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03019 MPSOL

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  • 0.100
  • 0.0000.00%
15min DelayNot Open Aug 28 11:04 CST
22.29MMarket Cap33.33P/E (TTM)

MPSOL Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-8.70%2.09M
-8.70%2.09M
-19.74%1.71M
49.29%2.28M
49.29%2.28M
28.78%2.13M
-33.61%1.53M
--1.53M
29.69%1.65M
38.83%2.3M
-Cash and cash equivalents
-26.75%1.26M
-26.75%1.26M
26.95%891.06K
376.46%1.71M
376.46%1.71M
134.94%701.88K
-41.44%359.89K
--359.89K
-74.70%298.75K
20.09%614.61K
-Including:Cash
-26.75%1.26M
-26.75%1.26M
26.95%891.06K
376.46%1.71M
376.46%1.71M
134.94%701.88K
-41.44%359.89K
--359.89K
-74.70%298.75K
20.09%614.61K
-Short term investments
45.62%829.45K
45.62%829.45K
-42.75%815.37K
-51.33%569.58K
-51.33%569.58K
5.32%1.42M
-30.76%1.17M
--1.17M
1,368.23%1.35M
47.18%1.69M
Receivables
94.39%3.14M
94.39%3.14M
26.32%4.13M
12.94%1.61M
12.94%1.61M
13.00%3.27M
-1.97%1.43M
--1.43M
-32.54%2.9M
6.98%1.46M
-Accounts receivable
98.89%583.79K
98.89%583.79K
207.81%938.43K
-7.04%293.53K
-7.04%293.53K
-4.65%304.87K
25.29%315.74K
--315.74K
-62.71%319.73K
10.63%252.01K
-Gross accounts receivable
81.59%583.79K
81.59%583.79K
----
-7.55%321.48K
-7.55%321.48K
----
22.82%347.73K
--347.73K
----
5.51%283.13K
-Bad debt provision
--0
--0
----
12.61%-27.96K
12.61%-27.96K
----
-2.82%-31.99K
---31.99K
----
23.25%-31.11K
-Other receivables
93.39%2.55M
93.39%2.55M
7.68%3.2M
18.61%1.32M
18.61%1.32M
15.19%2.97M
-7.67%1.11M
--1.11M
-25.01%2.58M
6.25%1.2M
Prepaid assets
-13.70%1.25M
-13.70%1.25M
----
-3.67%1.45M
-3.67%1.45M
----
1.86%1.5M
--1.5M
----
-9.18%1.48M
Restricted cash
----
----
----
----
----
----
--0
--0
----
----
Tax assets-Current
--0
--0
----
-7.63%356.88K
-7.63%356.88K
--0
79.42%386.35K
--386.35K
--482.6K
--215.33K
Other current assets
----
----
----
----
----
----
----
----
--77.83K
----
Total current assets
13.47%6.47M
13.47%6.47M
8.18%5.84M
17.62%5.7M
17.62%5.7M
5.70%5.4M
-11.09%4.85M
--4.85M
-8.24%5.11M
17.34%5.45M
Non current assets
Net PPE
28.16%15.64M
28.16%15.64M
-21.69%10.18M
-15.74%12.2M
-15.74%12.2M
7.20%13M
-1.26%14.48M
--14.48M
-32.01%12.13M
0.82%14.67M
-Gross PP&E
11.72%35.07M
11.72%35.07M
-21.69%10.18M
-0.15%31.39M
-0.15%31.39M
7.20%13M
2.34%31.44M
--31.44M
-32.01%12.13M
16.90%30.72M
-Accumulated depreciation
-1.26%-19.43M
-1.26%-19.43M
----
-13.15%-19.19M
-13.15%-19.19M
----
-5.62%-16.96M
---16.96M
----
-36.83%-16.05M
Total investment
-15.02%1.4M
-15.02%1.4M
-23.60%1.64M
-20.95%1.64M
-20.95%1.64M
-23.46%2.15M
-10.04%2.08M
--2.08M
--2.81M
--2.31M
-Long-term equity investment
-71.66%97.72K
-71.66%97.72K
-83.98%344.81K
-55.84%344.81K
-55.84%344.81K
-23.46%2.15M
-66.24%780.73K
--780.73K
--2.81M
--2.31M
-Financial asset investment
0.00%1.3M
0.00%1.3M
----
0.00%1.3M
0.00%1.3M
----
--1.3M
--1.3M
----
----
-Including:Financial assets designated as fair value through profit or loss, Total
0.00%1.3M
0.00%1.3M
----
0.00%1.3M
0.00%1.3M
----
--1.3M
--1.3M
----
----
-Other investment
----
----
--1.3M
----
----
----
----
----
----
----
Goodwill and other intangible assets
--0
--0
----
--0
--0
----
----
----
----
----
-Goodwill
--0
--0
----
--0
--0
----
----
----
----
----
Total non current assets
23.03%17.04M
23.03%17.04M
-21.96%11.83M
-16.39%13.85M
-16.39%13.85M
1.43%15.15M
-2.46%16.56M
--16.56M
-16.24%14.94M
16.71%16.98M
Total assets
20.24%23.51M
20.24%23.51M
-14.04%17.67M
-8.69%19.55M
-8.69%19.55M
2.52%20.55M
-4.56%21.41M
--21.41M
-14.34%20.05M
16.86%22.43M
Liabilities
Current liabilities
Financial liabilities
44.63%4.7M
44.63%4.7M
-28.79%1.85M
-43.22%3.25M
-43.22%3.25M
-8.23%2.6M
9.21%5.73M
--5.73M
-40.23%2.83M
3.63%5.24M
-Current debt and capital lease obligation
44.63%4.7M
44.63%4.7M
-28.79%1.85M
-43.22%3.25M
-43.22%3.25M
-8.23%2.6M
9.21%5.73M
--5.73M
-40.23%2.83M
3.63%5.24M
-Including:Current debt
-16.89%615.78K
-16.89%615.78K
25.18%486.01K
-18.94%740.88K
-18.94%740.88K
-2.02%388.23K
27.73%914K
--914K
100.98%396.24K
201.44%715.55K
-Including:Current capital Lease obligation
62.78%4.09M
62.78%4.09M
-38.29%1.36M
-47.83%2.51M
-47.83%2.51M
-9.24%2.21M
6.29%4.81M
--4.81M
-46.37%2.43M
-6.11%4.53M
Payables
85.51%3.29M
85.51%3.29M
51.12%4.14M
77.88%1.77M
77.88%1.77M
-22.28%2.74M
10.20%997.68K
--997.68K
104.04%3.52M
33.03%905.36K
-accounts payable
117.31%754.83K
117.31%754.83K
45.92%4M
45.83%347.36K
45.83%347.36K
-19.07%2.74M
29.32%238.19K
--238.19K
--3.38M
423.43%184.19K
-Total tax payable
--168.82K
--168.82K
--142.28K
----
----
--0
----
----
379.26%139.71K
--0
-Other payable
65.94%2.37M
65.94%2.37M
----
87.93%1.43M
87.93%1.43M
----
5.31%759.49K
--759.49K
----
13.53%721.17K
Accrued and deferred income
100.58%1.45M
100.58%1.45M
----
13.03%721.12K
13.03%721.12K
----
-60.78%637.96K
--637.96K
----
233.61%1.63M
Current liabilities
64.27%9.44M
64.27%9.44M
12.23%5.99M
-21.94%5.75M
-21.94%5.75M
-16.02%5.33M
-5.31%7.36M
--7.36M
-1.66%6.35M
24.84%7.78M
Non current liabilities
Non current financial liabilities
-8.82%5.64M
-8.82%5.64M
-41.15%4.01M
10.97%6.18M
10.97%6.18M
2.55%6.82M
-25.74%5.57M
--5.57M
-37.65%6.65M
11.22%7.5M
-Long term debt and capital lease obligation
-8.82%5.64M
-8.82%5.64M
-41.15%4.01M
10.97%6.18M
10.97%6.18M
2.55%6.82M
-25.74%5.57M
--5.57M
-37.65%6.65M
11.22%7.5M
-Including:Long term debt
-22.52%1.63M
-22.52%1.63M
-24.94%1.99M
-12.28%2.1M
-12.28%2.1M
-8.44%2.65M
-14.92%2.4M
--2.4M
79.83%2.9M
113.53%2.82M
-Including:Long term capital lease obligation
-1.74%4.01M
-1.74%4.01M
-51.47%2.02M
28.55%4.08M
28.55%4.08M
11.04%4.16M
-32.25%3.17M
--3.17M
-58.56%3.75M
-13.68%4.68M
Non current deferred liabilities
6.89%503.94K
6.89%503.94K
-76.86%154.61K
1.33%471.46K
1.33%471.46K
43.61%668.2K
0.00%465.28K
--465.28K
-4.21%465.28K
-4.21%465.28K
Other non current liabilities
----
----
----
----
----
--1
----
----
----
----
Total non current liabilities
-7.70%6.14M
-7.70%6.14M
-44.34%4.17M
10.23%6.65M
10.23%6.65M
5.24%7.48M
-24.23%6.04M
--6.04M
-36.20%7.11M
10.18%7.97M
Total liabilities
25.66%15.58M
25.66%15.58M
-20.80%10.15M
-7.45%12.4M
-7.45%12.4M
-4.79%12.82M
-14.89%13.4M
--13.4M
-23.53%13.46M
16.97%15.74M
Shareholders'equity
Share capital
0.00%9.26M
0.00%9.26M
0.00%9.26M
0.00%9.26M
0.00%9.26M
0.00%9.26M
0.00%9.26M
--9.26M
65.27%9.26M
65.27%9.26M
-common stock
0.00%9.26M
0.00%9.26M
0.00%9.26M
0.00%9.26M
0.00%9.26M
0.00%9.26M
0.00%9.26M
--9.26M
65.27%9.26M
65.27%9.26M
Retained earnings
55.14%-813.98K
55.14%-813.98K
-33.88%-1.44M
-97.88%-1.81M
-97.88%-1.81M
51.75%-1.07M
56.63%-917.02K
---917.02K
-562.44%-2.22M
-601.69%-2.11M
Fixed asset revaluation reserve
----
----
----
1.37%1.45M
1.37%1.45M
----
9.53%1.43M
--1.43M
----
-11.31%1.31M
Other reserves
65.99%-598.14K
65.99%-598.14K
31.87%-307.88K
0.00%-1.76M
0.00%-1.76M
0.00%-451.92K
0.00%-1.76M
---1.76M
74.30%-451.92K
0.00%-1.76M
Total stockholders'equity
9.96%7.84M
9.96%7.84M
-2.83%7.51M
-10.96%7.13M
-10.96%7.13M
17.46%7.73M
19.75%8.01M
--8.01M
13.58%6.58M
16.62%6.69M
Noncontrolling interests
424.67%81.43K
424.67%81.43K
----
--15.52K
--15.52K
----
----
----
----
----
Total equity
10.86%7.93M
10.86%7.93M
-2.83%7.51M
-10.76%7.15M
-10.76%7.15M
17.46%7.73M
19.75%8.01M
--8.01M
13.58%6.58M
16.62%6.69M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -8.70%2.09M-8.70%2.09M-19.74%1.71M49.29%2.28M49.29%2.28M28.78%2.13M-33.61%1.53M--1.53M29.69%1.65M38.83%2.3M
-Cash and cash equivalents -26.75%1.26M-26.75%1.26M26.95%891.06K376.46%1.71M376.46%1.71M134.94%701.88K-41.44%359.89K--359.89K-74.70%298.75K20.09%614.61K
-Including:Cash -26.75%1.26M-26.75%1.26M26.95%891.06K376.46%1.71M376.46%1.71M134.94%701.88K-41.44%359.89K--359.89K-74.70%298.75K20.09%614.61K
-Short term investments 45.62%829.45K45.62%829.45K-42.75%815.37K-51.33%569.58K-51.33%569.58K5.32%1.42M-30.76%1.17M--1.17M1,368.23%1.35M47.18%1.69M
Receivables 94.39%3.14M94.39%3.14M26.32%4.13M12.94%1.61M12.94%1.61M13.00%3.27M-1.97%1.43M--1.43M-32.54%2.9M6.98%1.46M
-Accounts receivable 98.89%583.79K98.89%583.79K207.81%938.43K-7.04%293.53K-7.04%293.53K-4.65%304.87K25.29%315.74K--315.74K-62.71%319.73K10.63%252.01K
-Gross accounts receivable 81.59%583.79K81.59%583.79K-----7.55%321.48K-7.55%321.48K----22.82%347.73K--347.73K----5.51%283.13K
-Bad debt provision --0--0----12.61%-27.96K12.61%-27.96K-----2.82%-31.99K---31.99K----23.25%-31.11K
-Other receivables 93.39%2.55M93.39%2.55M7.68%3.2M18.61%1.32M18.61%1.32M15.19%2.97M-7.67%1.11M--1.11M-25.01%2.58M6.25%1.2M
Prepaid assets -13.70%1.25M-13.70%1.25M-----3.67%1.45M-3.67%1.45M----1.86%1.5M--1.5M-----9.18%1.48M
Restricted cash --------------------------0--0--------
Tax assets-Current --0--0-----7.63%356.88K-7.63%356.88K--079.42%386.35K--386.35K--482.6K--215.33K
Other current assets ----------------------------------77.83K----
Total current assets 13.47%6.47M13.47%6.47M8.18%5.84M17.62%5.7M17.62%5.7M5.70%5.4M-11.09%4.85M--4.85M-8.24%5.11M17.34%5.45M
Non current assets
Net PPE 28.16%15.64M28.16%15.64M-21.69%10.18M-15.74%12.2M-15.74%12.2M7.20%13M-1.26%14.48M--14.48M-32.01%12.13M0.82%14.67M
-Gross PP&E 11.72%35.07M11.72%35.07M-21.69%10.18M-0.15%31.39M-0.15%31.39M7.20%13M2.34%31.44M--31.44M-32.01%12.13M16.90%30.72M
-Accumulated depreciation -1.26%-19.43M-1.26%-19.43M-----13.15%-19.19M-13.15%-19.19M-----5.62%-16.96M---16.96M-----36.83%-16.05M
Total investment -15.02%1.4M-15.02%1.4M-23.60%1.64M-20.95%1.64M-20.95%1.64M-23.46%2.15M-10.04%2.08M--2.08M--2.81M--2.31M
-Long-term equity investment -71.66%97.72K-71.66%97.72K-83.98%344.81K-55.84%344.81K-55.84%344.81K-23.46%2.15M-66.24%780.73K--780.73K--2.81M--2.31M
-Financial asset investment 0.00%1.3M0.00%1.3M----0.00%1.3M0.00%1.3M------1.3M--1.3M--------
-Including:Financial assets designated as fair value through profit or loss, Total 0.00%1.3M0.00%1.3M----0.00%1.3M0.00%1.3M------1.3M--1.3M--------
-Other investment ----------1.3M----------------------------
Goodwill and other intangible assets --0--0------0--0--------------------
-Goodwill --0--0------0--0--------------------
Total non current assets 23.03%17.04M23.03%17.04M-21.96%11.83M-16.39%13.85M-16.39%13.85M1.43%15.15M-2.46%16.56M--16.56M-16.24%14.94M16.71%16.98M
Total assets 20.24%23.51M20.24%23.51M-14.04%17.67M-8.69%19.55M-8.69%19.55M2.52%20.55M-4.56%21.41M--21.41M-14.34%20.05M16.86%22.43M
Liabilities
Current liabilities
Financial liabilities 44.63%4.7M44.63%4.7M-28.79%1.85M-43.22%3.25M-43.22%3.25M-8.23%2.6M9.21%5.73M--5.73M-40.23%2.83M3.63%5.24M
-Current debt and capital lease obligation 44.63%4.7M44.63%4.7M-28.79%1.85M-43.22%3.25M-43.22%3.25M-8.23%2.6M9.21%5.73M--5.73M-40.23%2.83M3.63%5.24M
-Including:Current debt -16.89%615.78K-16.89%615.78K25.18%486.01K-18.94%740.88K-18.94%740.88K-2.02%388.23K27.73%914K--914K100.98%396.24K201.44%715.55K
-Including:Current capital Lease obligation 62.78%4.09M62.78%4.09M-38.29%1.36M-47.83%2.51M-47.83%2.51M-9.24%2.21M6.29%4.81M--4.81M-46.37%2.43M-6.11%4.53M
Payables 85.51%3.29M85.51%3.29M51.12%4.14M77.88%1.77M77.88%1.77M-22.28%2.74M10.20%997.68K--997.68K104.04%3.52M33.03%905.36K
-accounts payable 117.31%754.83K117.31%754.83K45.92%4M45.83%347.36K45.83%347.36K-19.07%2.74M29.32%238.19K--238.19K--3.38M423.43%184.19K
-Total tax payable --168.82K--168.82K--142.28K----------0--------379.26%139.71K--0
-Other payable 65.94%2.37M65.94%2.37M----87.93%1.43M87.93%1.43M----5.31%759.49K--759.49K----13.53%721.17K
Accrued and deferred income 100.58%1.45M100.58%1.45M----13.03%721.12K13.03%721.12K-----60.78%637.96K--637.96K----233.61%1.63M
Current liabilities 64.27%9.44M64.27%9.44M12.23%5.99M-21.94%5.75M-21.94%5.75M-16.02%5.33M-5.31%7.36M--7.36M-1.66%6.35M24.84%7.78M
Non current liabilities
Non current financial liabilities -8.82%5.64M-8.82%5.64M-41.15%4.01M10.97%6.18M10.97%6.18M2.55%6.82M-25.74%5.57M--5.57M-37.65%6.65M11.22%7.5M
-Long term debt and capital lease obligation -8.82%5.64M-8.82%5.64M-41.15%4.01M10.97%6.18M10.97%6.18M2.55%6.82M-25.74%5.57M--5.57M-37.65%6.65M11.22%7.5M
-Including:Long term debt -22.52%1.63M-22.52%1.63M-24.94%1.99M-12.28%2.1M-12.28%2.1M-8.44%2.65M-14.92%2.4M--2.4M79.83%2.9M113.53%2.82M
-Including:Long term capital lease obligation -1.74%4.01M-1.74%4.01M-51.47%2.02M28.55%4.08M28.55%4.08M11.04%4.16M-32.25%3.17M--3.17M-58.56%3.75M-13.68%4.68M
Non current deferred liabilities 6.89%503.94K6.89%503.94K-76.86%154.61K1.33%471.46K1.33%471.46K43.61%668.2K0.00%465.28K--465.28K-4.21%465.28K-4.21%465.28K
Other non current liabilities ----------------------1----------------
Total non current liabilities -7.70%6.14M-7.70%6.14M-44.34%4.17M10.23%6.65M10.23%6.65M5.24%7.48M-24.23%6.04M--6.04M-36.20%7.11M10.18%7.97M
Total liabilities 25.66%15.58M25.66%15.58M-20.80%10.15M-7.45%12.4M-7.45%12.4M-4.79%12.82M-14.89%13.4M--13.4M-23.53%13.46M16.97%15.74M
Shareholders'equity
Share capital 0.00%9.26M0.00%9.26M0.00%9.26M0.00%9.26M0.00%9.26M0.00%9.26M0.00%9.26M--9.26M65.27%9.26M65.27%9.26M
-common stock 0.00%9.26M0.00%9.26M0.00%9.26M0.00%9.26M0.00%9.26M0.00%9.26M0.00%9.26M--9.26M65.27%9.26M65.27%9.26M
Retained earnings 55.14%-813.98K55.14%-813.98K-33.88%-1.44M-97.88%-1.81M-97.88%-1.81M51.75%-1.07M56.63%-917.02K---917.02K-562.44%-2.22M-601.69%-2.11M
Fixed asset revaluation reserve ------------1.37%1.45M1.37%1.45M----9.53%1.43M--1.43M-----11.31%1.31M
Other reserves 65.99%-598.14K65.99%-598.14K31.87%-307.88K0.00%-1.76M0.00%-1.76M0.00%-451.92K0.00%-1.76M---1.76M74.30%-451.92K0.00%-1.76M
Total stockholders'equity 9.96%7.84M9.96%7.84M-2.83%7.51M-10.96%7.13M-10.96%7.13M17.46%7.73M19.75%8.01M--8.01M13.58%6.58M16.62%6.69M
Noncontrolling interests 424.67%81.43K424.67%81.43K------15.52K--15.52K--------------------
Total equity 10.86%7.93M10.86%7.93M-2.83%7.51M-10.76%7.15M-10.76%7.15M17.46%7.73M19.75%8.01M--8.01M13.58%6.58M16.62%6.69M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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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