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SK Target Group Ltd. (HK:8427)
:8427
Hong Kong Market

SK Target Group Ltd. (8427) Financial Statements

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SK Target Group Ltd. Financial Overview

SK Target Group Ltd.'s market cap is currently HK$315.91M. The company's EPS TTM is HK$0.023; its P/E ratio is 816.10; SK Target Group Ltd. is scheduled to report earnings on September 2, 2025, and the estimated EPS forecast is HK$―. See an overview of income statement, balance sheet, and cash flow financials.
Jun 24Jun 23Jun 22Jun 21Jun 20
Income Statement
Total RevenueRM 30.68MRM 30.30MRM 21.29MRM 22.62MRM 23.01M
Gross ProfitRM 8.56MRM 6.92MRM 3.57MRM 5.53MRM 6.68M
Operating IncomeRM 356.00KRM -146.00KRM -1.95MRM -3.09MRM -4.69M
EBITDARM 2.64MRM 2.18MRM -118.00KRM -1.01MRM -423.00K
Net IncomeRM 108.00KRM 88.00KRM -1.92MRM -4.85MRM -4.43M
Balance Sheet
Cash & Short-Term InvestmentsRM 28.23MRM 28.07MRM 22.80MRM 23.20MRM 22.85M
Total AssetsRM 50.61MRM 50.66MRM 41.69MRM 42.41MRM 46.19M
Total DebtRM 3.85MRM 4.31MRM 1.45MRM 1.53MRM 3.38M
Net DebtRM -24.38MRM -2.52MRM -21.35MRM -21.67MRM -19.47M
Total LiabilitiesRM 14.31MRM 15.48MRM 8.78MRM 8.82MRM 10.08M
Stockholders' EquityRM 36.30MRM 35.17MRM 32.91MRM 33.59MRM 36.11M
Cash Flow
Free Cash FlowRM -1.00MRM 3.21MRM -1.04MRM -1.62MRM 106.00K
Operating Cash FlowRM -441.00KRM 3.50MRM -845.00KRM 122.00KRM 437.00K
Investing Cash FlowRM 1.24MRM 390.00KRM 141.00KRM -1.28MRM -574.00K
Financing Cash FlowRM -54.00KRM 1.10MRM 434.00KRM 1.56MRM 2.46M
Currency in MYR

SK Target Group Ltd. Earnings and Revenue History

SK Target Group Ltd. Debt to Assets

SK Target Group Ltd. Cash Flow

SK Target Group Ltd. Forecast EPS vs Actual EPS

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