CHINA PPT INV 00736

CHINA PPT INV (00736) Company Profile
Code00736
Name (EN)CHINA PPT INV
BoardMain Board
ISINBMG2157U2281
Amounts are in the company's reporting currency, auto-scaled (K/M/B/T).
Income Statement
Item 2022-032023-032024-032025-032026-03
Revenue 70.05M59.75M60.19M53.53M55.72M
Gross profit 70.05M59.75M60.19M49.4M55.72M
Other income and gains, net 5.45M3.5K484.1K73K304.62K
Administrative expenses -21.79M-14.81M-23.25M-15.38M-14.85M
Operating profit 22.75M-46.14M-111.76M-57.33M-59.49M
Net finance costs -8.81M-7.92M-6.83M-7.31M-6.13M
Profit before tax 13.94M-54.06M-118.59M-64.64M-65.62M
Income tax expense -3.36M-4.01M-1.07M-384.08K
Profit for the year 10.57M-50.06M-118.59M-65.71M-66M
Profit attributable to owners 10.57M-50.06M-118.59M-65.71M-66M
Balance Sheet
Item 2022-032023-032024-032025-032026-03
Cash and cash equivalents 13.35M850.02K590.16K2.26M7.12M
Trade and bills receivables 54.07M54.98M66.38M22.05M40.79M
Total current assets 434.8M388.57M384.39M98.82M175.15M
Total assets 795.7M760.32M647.23M624.2M538.21M
Total current liabilities 81.98M86.67M107.44M82.64M67.86M
Total liabilities 197.96M185.97M183.02M182.58M174.39M
Total equity 597.74M574.35M464.21M441.62M363.82M
Equity attributable to owners 597.74M574.35M464.21M441.62M363.82M
Cash Flow Statement
Item 2022-032023-032024-032025-032026-03
Net cash from operating activities -24.22M4.83M12.76M-8.08M-28.27M
Net cash from investing activities 4.87K24.57M906928.37K12.05M
Net cash from financing activities 28.99M-41.54M-31.4M8.65M21.04M
Net increase in cash 4.78M-12.14M-18.64M1.5M4.82M
Source: HKEX public data.
Board of Directors
List as of 2022-08-30
Executive Directors
Source: HKEXnews
Corporate Actions

No corporate actions on record

// About this page //

This page shows CHINA PPT INV (00736) company profile, historical financial statements and board of directors. Financial data comes from public financial disclosures in HKEX display documents, grouped by reporting period; the director roster comes from HKEXnews.

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