Dec 23 | Dec 22 | Dec 21 | Dec 20 | Dec 19 | |
---|---|---|---|---|---|
Income Statement | |||||
Total Revenue | HK$ 152.95M | HK$ 125.09M | HK$ 121.67M | HK$ 127.59M | HK$ 114.49M |
Gross Profit | HK$ 18.31M | HK$ 18.71M | HK$ 20.96M | HK$ 10.27M | HK$ 23.63M |
Operating Income | HK$ -9.25M | HK$ -5.85M | HK$ -4.14M | HK$ -15.34M | HK$ 60.00K |
EBITDA | HK$ 2.89M | HK$ 2.35M | HK$ -293.00K | HK$ -6.70M | HK$ 1.07M |
Net Income | HK$ 680.00K | HK$ 238.00K | HK$ -2.23M | HK$ -8.46M | HK$ 1.01M |
Balance Sheet | |||||
Cash & Short-Term Investments | HK$ 88.37M | HK$ 68.43M | HK$ 90.05M | HK$ 96.86M | HK$ 101.09M |
Total Assets | HK$ 172.71M | HK$ 164.37M | HK$ 171.50M | HK$ 168.38M | HK$ 186.53M |
Total Debt | HK$ 1.51M | HK$ 1.29M | HK$ 2.01M | HK$ 3.10M | HK$ 3.38M |
Net Debt | HK$ -86.86M | HK$ -67.14M | HK$ -53.05M | HK$ -38.77M | HK$ -97.71M |
Total Liabilities | HK$ 20.89M | HK$ 13.22M | HK$ 20.59M | HK$ 15.25M | HK$ 24.93M |
Stockholders' Equity | HK$ 151.83M | HK$ 151.15M | HK$ 150.91M | HK$ 153.13M | HK$ 161.60M |
Cash Flow | |||||
Free Cash Flow | HK$ 21.42M | HK$ -19.72M | HK$ -4.95M | HK$ -1.25M | HK$ -7.50M |
Operating Cash Flow | HK$ 21.61M | HK$ -19.17M | HK$ -4.87M | HK$ -870.00K | HK$ -7.44M |
Investing Cash Flow | HK$ 3.69M | HK$ 34.82M | HK$ 19.92M | HK$ -55.38M | HK$ -58.00K |
Financing Cash Flow | HK$ -1.51M | HK$ -1.90M | HK$ -1.87M | HK$ -1.62M | HK$ -1.15M |