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01903 JBB BUILDERS

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  • 0.470
  • 0.0000.00%
Trading May 3 13:02 CST
235.00MMarket Cap-9400P/E (TTM)

JBB BUILDERS Key Stats

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YOY yoy
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(Q6)Dec 31, 2023
(FY)Jun 30, 2023
(Q6)Jun 30, 2023
(FY)Jun 30, 2022
(Q6)Jun 30, 2022
(FY)Jun 30, 2021
(Q6)Jun 30, 2021
(FY)Jun 30, 2020
(Q6)Jun 30, 2020
(FY)Jun 30, 2019
Assets
Current assets
Accounts receivable
-25.51%104.26M
-63.75%50.74M
-63.75%50.74M
43.89%139.96M
43.89%139.96M
14.83%97.27M
14.83%97.27M
-19.67%84.7M
-19.67%84.7M
-63.51%105.44M
Withholding and tax receivable
-20.33%1.91M
-33.56%1.59M
-33.56%1.59M
6.44%2.4M
6.44%2.4M
10.51%2.25M
10.51%2.25M
-19.42%2.04M
-19.42%2.04M
883.66%2.53M
Cash and equivalents
-12.76%74.96M
-9.79%77.51M
-9.79%77.51M
0.72%85.92M
0.72%85.92M
12.30%85.31M
12.30%85.31M
-33.73%75.97M
-33.73%75.97M
175.28%114.64M
Fixed time deposit-current assets
----
2.36%5.42M
2.36%5.42M
1.85%5.3M
1.85%5.3M
4.06%5.2M
4.06%5.2M
--5M
--5M
----
Secured deposit
-21.34%9.88M
-22.23%9.77M
-22.23%9.77M
28.21%12.56M
28.21%12.56M
6.74%9.8M
6.74%9.8M
64.10%9.18M
64.10%9.18M
0.68%5.59M
Financial assets at fair value-current assets
----
----
----
----
----
--1.05M
--1.05M
----
----
----
Special items of current assets
-61.35%10.34M
-51.78%12.91M
-51.78%12.91M
-41.15%26.77M
-41.15%26.77M
8.19%45.48M
8.19%45.48M
-58.90%42.04M
-58.90%42.04M
--102.28M
Total current assets
-26.22%201.35M
-42.13%157.94M
-42.13%157.94M
10.78%272.9M
10.78%272.9M
12.53%246.35M
12.53%246.35M
-33.76%218.92M
-33.76%218.92M
-13.20%330.48M
Non-current assets
Property, plant and equipment
14.33%1.08M
-5.63%889K
-5.63%889K
-32.71%942K
-32.71%942K
-70.07%1.4M
-70.07%1.4M
-48.42%4.68M
-48.42%4.68M
-37.30%9.07M
Investment property
0.00%2.2M
0.00%2.2M
0.00%2.2M
0.00%2.2M
0.00%2.2M
-18.82%2.2M
-18.82%2.2M
-17.88%2.71M
-17.88%2.71M
--3.3M
Advance payment
149.91%45.04M
219.24%57.54M
219.24%57.54M
-7.12%18.02M
-7.12%18.02M
-13.69%19.4M
-13.69%19.4M
--22.48M
--22.48M
----
Interests in Joint Venture
-27.45%259K
-26.05%264K
-26.05%264K
-12.93%357K
-12.93%357K
37.58%410K
37.58%410K
-11.04%298K
-11.04%298K
-16.46%335K
Deferred tax assets
-91.42%32K
-89.81%38K
-89.81%38K
262.14%373K
262.14%373K
-91.93%103K
-91.93%103K
301.26%1.28M
301.26%1.28M
7.43%318K
Total non-current assets
122.01%48.61M
178.27%60.93M
178.27%60.93M
-6.90%21.9M
-6.90%21.9M
-25.21%23.52M
-25.21%23.52M
141.49%31.44M
141.49%31.44M
-31.20%13.02M
Total assets
-15.21%249.96M
-25.76%218.87M
-25.76%218.87M
9.24%294.79M
9.24%294.79M
7.79%269.87M
7.79%269.87M
-27.11%250.37M
-27.11%250.37M
-14.05%343.5M
Liabilities
Current liabilities
Accounts payable
-22.53%106.26M
-48.94%70.03M
-48.94%70.03M
1.14%137.17M
1.14%137.17M
21.27%135.62M
21.27%135.62M
-43.98%111.84M
-43.98%111.84M
-39.20%199.63M
Tax payable
-49.10%1.18M
-60.07%928K
-60.07%928K
506.79%2.32M
506.79%2.32M
--383K
--383K
----
----
-77.74%2.17M
Bank loans and overdrafts
19.74%3.99M
13.08%3.77M
13.08%3.77M
24.60%3.33M
24.60%3.33M
--2.68M
--2.68M
----
----
-28.84%501K
Financial lease liabilities-current liabilities
-13.52%243K
-6.76%262K
-6.76%262K
-2.77%281K
-2.77%281K
-47.26%289K
-47.26%289K
-53.99%548K
-53.99%548K
-21.49%1.19M
Special items of current liabilities
----
----
----
1,409.68%1.87M
1,409.68%1.87M
-90.33%124K
-90.33%124K
1,340.45%1.28M
1,340.45%1.28M
--89K
Total current liabilities
-22.97%111.68M
-48.27%74.99M
-48.27%74.99M
4.23%144.98M
4.23%144.98M
22.37%139.09M
22.37%139.09M
-44.17%113.67M
-44.17%113.67M
-42.36%203.58M
Net current assets
-29.90%89.67M
-35.16%82.95M
-35.16%82.95M
19.26%127.92M
19.26%127.92M
1.90%107.26M
1.90%107.26M
-17.05%105.26M
-17.05%105.26M
360.91%126.9M
Total assets less current liabilities
-7.70%138.28M
-3.97%143.88M
-3.97%143.88M
14.56%149.82M
14.56%149.82M
-4.33%130.78M
-4.33%130.78M
-2.30%136.7M
-2.30%136.7M
201.18%139.92M
Non-current liabilities
Long-term bank loan
-18.46%8.41M
0.93%10.41M
0.93%10.41M
30.76%10.32M
30.76%10.32M
--7.89M
--7.89M
----
----
----
Financial lease liabilities-non-current liabilities
4.94%255K
-43.21%138K
-43.21%138K
-53.45%243K
-53.45%243K
-29.93%522K
-29.93%522K
-35.50%745K
-35.50%745K
-40.74%1.16M
Deferred tax liability
--36K
----
----
----
----
----
----
----
----
-52.65%626K
Total non-current liabilities
-17.58%8.7M
-0.09%10.55M
-0.09%10.55M
25.54%10.56M
25.54%10.56M
1,028.99%8.41M
1,028.99%8.41M
-58.17%745K
-58.17%745K
-45.55%1.78M
Total liabilities
-22.60%120.38M
-45.00%85.54M
-45.00%85.54M
5.45%155.53M
5.45%155.53M
28.92%147.5M
28.92%147.5M
-44.29%114.41M
-44.29%114.41M
-42.39%205.36M
Total assets less total liabilities
-6.95%129.58M
-4.26%133.33M
-4.26%133.33M
13.80%139.26M
13.80%139.26M
-10.00%122.37M
-10.00%122.37M
-1.58%135.96M
-1.58%135.96M
219.87%138.14M
Total equity and non-current liabilities
-7.70%138.28M
-3.97%143.88M
-3.97%143.88M
14.56%149.82M
14.56%149.82M
-4.33%130.78M
-4.33%130.78M
-2.30%136.7M
-2.30%136.7M
201.18%139.92M
Equity
Share capital
0.00%2.67M
0.00%2.67M
0.00%2.67M
0.00%2.67M
0.00%2.67M
0.00%2.67M
0.00%2.67M
0.00%2.67M
0.00%2.67M
-58.89%2.67M
Reserve
-6.26%119.33M
-3.49%122.85M
-3.49%122.85M
14.30%127.3M
14.30%127.3M
-9.39%111.38M
-9.39%111.38M
-0.28%122.92M
-0.28%122.92M
421.44%123.26M
Legal reserve
-6.26%119.33M
-3.49%122.85M
-3.49%122.85M
14.30%127.3M
14.30%127.3M
-9.39%111.38M
-9.39%111.38M
-0.28%122.92M
-0.28%122.92M
421.44%123.26M
Shareholders' Equity
-6.14%122M
-3.42%125.53M
-3.42%125.53M
13.96%129.97M
13.96%129.97M
-9.19%114.05M
-9.19%114.05M
-0.27%125.59M
-0.27%125.59M
317.85%125.94M
Non-controlling interest
-18.41%7.58M
-16.01%7.8M
-16.01%7.8M
11.63%9.29M
11.63%9.29M
-19.71%8.32M
-19.71%8.32M
-15.06%10.36M
-15.06%10.36M
-6.48%12.2M
Total equity
-6.95%129.58M
-4.26%133.33M
-4.26%133.33M
13.80%139.26M
13.80%139.26M
-10.00%122.37M
-10.00%122.37M
-1.58%135.96M
-1.58%135.96M
219.87%138.14M
Total equity and total liabilities
-15.21%249.96M
-25.76%218.87M
-25.76%218.87M
9.24%294.79M
9.24%294.79M
7.79%269.87M
7.79%269.87M
-27.11%250.37M
-27.11%250.37M
-14.05%343.5M
Currency Unit
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
HKAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
Crowe Malaysia PLT
--
Crowe Malaysia PLT
--
Crowe Malaysia PLT
--
Guofi Haohua (Hong Kong) Certified Public Accountants Limited
--
Guofi Haohua (Hong Kong) Certified Public Accountants Limited
(Q6)Dec 31, 2023(FY)Jun 30, 2023(Q6)Jun 30, 2023(FY)Jun 30, 2022(Q6)Jun 30, 2022(FY)Jun 30, 2021(Q6)Jun 30, 2021(FY)Jun 30, 2020(Q6)Jun 30, 2020(FY)Jun 30, 2019
Assets
Current assets
Accounts receivable -25.51%104.26M-63.75%50.74M-63.75%50.74M43.89%139.96M43.89%139.96M14.83%97.27M14.83%97.27M-19.67%84.7M-19.67%84.7M-63.51%105.44M
Withholding and tax receivable -20.33%1.91M-33.56%1.59M-33.56%1.59M6.44%2.4M6.44%2.4M10.51%2.25M10.51%2.25M-19.42%2.04M-19.42%2.04M883.66%2.53M
Cash and equivalents -12.76%74.96M-9.79%77.51M-9.79%77.51M0.72%85.92M0.72%85.92M12.30%85.31M12.30%85.31M-33.73%75.97M-33.73%75.97M175.28%114.64M
Fixed time deposit-current assets ----2.36%5.42M2.36%5.42M1.85%5.3M1.85%5.3M4.06%5.2M4.06%5.2M--5M--5M----
Secured deposit -21.34%9.88M-22.23%9.77M-22.23%9.77M28.21%12.56M28.21%12.56M6.74%9.8M6.74%9.8M64.10%9.18M64.10%9.18M0.68%5.59M
Financial assets at fair value-current assets ----------------------1.05M--1.05M------------
Special items of current assets -61.35%10.34M-51.78%12.91M-51.78%12.91M-41.15%26.77M-41.15%26.77M8.19%45.48M8.19%45.48M-58.90%42.04M-58.90%42.04M--102.28M
Total current assets -26.22%201.35M-42.13%157.94M-42.13%157.94M10.78%272.9M10.78%272.9M12.53%246.35M12.53%246.35M-33.76%218.92M-33.76%218.92M-13.20%330.48M
Non-current assets
Property, plant and equipment 14.33%1.08M-5.63%889K-5.63%889K-32.71%942K-32.71%942K-70.07%1.4M-70.07%1.4M-48.42%4.68M-48.42%4.68M-37.30%9.07M
Investment property 0.00%2.2M0.00%2.2M0.00%2.2M0.00%2.2M0.00%2.2M-18.82%2.2M-18.82%2.2M-17.88%2.71M-17.88%2.71M--3.3M
Advance payment 149.91%45.04M219.24%57.54M219.24%57.54M-7.12%18.02M-7.12%18.02M-13.69%19.4M-13.69%19.4M--22.48M--22.48M----
Interests in Joint Venture -27.45%259K-26.05%264K-26.05%264K-12.93%357K-12.93%357K37.58%410K37.58%410K-11.04%298K-11.04%298K-16.46%335K
Deferred tax assets -91.42%32K-89.81%38K-89.81%38K262.14%373K262.14%373K-91.93%103K-91.93%103K301.26%1.28M301.26%1.28M7.43%318K
Total non-current assets 122.01%48.61M178.27%60.93M178.27%60.93M-6.90%21.9M-6.90%21.9M-25.21%23.52M-25.21%23.52M141.49%31.44M141.49%31.44M-31.20%13.02M
Total assets -15.21%249.96M-25.76%218.87M-25.76%218.87M9.24%294.79M9.24%294.79M7.79%269.87M7.79%269.87M-27.11%250.37M-27.11%250.37M-14.05%343.5M
Liabilities
Current liabilities
Accounts payable -22.53%106.26M-48.94%70.03M-48.94%70.03M1.14%137.17M1.14%137.17M21.27%135.62M21.27%135.62M-43.98%111.84M-43.98%111.84M-39.20%199.63M
Tax payable -49.10%1.18M-60.07%928K-60.07%928K506.79%2.32M506.79%2.32M--383K--383K---------77.74%2.17M
Bank loans and overdrafts 19.74%3.99M13.08%3.77M13.08%3.77M24.60%3.33M24.60%3.33M--2.68M--2.68M---------28.84%501K
Financial lease liabilities-current liabilities -13.52%243K-6.76%262K-6.76%262K-2.77%281K-2.77%281K-47.26%289K-47.26%289K-53.99%548K-53.99%548K-21.49%1.19M
Special items of current liabilities ------------1,409.68%1.87M1,409.68%1.87M-90.33%124K-90.33%124K1,340.45%1.28M1,340.45%1.28M--89K
Total current liabilities -22.97%111.68M-48.27%74.99M-48.27%74.99M4.23%144.98M4.23%144.98M22.37%139.09M22.37%139.09M-44.17%113.67M-44.17%113.67M-42.36%203.58M
Net current assets -29.90%89.67M-35.16%82.95M-35.16%82.95M19.26%127.92M19.26%127.92M1.90%107.26M1.90%107.26M-17.05%105.26M-17.05%105.26M360.91%126.9M
Total assets less current liabilities -7.70%138.28M-3.97%143.88M-3.97%143.88M14.56%149.82M14.56%149.82M-4.33%130.78M-4.33%130.78M-2.30%136.7M-2.30%136.7M201.18%139.92M
Non-current liabilities
Long-term bank loan -18.46%8.41M0.93%10.41M0.93%10.41M30.76%10.32M30.76%10.32M--7.89M--7.89M------------
Financial lease liabilities-non-current liabilities 4.94%255K-43.21%138K-43.21%138K-53.45%243K-53.45%243K-29.93%522K-29.93%522K-35.50%745K-35.50%745K-40.74%1.16M
Deferred tax liability --36K---------------------------------52.65%626K
Total non-current liabilities -17.58%8.7M-0.09%10.55M-0.09%10.55M25.54%10.56M25.54%10.56M1,028.99%8.41M1,028.99%8.41M-58.17%745K-58.17%745K-45.55%1.78M
Total liabilities -22.60%120.38M-45.00%85.54M-45.00%85.54M5.45%155.53M5.45%155.53M28.92%147.5M28.92%147.5M-44.29%114.41M-44.29%114.41M-42.39%205.36M
Total assets less total liabilities -6.95%129.58M-4.26%133.33M-4.26%133.33M13.80%139.26M13.80%139.26M-10.00%122.37M-10.00%122.37M-1.58%135.96M-1.58%135.96M219.87%138.14M
Total equity and non-current liabilities -7.70%138.28M-3.97%143.88M-3.97%143.88M14.56%149.82M14.56%149.82M-4.33%130.78M-4.33%130.78M-2.30%136.7M-2.30%136.7M201.18%139.92M
Equity
Share capital 0.00%2.67M0.00%2.67M0.00%2.67M0.00%2.67M0.00%2.67M0.00%2.67M0.00%2.67M0.00%2.67M0.00%2.67M-58.89%2.67M
Reserve -6.26%119.33M-3.49%122.85M-3.49%122.85M14.30%127.3M14.30%127.3M-9.39%111.38M-9.39%111.38M-0.28%122.92M-0.28%122.92M421.44%123.26M
Legal reserve -6.26%119.33M-3.49%122.85M-3.49%122.85M14.30%127.3M14.30%127.3M-9.39%111.38M-9.39%111.38M-0.28%122.92M-0.28%122.92M421.44%123.26M
Shareholders' Equity -6.14%122M-3.42%125.53M-3.42%125.53M13.96%129.97M13.96%129.97M-9.19%114.05M-9.19%114.05M-0.27%125.59M-0.27%125.59M317.85%125.94M
Non-controlling interest -18.41%7.58M-16.01%7.8M-16.01%7.8M11.63%9.29M11.63%9.29M-19.71%8.32M-19.71%8.32M-15.06%10.36M-15.06%10.36M-6.48%12.2M
Total equity -6.95%129.58M-4.26%133.33M-4.26%133.33M13.80%139.26M13.80%139.26M-10.00%122.37M-10.00%122.37M-1.58%135.96M-1.58%135.96M219.87%138.14M
Total equity and total liabilities -15.21%249.96M-25.76%218.87M-25.76%218.87M9.24%294.79M9.24%294.79M7.79%269.87M7.79%269.87M-27.11%250.37M-27.11%250.37M-14.05%343.5M
Currency Unit MYRMYRMYRMYRMYRMYRMYRMYRMYRMYR
Accounting Standards IASIASIASIASIASIASIASIASIASHKAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Crowe Malaysia PLT--Crowe Malaysia PLT--Crowe Malaysia PLT--Guofi Haohua (Hong Kong) Certified Public Accountants Limited--Guofi Haohua (Hong Kong) 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.

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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