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00858 EXTRAWELL PHAR

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  • 0.055
  • +0.008+17.02%
Not Open Dec 16 16:08 CST
131.45MMarket Cap0.74P/E (TTM)

EXTRAWELL PHAR Key Stats

All
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(Q6)Sep 30, 2023
(FY)Mar 31, 2023
(Q6)Sep 30, 2022
(FY)Mar 31, 2022
(Q6)Sep 30, 2021
(FY)Mar 31, 2021
(Q6)Sep 30, 2020
(FY)Mar 31, 2020
(Q6)Sep 30, 2019
Cash flow from operating activities
Earning before tax
-221.85%-159.51M
----
-1.08%130.9M
----
210.59%132.33M
----
-239.97%-119.66M
----
34.90%85.49M
----
Profit adjustment
Interest (income) - adjustment
-89.95%-5.67M
----
-176.99%-2.99M
----
79.13%-1.08M
----
59.68%-5.17M
----
-28.64%-12.81M
----
Interest expense - adjustment
20.25%18.8M
----
18.19%15.64M
----
17.67%13.23M
----
20.26%11.24M
----
19.49%9.35M
----
Attributable subsidiary (profit) loss
-40.89%2.28M
----
5.37%3.85M
----
26.88%3.65M
----
-9.04%2.88M
----
248.57%3.17M
----
Impairment and provisions:
217.15%5.1M
----
-79.80%1.61M
----
305.05%7.96M
----
-136.33%-3.88M
----
5,015.31%10.69M
----
-Impairmen of inventory (reversal)
-256.52%-180K
----
--115K
----
----
----
-123.72%-60K
----
675.00%253K
----
-Impairment of trade receivables (reversal)
-88.81%89K
----
392.28%795K
----
90.04%-272K
----
-146.11%-2.73M
----
2,221.96%5.92M
----
-Other impairments and provisions
643.06%5.19M
----
-91.51%699K
----
852.83%8.24M
----
-124.22%-1.09M
----
225,950.00%4.52M
----
Revaluation surplus:
183.78%132.93M
----
5.91%-158.66M
----
-261.06%-168.64M
----
203.28%104.7M
----
-26.96%-101.38M
----
-Other fair value changes
183.78%132.93M
----
5.91%-158.66M
----
-261.06%-168.64M
----
203.28%104.7M
----
-26.96%-101.38M
----
Asset sale loss (gain):
----
----
----
----
--55K
----
----
----
-111.58%-85K
----
-Loss (gain) on sale of property, machinery and equipment
----
----
----
----
--55K
----
----
----
-111.58%-85K
----
Depreciation and amortization:
2.93%8.93M
----
0.87%8.67M
----
7.47%8.6M
----
28.22%8M
----
-0.53%6.24M
----
-Other depreciation and amortization
4.88%-117K
----
3.91%-123K
----
-4.07%-128K
----
-1.65%-123K
----
-426.09%-121K
----
Operating profit before the change of operating capital
391.14%2.86M
----
74.72%-982K
----
-105.88%-3.89M
----
-385.05%-1.89M
----
106.31%662K
----
Change of operating capital
Inventory (increase) decrease
-184.63%-4.13M
----
875.40%4.89M
----
61.42%-630K
----
-485.30%-1.63M
----
83.39%-279K
----
Accounts receivable (increase)decrease
36.39%1.37M
----
-68.52%1M
----
287.12%3.19M
----
-87.02%823K
----
100.13%6.34M
----
Accounts payable increase (decrease)
-1,129.21%-1.83M
----
-95.36%178K
----
747.02%3.84M
----
124.02%453K
----
-256.00%-1.89M
----
Advance payment increase (decrease)
14.87%-4.73M
----
---5.56M
----
----
----
89.28%-2.16M
----
-345.77%-20.15M
----
prepayments (increase)decrease
-13.26%1.77M
----
148.34%2.04M
----
-217.16%-4.21M
----
80.74%3.6M
----
172.51%1.99M
----
Financial assets at fair value (increase)decrease
--1.09M
----
----
----
----
----
----
----
----
----
Cash  from business operations
-332.20%-3.62M
----
191.49%1.56M
----
-110.89%-1.7M
----
93.93%-808K
----
11.49%-13.32M
----
Other taxs
81.79%-69K
----
-511.29%-379K
----
-40.91%-62K
----
-162.86%-44K
----
284.21%70K
----
Special items of business
----
-85.09%-6.38M
----
3.93%-3.45M
----
-823.39%-3.59M
----
106.36%496K
----
24.60%-7.8M
Net cash from operations
-412.63%-3.69M
-85.09%-6.38M
166.82%1.18M
3.93%-3.45M
-107.28%-1.77M
-823.39%-3.59M
93.57%-852K
106.36%496K
12.18%-13.25M
24.60%-7.8M
Cash flow from investment activities
Interest received - investment
101.83%4.29M
----
603.97%2.13M
----
-63.70%302K
----
-72.50%832K
----
-89.18%3.03M
----
Loan receivable (increase) decrease
----
----
---5.88M
----
----
----
----
----
60.29%-9.8M
----
Decrease in deposits (increase)
-154.42%-1.05M
----
3,970.00%1.94M
----
74.36%-50K
----
60.92%-195K
----
-1.42%-499K
----
Sale of fixed assets
----
----
----
----
----
----
----
----
-27.97%85K
----
Purchase of fixed assets
81.83%-1.2M
----
31.27%-6.62M
----
-1,235.37%-9.63M
----
-345.06%-721K
----
88.54%-162K
----
Recovery of cash from investments
----
----
----
----
----
----
-21.57%40K
----
-10.53%51K
----
Other items in the investment business
----
27.62%-4.43M
----
-2,426.86%-6.12M
----
-278.13%-242K
----
99.24%-64K
----
-140.41%-8.45M
Net cash from investment operations
124.13%2.04M
27.62%-4.43M
10.03%-8.44M
-2,426.86%-6.12M
-21,209.09%-9.38M
-278.13%-242K
99.40%-44K
99.24%-64K
-334.39%-7.3M
-140.41%-8.45M
Net cash before financing
77.22%-1.65M
-13.01%-10.81M
34.88%-7.26M
-149.66%-9.56M
-1,143.53%-11.14M
-986.57%-3.83M
95.64%-896K
102.66%432K
-71.61%-20.55M
-253.65%-16.25M
Cash flow from financing activities
Interest paid - financing
-219.57%-294K
----
---92K
----
----
----
----
----
---33K
----
Other items of the financing business
---4.89M
10.82%-882K
----
-4.00%-989K
36.32%-135K
0.00%-951K
---212K
---951K
----
----
Net cash from financing operations
-172.43%-6.5M
10.82%-882K
-23.36%-2.39M
-4.00%-989K
-1.63%-1.94M
0.00%-951K
-690.04%-1.9M
---951K
---241K
----
Effect of rate
-489.57%-635K
62.56%-927K
109.30%163K
-2,620.88%-2.48M
-157.01%-1.75M
---91K
283.57%3.07M
----
-88.51%-1.67M
19.15%-1.22M
Net Cash
15.42%-8.16M
-10.78%-11.69M
26.26%-9.64M
-120.69%-10.55M
-367.04%-13.08M
-821.19%-4.78M
86.53%-2.8M
96.81%-519K
-73.62%-20.79M
-253.65%-16.25M
Begining period cash
-8.47%102.4M
-8.47%102.4M
-11.70%111.88M
-11.70%111.88M
0.22%126.71M
0.22%126.71M
-15.09%126.44M
-15.09%126.44M
-7.95%148.9M
-7.95%148.9M
Cash at the end
-8.58%93.61M
-9.17%89.79M
-8.47%102.4M
-18.86%98.85M
-11.70%111.88M
-3.24%121.84M
0.22%126.71M
-4.20%125.92M
-15.09%126.44M
-23.07%131.43M
Cash balance analysis
Cash and bank balance
----
----
----
----
----
----
----
----
-15.09%126.44M
----
Cash and cash equivalent balance
----
----
----
----
----
----
----
----
-15.09%126.44M
----
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
--
--
Auditor
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
(FY)Mar 31, 2024(Q6)Sep 30, 2023(FY)Mar 31, 2023(Q6)Sep 30, 2022(FY)Mar 31, 2022(Q6)Sep 30, 2021(FY)Mar 31, 2021(Q6)Sep 30, 2020(FY)Mar 31, 2020(Q6)Sep 30, 2019
Cash flow from operating activities
Earning before tax -221.85%-159.51M-----1.08%130.9M----210.59%132.33M-----239.97%-119.66M----34.90%85.49M----
Profit adjustment
Interest (income) - adjustment -89.95%-5.67M-----176.99%-2.99M----79.13%-1.08M----59.68%-5.17M-----28.64%-12.81M----
Interest expense - adjustment 20.25%18.8M----18.19%15.64M----17.67%13.23M----20.26%11.24M----19.49%9.35M----
Attributable subsidiary (profit) loss -40.89%2.28M----5.37%3.85M----26.88%3.65M-----9.04%2.88M----248.57%3.17M----
Impairment and provisions: 217.15%5.1M-----79.80%1.61M----305.05%7.96M-----136.33%-3.88M----5,015.31%10.69M----
-Impairmen of inventory (reversal) -256.52%-180K------115K-------------123.72%-60K----675.00%253K----
-Impairment of trade receivables (reversal) -88.81%89K----392.28%795K----90.04%-272K-----146.11%-2.73M----2,221.96%5.92M----
-Other impairments and provisions 643.06%5.19M-----91.51%699K----852.83%8.24M-----124.22%-1.09M----225,950.00%4.52M----
Revaluation surplus: 183.78%132.93M----5.91%-158.66M-----261.06%-168.64M----203.28%104.7M-----26.96%-101.38M----
-Other fair value changes 183.78%132.93M----5.91%-158.66M-----261.06%-168.64M----203.28%104.7M-----26.96%-101.38M----
Asset sale loss (gain): ------------------55K-------------111.58%-85K----
-Loss (gain) on sale of property, machinery and equipment ------------------55K-------------111.58%-85K----
Depreciation and amortization: 2.93%8.93M----0.87%8.67M----7.47%8.6M----28.22%8M-----0.53%6.24M----
-Other depreciation and amortization 4.88%-117K----3.91%-123K-----4.07%-128K-----1.65%-123K-----426.09%-121K----
Operating profit before the change of operating capital 391.14%2.86M----74.72%-982K-----105.88%-3.89M-----385.05%-1.89M----106.31%662K----
Change of operating capital
Inventory (increase) decrease -184.63%-4.13M----875.40%4.89M----61.42%-630K-----485.30%-1.63M----83.39%-279K----
Accounts receivable (increase)decrease 36.39%1.37M-----68.52%1M----287.12%3.19M-----87.02%823K----100.13%6.34M----
Accounts payable increase (decrease) -1,129.21%-1.83M-----95.36%178K----747.02%3.84M----124.02%453K-----256.00%-1.89M----
Advance payment increase (decrease) 14.87%-4.73M-------5.56M------------89.28%-2.16M-----345.77%-20.15M----
prepayments (increase)decrease -13.26%1.77M----148.34%2.04M-----217.16%-4.21M----80.74%3.6M----172.51%1.99M----
Financial assets at fair value (increase)decrease --1.09M------------------------------------
Cash  from business operations -332.20%-3.62M----191.49%1.56M-----110.89%-1.7M----93.93%-808K----11.49%-13.32M----
Other taxs 81.79%-69K-----511.29%-379K-----40.91%-62K-----162.86%-44K----284.21%70K----
Special items of business -----85.09%-6.38M----3.93%-3.45M-----823.39%-3.59M----106.36%496K----24.60%-7.8M
Net cash from operations -412.63%-3.69M-85.09%-6.38M166.82%1.18M3.93%-3.45M-107.28%-1.77M-823.39%-3.59M93.57%-852K106.36%496K12.18%-13.25M24.60%-7.8M
Cash flow from investment activities
Interest received - investment 101.83%4.29M----603.97%2.13M-----63.70%302K-----72.50%832K-----89.18%3.03M----
Loan receivable (increase) decrease -----------5.88M--------------------60.29%-9.8M----
Decrease in deposits (increase) -154.42%-1.05M----3,970.00%1.94M----74.36%-50K----60.92%-195K-----1.42%-499K----
Sale of fixed assets ---------------------------------27.97%85K----
Purchase of fixed assets 81.83%-1.2M----31.27%-6.62M-----1,235.37%-9.63M-----345.06%-721K----88.54%-162K----
Recovery of cash from investments -------------------------21.57%40K-----10.53%51K----
Other items in the investment business ----27.62%-4.43M-----2,426.86%-6.12M-----278.13%-242K----99.24%-64K-----140.41%-8.45M
Net cash from investment operations 124.13%2.04M27.62%-4.43M10.03%-8.44M-2,426.86%-6.12M-21,209.09%-9.38M-278.13%-242K99.40%-44K99.24%-64K-334.39%-7.3M-140.41%-8.45M
Net cash before financing 77.22%-1.65M-13.01%-10.81M34.88%-7.26M-149.66%-9.56M-1,143.53%-11.14M-986.57%-3.83M95.64%-896K102.66%432K-71.61%-20.55M-253.65%-16.25M
Cash flow from financing activities
Interest paid - financing -219.57%-294K-------92K-----------------------33K----
Other items of the financing business ---4.89M10.82%-882K-----4.00%-989K36.32%-135K0.00%-951K---212K---951K--------
Net cash from financing operations -172.43%-6.5M10.82%-882K-23.36%-2.39M-4.00%-989K-1.63%-1.94M0.00%-951K-690.04%-1.9M---951K---241K----
Effect of rate -489.57%-635K62.56%-927K109.30%163K-2,620.88%-2.48M-157.01%-1.75M---91K283.57%3.07M-----88.51%-1.67M19.15%-1.22M
Net Cash 15.42%-8.16M-10.78%-11.69M26.26%-9.64M-120.69%-10.55M-367.04%-13.08M-821.19%-4.78M86.53%-2.8M96.81%-519K-73.62%-20.79M-253.65%-16.25M
Begining period cash -8.47%102.4M-8.47%102.4M-11.70%111.88M-11.70%111.88M0.22%126.71M0.22%126.71M-15.09%126.44M-15.09%126.44M-7.95%148.9M-7.95%148.9M
Cash at the end -8.58%93.61M-9.17%89.79M-8.47%102.4M-18.86%98.85M-11.70%111.88M-3.24%121.84M0.22%126.71M-4.20%125.92M-15.09%126.44M-23.07%131.43M
Cash balance analysis
Cash and bank balance ---------------------------------15.09%126.44M----
Cash and cash equivalent balance ---------------------------------15.09%126.44M----
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion------
Auditor Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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