(FY)Feb 29, 2024 | (Q4)Feb 29, 2024 | (Q2)Aug 31, 2023 | (FY)Feb 28, 2023 | (Q4)Feb 28, 2023 | (Q2)Aug 31, 2022 | (FY)Feb 28, 2022 | (Q4)Feb 28, 2022 | (Q2)Aug 31, 2021 | (FY)Feb 28, 2021 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -39.81%296.04M | -39.81%296.04M | 37.84%497.61M | -3.26%491.87M | -3.26%491.87M | -45.79%361.01M | 0.50%508.43M | --508.43M | 45.72%665.91M | -15.18%505.92M |
-Cash and cash equivalents | 2.56%180.2M | 2.56%180.2M | -32.62%221.19M | -33.05%175.7M | -33.05%175.7M | -21.42%328.28M | -30.64%262.43M | --262.43M | -1.24%417.76M | -6.50%378.36M |
-Short-term investments | -63.36%115.84M | -63.36%115.84M | 744.57%276.42M | 28.52%316.17M | 28.52%316.17M | -86.81%32.73M | 92.86%246M | --246M | 630.00%248.16M | -33.50%127.56M |
Receivables | 37.37%26.54M | 37.37%26.54M | 57.31%25.2M | 10.09%19.32M | 10.09%19.32M | 35.63%16.02M | 60.63%17.55M | --17.55M | -29.48%11.81M | -44.66%10.93M |
-Accounts receivable | 266.29%3.25M | 266.29%3.25M | 489.29%6.22M | -56.46%887K | -56.46%887K | 112.70%1.06M | 465.83%2.04M | --2.04M | -58.07%496K | -71.45%360K |
-Related party accounts receivable | -25.73%8.26M | -25.73%8.26M | 36.73%10.41M | 214.86%11.13M | 214.86%11.13M | 892.83%7.62M | --3.53M | --3.53M | --767K | --0 |
-Other receivables | 105.67%15.03M | 105.67%15.03M | 16.63%8.57M | -39.01%7.31M | -39.01%7.31M | -30.33%7.35M | 13.37%11.98M | --11.98M | -32.23%10.55M | -42.84%10.57M |
Total current assets | -36.90%322.58M | -36.90%322.58M | 38.67%522.81M | -2.81%511.19M | -2.81%511.19M | -44.37%377.02M | 1.77%525.98M | --525.98M | 43.06%677.72M | -16.13%516.84M |
Non current assets | ||||||||||
Net PPE | 115.19%93.3M | 115.19%93.3M | 15.27%53.83M | -1.74%43.36M | -1.74%43.36M | 13.95%46.7M | -73.50%44.13M | --44.13M | -79.54%40.98M | -20.65%166.5M |
-Gross PPE | 96.66%104M | 96.66%104M | 15.27%53.83M | 1.05%52.88M | 1.05%52.88M | 13.95%46.7M | -74.79%52.33M | --52.33M | -79.54%40.98M | -16.25%207.63M |
-Accumulated depreciation | -12.27%-10.69M | -12.27%-10.69M | ---- | -16.05%-9.52M | -16.05%-9.52M | ---- | 80.04%-8.21M | ---8.21M | ---- | -8.02%-41.13M |
Goodwill and other intangible assets | 20.48%2.98M | 20.48%2.98M | 11.88%3.21M | -24.17%2.48M | -24.17%2.48M | -27.76%2.87M | -92.59%3.27M | --3.27M | -92.96%3.97M | 0.36%44.09M |
-Goodwill | --1.13M | --1.13M | --1.13M | --0 | --0 | ---- | ---- | ---- | --0 | 5.13%36.97M |
-Other intangible assets | -24.96%1.86M | -24.96%1.86M | --2.09M | -24.17%2.48M | -24.17%2.48M | ---- | -54.13%3.27M | --3.27M | -79.56%3.97M | -18.79%7.12M |
Investments and advances | 218.42%130.82M | 218.42%130.82M | -70.94%50.62M | 193.45%41.08M | 193.45%41.08M | 69,296.02%174.18M | -93.00%14M | --14M | -99.91%251K | 89.28%200.09M |
Related parties assets | -25.73%8.26M | -25.73%8.26M | 36.73%10.41M | 214.86%11.13M | 214.86%11.13M | 892.83%7.62M | --3.53M | --3.53M | --767K | --0 |
Non current deferred assets | --0 | --0 | -36.85%881K | -30.84%601K | -30.84%601K | -91.38%1.4M | -94.65%869K | --869K | -11.68%16.18M | 20.89%16.25M |
Other non current assets | 5,233.20%124.48M | 5,233.20%124.48M | -77.23%2.61M | -83.67%2.33M | -83.67%2.33M | -63.13%11.46M | -38.99%14.29M | --14.29M | 194.57%31.07M | -37.87%23.43M |
Total non current assets | 291.29%351.58M | 291.29%351.58M | -53.02%111.15M | 17.38%89.85M | 17.38%89.85M | 155.89%236.6M | -83.00%76.55M | --76.55M | -84.09%92.46M | 6.87%450.35M |
Total assets | 12.17%674.16M | 12.17%674.16M | 3.31%633.96M | -0.25%601.04M | -0.25%601.04M | -20.33%613.63M | -37.70%602.53M | --602.53M | -26.98%770.18M | -6.79%967.19M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 6.71%70.98M | 6.71%70.98M | 28.66%19.67M | -2.26%66.52M | -2.26%66.52M | 18.82%15.29M | 8.62%68.06M | --68.06M | -9.34%12.87M | 38.77%62.66M |
-Total tax payable | 20.33%21.73M | 20.33%21.73M | 19.32%17.55M | 12.80%18.06M | 12.80%18.06M | 36.68%14.71M | 22.03%16.01M | --16.01M | -11.29%10.76M | -14.06%13.12M |
-Due to related parties current | 290.31%3.38M | 290.31%3.38M | 264.32%2.12M | -1.81%867K | -1.81%867K | -72.34%583K | -40.94%883K | --883K | 2.08%2.11M | 13.00%1.5M |
-Other payable | -3.62%45.87M | -3.62%45.87M | ---- | -6.98%47.6M | -6.98%47.6M | ---- | 6.50%51.17M | --51.17M | ---- | 68.21%48.04M |
Current accrued expenses | 7.81%3.71M | 7.81%3.71M | 1.03%65.59M | -38.74%3.44M | -38.74%3.44M | -41.81%64.92M | -46.00%5.62M | --5.62M | 26.71%111.55M | -1.50%10.41M |
Current provisions | 11.27%454K | 11.27%454K | ---- | -38.55%408K | -38.55%408K | ---- | -95.90%664K | --664K | ---- | -30.07%16.21M |
Current debt and capital lease obligation | -53.26%1.18M | -53.26%1.18M | -60.93%1.77M | -20.53%2.53M | -20.53%2.53M | -78.28%4.53M | -93.95%3.19M | --3.19M | -61.18%20.83M | 1.60%52.67M |
-Current capital lease obligation | -53.26%1.18M | -53.26%1.18M | -60.93%1.77M | -20.53%2.53M | -20.53%2.53M | -78.28%4.53M | -93.95%3.19M | --3.19M | -61.18%20.83M | 1.60%52.67M |
Current deferred liabilities | 147.94%18.02M | 147.94%18.02M | 93.10%12.89M | 11.97%7.27M | 11.97%7.27M | -87.15%6.68M | -91.37%6.49M | --6.49M | -31.23%51.98M | 4.58%75.24M |
Other current liabilities | 72.91%12.46M | 72.91%12.46M | ---- | -24.53%7.21M | -24.53%7.21M | ---- | -2.54%9.55M | --9.55M | ---- | -5.18%9.8M |
Current liabilities | 22.25%106.82M | 22.25%106.82M | 9.31%99.92M | -6.62%87.38M | -6.62%87.38M | -53.65%91.41M | -58.78%93.57M | --93.57M | -14.80%197.23M | 6.56%226.99M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 3,347.45%41.2M | 3,347.45%41.2M | -77.49%1.5M | -79.19%1.2M | -79.19%1.2M | -21.05%6.67M | -93.77%5.74M | --5.74M | -93.80%8.45M | -37.53%92.14M |
-Long term debt | --40M | --40M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Long term capital lease obligation | 0.17%1.2M | 0.17%1.2M | -77.49%1.5M | -79.19%1.2M | -79.19%1.2M | -21.05%6.67M | -93.77%5.74M | --5.74M | -93.80%8.45M | -37.53%92.14M |
Non current deferred liabilities | --0 | --0 | 0.70%575K | -20.69%575K | -20.69%575K | -60.40%571K | -56.66%725K | --725K | -24.30%1.44M | -21.68%1.67M |
Total non current liabilities | 2,227.51%41.2M | 2,227.51%41.2M | -71.32%2.08M | -72.63%1.77M | -72.63%1.77M | -26.79%7.24M | -93.11%6.47M | --6.47M | -92.84%9.89M | -37.31%93.82M |
Total liabilities | 66.03%148.02M | 66.03%148.02M | 3.39%102M | -10.88%89.15M | -10.88%89.15M | -52.37%98.65M | -68.82%100.04M | --100.04M | -43.96%207.13M | -11.54%320.81M |
Shareholders'equity | ||||||||||
Share capital | 0.00%14K | 0.00%14K | ---- | 0.00%14K | 0.00%14K | ---- | -6.67%14K | --14K | ---- | 0.00%15K |
-common stock | 0.00%14K | 0.00%14K | ---- | 0.00%14K | 0.00%14K | ---- | -6.67%14K | --14K | ---- | 0.00%15K |
Retained earnings | 1.76%-277.34M | 1.76%-277.34M | ---- | -11.74%-282.3M | -11.74%-282.3M | ---- | -82.68%-252.63M | ---252.63M | ---- | -25.61%-138.29M |
Paid-in capital | 0.40%783.31M | 0.40%783.31M | ---- | 0.41%780.19M | 0.41%780.19M | ---- | 1.16%777.02M | --777.02M | ---- | 3.44%768.15M |
Less: Treasury stock | 0.28%56.09M | 0.28%56.09M | ---- | 0.43%55.93M | 0.43%55.93M | ---- | 99.62%55.69M | --55.69M | ---- | 0.00%27.9M |
Gains losses not affecting retained earnings | 59.32%25.11M | 59.32%25.11M | ---- | 169.21%15.76M | 169.21%15.76M | ---- | -71.33%-22.77M | ---22.77M | ---- | -150.93%-13.29M |
Total stockholders'equity | 3.77%475M | 3.77%475M | 4.23%477.8M | 2.64%457.73M | 2.64%457.73M | -9.29%458.42M | -24.25%445.94M | --445.94M | -21.16%505.36M | -6.67%588.69M |
Noncontrolling interests | -5.57%51.14M | -5.57%51.14M | ---- | -4.23%54.16M | -4.23%54.16M | ---- | -1.99%56.55M | --56.55M | ---- | 30.54%57.7M |
Total equity | 2.78%526.14M | 2.78%526.14M | 3.30%531.96M | 1.87%511.89M | 1.87%511.89M | -8.54%514.97M | -22.26%502.49M | --502.49M | -17.83%563.06M | -4.23%646.39M |
Currency Unit | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | Unqualified Opinion | -- | -- | -- | -- | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes |
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