08062 俊盟国际
实时 按盘价 跌0.300 -0.010 (-3.226%)
最新  |  全年  |  中期
2023/09 - 中期
港元()
与去年末期
比较
2023/03
港元()
2022/03
港元()
2021/03
港元()
2020/03
港元()
非流动资产
投资物业0--0000
物业、厂房、设备及其他11,791,000-3.027%12,159,00015,134,00012,096,0004,437,000
租賃土地6,883,000-3.165%7,108,0007,235,00001,444,000
无形资产13,170,000-7.280%14,204,00016,505,0001,912,0001,685,000
联营公司及共同控制公司权益0--0002,971,000
其他非流动资产183,000-82.267%1,032,000254,00013,225,0004,302,000
32,027,000-7.176%34,503,00039,128,00027,233,00014,839,000
流动资产
存货8,355,00051.578%5,512,00013,728,0006,231,00010,428,000
现金及银行结存72,552,000-0.777%73,120,00056,427,00054,833,00034,844,000
其他流动资产38,424,00019.448%32,168,00042,564,00039,967,00058,451,000
持作出售资产0--0000
119,331,0007.699%110,800,000112,719,000101,031,000103,723,000
流动负债
其他流动负债25,116,00028.622%19,527,00030,627,00012,860,00018,909,000
持作出售资产相关负债0--0000
25,116,00028.622%19,527,00030,627,00012,860,00018,909,000
流动资产净值94,215,0003.223%91,273,00082,092,00088,171,00084,814,000
资产总额减流动负债126,242,0000.370%125,776,000121,220,000115,404,00099,653,000
非流动负债
252,000-69.380%823,000884,000952,000222,000
资本及储备
  股本4,800,0000.000%4,800,0004,800,0004,800,0004,800,000
  储备120,309,0000.732%119,435,000115,076,000109,458,00094,648,000
  其他0--0000
股东资金125,109,0000.704%124,235,000119,876,000114,258,00099,448,000
非控股权益881,00022.702%718,000460,000194,000(17,000)
其他0--0000
125,990,0000.830%124,953,000120,336,000114,452,00099,431,000
承担及或然负债
承担----109,00008,435,0002,000,000
或然负债----0000
备注: 实时报价更新时间为31/05/2024 17:59
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证券代号
公司名称(中/英/关键字)
行业
 
股东应占溢利/(亏损) ()HKD 10,648,000
增长率5.031%
每股盈利/(亏损)HKD 0.022
每股账面资产净值 ($)HKD 0.261