Dec 23 | Dec 22 | Dec 21 | Dec 20 | Dec 19 | |
---|---|---|---|---|---|
Income Statement | |||||
Total Revenue | HK$ 196.01M | HK$ 94.53M | HK$ 206.49M | HK$ 206.32M | HK$ 235.20M |
Gross Profit | HK$ 175.87M | HK$ 76.21M | HK$ 189.46M | HK$ 189.96M | HK$ 218.53M |
Operating Income | HK$ 65.55M | HK$ 40.95M | HK$ 144.60M | HK$ 148.15M | HK$ 176.12M |
EBITDA | HK$ 106.48M | HK$ 114.73M | HK$ 112.23M | HK$ 131.10M | HK$ 120.00M |
Net Income | HK$ 48.96M | HK$ 12.27M | HK$ 190.72M | HK$ 86.77M | HK$ 60.28M |
Balance Sheet | |||||
Cash & Short-Term Investments | HK$ 125.28M | HK$ 96.96M | HK$ 143.82M | HK$ 123.24M | HK$ 80.87M |
Total Assets | HK$ 5.30B | HK$ 5.16B | HK$ 5.55B | HK$ 5.07B | HK$ 5.42B |
Total Debt | HK$ 3.98M | HK$ 7.42M | HK$ 611.00K | HK$ 5.45M | HK$ 19.09M |
Net Debt | HK$ -121.30M | HK$ -89.54M | HK$ -143.21M | HK$ -117.79M | HK$ -61.79M |
Total Liabilities | HK$ 90.79M | HK$ 93.08M | HK$ 86.60M | HK$ 89.59M | HK$ 103.04M |
Stockholders' Equity | HK$ 5.21B | HK$ 5.07B | HK$ 5.47B | HK$ 4.98B | HK$ 5.32B |
Cash Flow | |||||
Free Cash Flow | HK$ -7.00M | HK$ 60.90M | HK$ 10.64M | HK$ 31.88M | HK$ 22.01M |
Operating Cash Flow | HK$ -7.00M | HK$ 60.93M | HK$ 10.73M | HK$ 31.88M | HK$ 22.01M |
Investing Cash Flow | HK$ 72.86M | HK$ -56.66M | HK$ 70.77M | HK$ 79.21M | HK$ -56.42M |
Financing Cash Flow | HK$ -37.56M | HK$ -51.16M | HK$ -61.06M | HK$ -68.62M | HK$ -49.02M |