.45M | -9.05%618.86M | -9.05%618.86M | -7.30%633.32M | -7.02%654.14M |
-Long term debt and capital lease obligation | -13.01%522.3M | -10.58%553.39M | -10.58%553.39M | -11.56%560.08M | -10.49%585.49M | -10.64%600.45M | -9.05%618.86M | -9.05%618.86M | -7.30%633.32M | -7.02%654.14M |
-Including:Long term debt | -13.33%519.89M | -10.84%551.03M | -10.84%551.03M | -11.49%559.77M | -10.42%585.02M | -10.54%599.88M | -8.99%618.06M | -8.99%618.06M | -7.21%632.46M | -6.93%653.06M |
-Including:Long term capital lease obligation | 326.15%2.41M | 192.79%2.35M | 192.79%2.35M | -63.65%313K | -56.33%473K | -57.60%566K | -40.62%804K | -40.62%804K | -46.69%861K | -41.99%1.08M |
Non current deferred liabilities | -0.28%5.06M | 6.94%5.46M | 6.94%5.46M | 10.14%5.34M | 0.06%5.38M | -18.08%5.08M | 2.31%5.1M | 2.31%5.1M | -12.81%4.84M | -2.26%5.37M |
Total non current liabilities | -12.91%527.37M | -10.44%558.84M | -10.44%558.84M | -11.40%565.42M | -10.41%590.87M | -10.70%605.53M | -8.97%623.96M | -8.97%623.96M | -7.35%638.16M | -6.99%659.51M |
Total liabilities | -12.44%669.05M | -10.39%695.02M | -10.39%695.02M | -8.24%717.98M | -7.95%733.25M | -4.45%764.14M | -4.62%775.58M | -4.62%775.58M | -1.40%782.47M | 0.06%796.57M |
Shareholders'equity | ||||||||||
Share capital | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M |
-common stock | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M | 0.00%270M |
Retained earnings | 53.99%-44.85M | 44.85%-57.84M | 44.85%-57.84M | 45.01%-75.97M | 34.97%-89.25M | 36.67%-97.47M | 31.44%-104.88M | 31.44%-104.88M | 12.23%-138.15M | 9.32%-137.24M |
Other reserves | 9.99%7.81M | 141.96%14.53M | 141.96%14.53M | 463.56%13.38M | -9.57%14.42M | 21.38%7.1M | 49.06%6M | 49.06%6M | 305.36%2.37M | 1,860.60%15.95M |
Other equity interest | 0.00%-22.66M | 0.00%-22.66M | 0.00%-22.66M | 0.00%-22.66M | 0.00%-22.66M | 0.00%-22.66M | 0.00%-22.66M | 0.00%-22.66M | 0.00%-22.66M | 0.00%-22.66M |
Total stockholders'equity | 33.97%210.3M | 37.42%204.02M | 37.42%204.02M | 65.60%184.76M | 36.87%172.52M | 58.11%156.97M | 50.87%148.47M | 50.87%148.47M | 25.66%111.56M | 32.57%126.05M |
Noncontrolling interests | 39.02%-36.53M | 34.72%-41.79M | 34.72%-41.79M | 37.02%-50.52M | 28.69%-54.98M | 29.68%-59.91M | 25.12%-64.01M | 25.12%-64.01M | 9.40%-80.21M | 10.63%-77.11M |
Total equity | 79.03%173.76M | 92.09%162.24M | 92.09%162.24M | 328.14%134.24M | 140.15%117.54M | 589.30%97.06M | 553.52%84.46M | 553.52%84.46M | 12,391.63%31.35M | 455.85%48.94M |
Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-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.
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