Dec 23 | Dec 22 | Dec 21 | Dec 20 | Dec 19 | |
---|---|---|---|---|---|
Income Statement | |||||
Total Revenue | HK$ 143.41M | HK$ 185.01M | HK$ 154.25M | HK$ 173.48M | HK$ 220.26M |
Gross Profit | HK$ 7.86M | HK$ 22.49M | HK$ 17.08M | HK$ 22.77M | HK$ 30.26M |
Operating Income | HK$ -25.28M | HK$ -23.93M | HK$ -41.85M | HK$ -1.08M | HK$ 4.34M |
EBITDA | HK$ -25.34M | HK$ -18.62M | HK$ -36.77M | HK$ 3.54M | HK$ 7.51M |
Net Income | HK$ -30.32M | HK$ -24.64M | HK$ -42.64M | HK$ -2.29M | HK$ 2.26M |
Balance Sheet | |||||
Cash & Short-Term Investments | HK$ 362.00K | HK$ 10.87M | HK$ 9.73M | HK$ 23.64M | HK$ 13.87M |
Total Assets | HK$ 132.74M | HK$ 188.08M | HK$ 235.53M | HK$ 181.37M | HK$ 181.75M |
Total Debt | HK$ 9.37M | HK$ 34.07M | HK$ 57.84M | HK$ 39.82M | HK$ 35.36M |
Net Debt | HK$ 9.00M | HK$ 23.20M | HK$ 48.10M | HK$ 16.18M | HK$ 21.49M |
Total Liabilities | HK$ 91.27M | HK$ 116.28M | HK$ 139.10M | HK$ 99.35M | HK$ 97.44M |
Stockholders' Equity | HK$ 41.47M | HK$ 71.79M | HK$ 96.43M | HK$ 82.02M | HK$ 84.31M |
Cash Flow | |||||
Free Cash Flow | HK$ 7.45M | HK$ 7.06M | HK$ -21.21M | HK$ 9.68M | HK$ -34.34M |
Operating Cash Flow | HK$ 7.45M | HK$ 7.26M | HK$ -21.14M | HK$ 14.88M | HK$ -26.59M |
Investing Cash Flow | HK$ -451.00K | HK$ 18.38M | HK$ -1.76M | HK$ -5.38M | HK$ -7.73M |
Financing Cash Flow | HK$ -17.51M | HK$ -24.51M | HK$ 9.00M | HK$ 272.00K | HK$ 19.85M |