(Q2)Mar 31, 2024 | (FY)Sep 30, 2023 | (Q4)Sep 30, 2023 | (Q2)Mar 31, 2023 | (FY)Sep 30, 2022 | (Q4)Sep 30, 2022 | (Q2)Mar 31, 2022 | (FY)Sep 30, 2021 | (Q4)Sep 30, 2021 | (Q2)Mar 31, 2021 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 22.94%24.03M | 9.36%18.33M | 9.36%18.33M | 79.56%19.55M | -2.92%16.76M | -2.92%16.76M | -33.58%10.89M | -30.04%17.27M | -30.04%17.27M | -37.34%16.39M |
-Cash and cash equivalents | 22.94%24.03M | 9.36%18.33M | 9.36%18.33M | 79.56%19.55M | -2.92%16.76M | -2.92%16.76M | -30.99%10.89M | -30.04%17.27M | -30.04%17.27M | -37.20%15.77M |
-Short-term investments | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -40.81%615K |
-Accounts receivable | 44.84%81.37M | 7.66%43.6M | 7.66%43.6M | 18.86%56.18M | 67.14%40.5M | 67.14%40.5M | 2.88%47.26M | -3.34%24.23M | -3.34%24.23M | -17.19%45.94M |
-Gross accounts receivable | ---- | 7.27%46.25M | 7.27%46.25M | ---- | 56.24%43.12M | 56.24%43.12M | ---- | -2.89%27.6M | -2.89%27.6M | ---- |
-Bad debt provision | ---- | -1.11%-2.65M | -1.11%-2.65M | ---- | 22.16%-2.62M | 22.16%-2.62M | ---- | -0.48%-3.37M | -0.48%-3.37M | ---- |
-Other receivables | ---- | -80.37%2.29M | -80.37%2.29M | ---- | 1,945.52%11.64M | 1,945.52%11.64M | ---- | -70.02%569K | -70.02%569K | ---- |
Inventory | -11.29%54.17M | 7.68%53.41M | 7.68%53.41M | 76.89%61.06M | 22.56%49.6M | 22.56%49.6M | 5.58%34.52M | -4.83%40.47M | -4.83%40.47M | -26.14%32.69M |
Prepaid assets | ---- | -64.05%7.1M | -64.05%7.1M | ---- | 24.11%19.74M | 24.11%19.74M | ---- | -6.91%15.91M | -6.91%15.91M | ---- |
Total current assets | -24.85%159.57M | 43.98%199.34M | 43.98%199.34M | 88.08%212.32M | -24.52%138.45M | -24.52%138.45M | 18.12%112.89M | 64.34%183.42M | 64.34%183.42M | -24.15%95.57M |
Non current assets | ||||||||||
Net PPE | -6.28%296.66M | -22.63%303.37M | -22.63%303.37M | -20.56%316.55M | -6.73%392.11M | -6.73%392.11M | -24.24%398.45M | -20.87%420.42M | -20.87%420.42M | -7.49%525.95M |
-Gross PP&E | -6.28%296.66M | -15.23%500.58M | -15.23%500.58M | -20.56%316.55M | 1.74%590.52M | 1.74%590.52M | -24.24%398.45M | -19.67%580.44M | -19.67%580.44M | -7.49%525.95M |
-Accumulated depreciation | ---- | 0.60%-197.21M | 0.60%-197.21M | ---- | -23.99%-198.41M | -23.99%-198.41M | ---- | 16.32%-160.02M | 16.32%-160.02M | ---- |
Total investment | 26.97%9.06M | -22.71%7.62M | -22.71%7.62M | -20.84%7.13M | 10.24%9.86M | 10.24%9.86M | -1.68%9.01M | -1.02%8.95M | -1.02%8.95M | 20.01%9.17M |
-Long-term equity investment | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
-Including:Available-for-sale securities | 26.97%9.06M | -22.71%7.62M | -22.71%7.62M | -20.84%7.13M | 10.24%9.86M | 10.24%9.86M | -1.68%9.01M | -1.02%8.95M | -1.02%8.95M | 20.01%9.17M |
Goodwill and other intangible assets | -1.09%28.59M | 9.13%28.76M | 9.13%28.76M | 20.60%28.9M | 10.52%26.35M | 10.52%26.35M | -0.80%23.97M | -1.58%23.85M | -1.58%23.85M | -0.38%24.16M |
-Goodwill | 0.00%17.04M | 0.00%17.04M | 0.00%17.04M | 0.00%17.04M | 0.00%17.04M | 0.00%17.04M | --17.04M | 0.00%17.04M | 0.00%17.04M | ---- |
-Other intangible assets | -2.65%11.55M | 25.84%11.72M | 25.84%11.72M | 71.29%11.87M | 36.85%9.31M | 36.85%9.31M | --6.93M | -5.31%6.81M | -5.31%6.81M | ---- |
Total non current assets | -2.12%363.57M | -17.72%369.13M | -17.72%369.13M | -17.82%371.43M | -5.34%448.63M | -5.34%448.63M | -22.11%451.95M | -19.30%473.96M | -19.30%473.96M | -6.97%580.25M |
Total assets | -10.38%523.13M | -3.17%568.47M | -3.17%568.47M | 3.35%583.75M | -10.69%587.08M | -10.69%587.08M | -16.42%564.84M | -5.94%657.37M | -5.94%657.37M | -9.86%675.82M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
-Current debt and capital lease obligation | -41.68%82.02M | 23.17%133.05M | 23.17%133.05M | 61.96%140.62M | -31.17%108.02M | -31.17%108.02M | 13.74%86.83M | 100.23%156.94M | 100.23%156.94M | 3.07%76.33M |
-Including:Current debt | -51.43%57.1M | 28.44%109.11M | 28.44%109.11M | 85.69%117.55M | -35.57%84.95M | -35.57%84.95M | 23.19%63.3M | 165.19%131.85M | 165.19%131.85M | 5.07%51.39M |
-Including:Current capital Lease obligation | 8.00%24.92M | 3.74%23.94M | 3.74%23.94M | -1.90%23.08M | -8.05%23.08M | -8.05%23.08M | -5.71%23.52M | -12.44%25.1M | -12.44%25.1M | -0.83%24.95M |
Payables | 5.32%105.27M | 17.08%90.5M | 17.08%90.5M | 12.72%99.96M | 6.54%77.3M | 6.54%77.3M | -3.45%88.67M | 13.00%72.55M | 13.00%72.55M | 19.39%91.84M |
-accounts payable | 9.17%101.19M | 60.58%54.83M | 60.58%54.83M | 25.22%92.69M | 11.17%34.15M | 11.17%34.15M | -19.38%74.02M | 3.74%30.72M | 3.74%30.72M | 19.46%91.82M |
-Total tax payable | 85.07%496K | 7.86%3.49M | 7.86%3.49M | 30.10%268K | 864.48%3.23M | 864.48%3.23M | 758.33%206K | 4.69%335K | 4.69%335K | -65.22%24K |
-Other payable | -48.81%3.58M | -19.38%32.19M | -19.38%32.19M | -51.55%7M | -3.81%39.92M | -3.81%39.92M | --14.45M | 21.07%41.5M | 21.07%41.5M | ---- |
Current liabilities | -22.15%187.29M | 16.89%248.19M | 16.89%248.19M | 37.08%240.58M | -16.80%212.33M | -16.80%212.33M | 4.35%175.5M | 56.52%255.19M | 56.52%255.19M | 10.97%168.18M |
Non current liabilities | ||||||||||
-Long term debt and capital lease obligation | -10.20%145.67M | -28.54%148.58M | -28.54%148.58M | -28.84%162.23M | -10.69%207.93M | -10.69%207.93M | -27.35%227.97M | -27.12%232.81M | -27.12%232.81M | 0.47%313.79M |
-Including:Long term debt | -4.02%52.76M | -50.80%50.1M | -50.80%50.1M | -55.07%54.97M | -19.55%101.82M | -19.55%101.82M | -36.58%122.34M | -35.95%126.56M | -35.95%126.56M | 1.99%192.89M |
-Including:Long term capital lease obligation | -13.38%92.91M | -7.19%98.48M | -7.19%98.48M | 1.54%107.26M | -0.13%106.12M | -0.13%106.12M | -12.63%105.63M | -12.79%106.25M | -12.79%106.25M | -1.87%120.9M |
Long-term accounts payable and other payables | --9M | --9M | --9M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Long term provisions | 0.33%4.92M | 7.31%4.88M | 7.31%4.88M | 16.78%4.9M | 16.51%4.54M | 16.51%4.54M | 10.63%4.2M | 6.24%3.9M | 6.24%3.9M | 21.03%3.79M |
Total non current liabilities | -4.47%163.04M | -23.20%165.9M | -23.20%165.9M | -27.70%170.67M | -10.23%216.02M | -10.23%216.02M | -26.56%236.05M | -26.40%240.62M | -26.40%240.62M | 0.40%321.39M |
Total liabilities | -14.81%350.32M | -3.33%414.09M | -3.33%414.09M | -0.07%411.25M | -13.61%428.35M | -13.61%428.35M | -15.94%411.55M | 1.19%495.82M | 1.19%495.82M | 3.80%489.57M |
Shareholders'equity | ||||||||||
Share capital | 0.00%208.14M | 17.02%208.14M | 17.02%208.14M | 17.02%208.14M | 0.00%177.87M | 0.00%177.87M | 0.00%177.87M | 0.00%177.87M | 0.00%177.87M | 0.00%177.87M |
-common stock | 0.00%208.14M | 17.02%208.14M | 17.02%208.14M | 17.02%208.14M | 0.00%177.87M | 0.00%177.87M | 0.00%177.87M | 0.00%177.87M | 0.00%177.87M | 0.00%177.87M |
Retained earnings | -14.14%-43.59M | -132.99%-59.95M | -132.99%-59.95M | -34.54%-38.19M | -33.74%-25.73M | -33.74%-25.73M | -716.66%-28.39M | -165.97%-19.24M | -165.97%-19.24M | -96.12%4.6M |
Total stockholders'equity | 0.18%172.81M | -2.74%154.38M | -2.74%154.38M | 12.53%172.51M | -1.75%158.73M | -1.75%158.73M | -17.69%153.3M | -22.68%161.56M | -22.68%161.56M | -33.02%186.25M |
Total equity | 0.18%172.81M | -2.74%154.38M | -2.74%154.38M | 12.53%172.51M | -1.75%158.73M | -1.75%158.73M | -17.69%153.3M | -22.68%161.56M | -22.68%161.56M | -33.02%186.25M |
Currency Unit | MYR | MYR | MYR | MYR | MYR | MYR | MYR | MYR | MYR | MYR |
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