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Multi-dimentional Analyses
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Moomoo > Quotes > 01483 NET-A-GO TECH > Key Indicators
01483 NET-A-GO TECH
0.9600.0000.00%
YOY
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(Q6)2022/06/30(FY)2021/12/31(Q6)2021/06/30(FY)2020/12/31
Per Share IndicaTor
Operating Cash Flow Per Share
-202.89% -0.0244 -134.77% -0.0391 -206.05% -0.008 -10.35% 0.1125
Cash Flow Per Share
-100.32% -0.0005 187.24% 0.1283 472.53% 0.1567 -176.41% -0.147
Operating Income Per Share
-12.14% 0.1747 15.27% 0.4177 13.29% 0.1989 -53.88% 0.3623
Net Asset Per Share
-4.35% 0.6751 29.87% 0.6965 49.69% 0.7058 21.07% 0.5363
Basic Earning Per Share
-70.97% 0.009 -64.29% 0.05 -72.81% 0.031 216.67% 0.14
Diluted  Earning Per Share
-70.97% 0.009 -64.29% 0.05 -72.81% 0.031 -- 0.14
Profitability
Gross Profit Ratio
-41.74% 14.190% -30.83% 24.651% -28.47% 24.355% -55.76% 35.637%
Operating Profit Ratio
-58.92% 9.929% -28.03% 15.465% 12.75% 24.168% 298.08% 21.488%
Net Profit Ratio
-60.97% 7.516% -67.63% 14.545% -73.21% 19.259% 446.96% 44.934%
Earning Before Tax Ratio
-59.90% 9.833% -22.58% 17.190% 7.06% 24.525% 283.03% 22.205%
ROE
-72.09% 1.358% -73.04% 8.074% -82.01% 4.865% 177.06% 29.942%
ROA
-71.04% 0.874% -65.07% 4.957% -75.59% 3.018% 224.89% 14.190%
Yield Quality
Operating Profit To Total Profits
2.46% 100.974% -7.04% 89.963% 5.31% 98.545% -- 96.774%
Tax To Total Profits
9.74% 23.565% -36.01% 15.386% -40.24% 21.473% -- 24.043%
Operating Cash To Total Revenue
-244.72% -13.953% -130.17% -9.362% -170.18% -4.047% 94.37% 31.035%
Capital Structure
Debt Assets Ratio
8.65% 24.025% -24.51% 22.673% -35.16% 22.112% -42.03% 30.035%
Equity Multipler
4.63% 1.575 -13.40% 1.5326 -19.11% 1.5054 -32.05% 1.7697
Debt Equity Ratio
11.39% 31.622% -31.70% 29.321% -45.15% 28.390% -60.07% 42.929%
Current Assets To tatal Assets
-0.81% 60.480% 20.17% 61.485% 27.86% 60.976% 18.27% 51.165%
Non Current Assets To Total Assets
1.27% 39.520% -21.13% 38.515% -25.40% 39.024% -13.93% 48.835%
Current Liabilities To tatal Liabilities
-2.45% 78.910% -0.45% 79.357% 0.74% 80.894% 0.06% 79.714%
Non Current Liabilities To Total Liabilities
10.38% 21.090% 1.76% 20.643% -3.01% 19.106% -0.24% 20.286%
Solvency
Current Ratio
-6.42% 3.1902 59.91% 3.4172 95.76% 3.4089 103.90% 2.137
Operating Profit To Current Liabilities
-65.97% 0.0861 -1.85% 0.3363 61.49% 0.2529 291.46% 0.3426
Operrating Cash Flow To Current Liabilities
-185.56% -0.1209 -141.14% -0.2036 -287.01% -0.0424 87.87% 0.4949
Share Equity Without Minority Interest To Total Liabilities
-12.03% 2.6427 52.96% 2.8778 90.67% 3.0041 153.86% 1.8814
Operating Cash Flow To Total Liabilities
-178.57% -0.0954 -140.96% -0.1616 -289.86% -0.0343 87.99% 0.3945
Operating Profit To Total Liabilities
-66.80% 0.0679 -2.29% 0.2669 62.69% 0.2046 291.58% 0.2731
Operating Capacity
Current Assets Turnover(T)
-27.07% 0.269 -4.36% 0.7685 -12.32% 0.3688 -59.88% 0.8035
Fixed Assets Turnover(T)
-16.16% 2.3735 21.11% 5.9316 8.84% 2.8309 -37.78% 4.8976
Total Assets Turnover(T)
-21.48% 0.164 15.41% 0.4376 9.45% 0.2089 -48.70% 0.3791
Growth Ability
Operating Revenue GR 3Y
-178.34% -41.069% 37.60% -19.182% 50.75% -14.755% -213.14% -30.743%
Gross Income GR 3Y
-25.42% -89.503% -10.20% -73.040% -5.57% -71.360% -283.95% -66.281%
Operating Profit GR 3Y
-71.74% 103.497% 64.16% 331.828% 69.11% 366.179% 13,188.24% 202.132%
EBT GR 3Y
29.03% 453.933% 70.42% 345.195% 59.54% 351.796% 2,613.59% 202.555%
Net Profit GR 3Y
285.98% 1133.762% -4.26% 291.313% -38.11% 293.739% 2,842.19% 304.286%
Net Profit Attributable To The Parent Company GR 3Y
-30.64% 170.187% -11.91% 237.986% -43.93% 245.368% 947.84% 270.149%
Total Assets GR 3Y
-68.61% 28.153% 0.89% 48.488% 222.71% 89.683% -11.14% 48.062%
Share Equity Without Minority Interest GR 3Y
-30.52% 260.961% 126.50% 427.417% 236.60% 375.592% -72.92% 188.707%
Equity GR 3Y
-56.69% 198.216% 17.46% 302.409% 186.98% 457.640% -71.40% 257.461%
Total Liabilities GR 3Y
-26.43% -54.286% -41.49% -52.891% -21.03% -42.939% -171.64% -37.383%
Basic Earning Per Share GR 3Y
-28.69% 145.000% -12.00% 200.000% -38.01% 203.333% -- 227.273%
Net Assets Per Share GR 3Y
-28.59% 166.975% 110.25% 270.187% 246.55% 233.811% -75.76% 128.509%
Other Indicators
Currency Unit
HKDHKDHKDHKD

Q6, Q9, and FY are cumulative quarterly reports: Q6 is the interim report; Q9 is third quarter report; FY is the annual report.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%

Company Overview More
Net reputation Technology Co., Ltd., in the current year, the Group mainly operates three operating divisions: (I) environmental maintenance business; (ii) property leasing business; and (iii) securities trading business. 2020 is a landmark year for the Group. After the sale of all its Chinese restaurant and wedding business (the "discontinued business") (the "disposal"), the financial position of the Group has improved significantly. During the year ended 31 December 2020 (the "year"), the Company and its subsidiaries (excluding discontinued operations) were mainly engaged in environmental maintenance business, with a revenue of approximately HK $253704000, compared with approximately HK $226331000 for the year ended 31 December 2019. The total comprehensive income from continuing business attributable to equity owners of the Company for the year was approximately HK $42697000 (2019: a loss of approximately HK $20769000). During the period from 1 January 2020 to 28 May 2020, income from discontinued operations was approximately HK $21523000, compared with approximately HK $232444000 for the year ended 31 December 2019. The decrease in revenue was mainly due to (I) the outbreak of coronavirus disease ("COVID-19") in 2019 and the subsequent quarantine measures seriously affected the business environment of the catering business; (ii) the sale of two restaurants by the Group in November 2019; and (iii) the closure of two restaurants in February 2020 after the expiry of the tenancy agreement. The total comprehensive income of the discontinued business attributable to equity owners of the Company for the year is approximately HK $71697000 (2019: a loss of approximately HK $54087000). The total comprehensive income attributable to equity owners of the Company for the year was approximately HK $114394000, while the total overall loss attributable to equity owners of the Company for the year ended 31 December 2019 was approximately HK $74856000.
CEO: Kangqiao Sang
Market: Hong Kong motherboard
Listing Date: 12/10/2013
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