HK Stock MarketDetailed Quotes

08513 MAXWIN INT HLDG

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  • 0.209
  • -0.011-5.00%
Market Closed Mar 28 16:08 CST
142.55MMarket Cap-4750P/E (TTM)

MAXWIN INT HLDG Key Stats

All
YOY yoy
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(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
(FY)Dec 31, 2019
(Q6)Jun 30, 2019
Assets
Current assets
Inventory
-65.25%1.05M
-0.76%3.15M
-17.98%3.02M
-24.46%3.18M
-9.52%3.68M
-10.93%4.21M
345.13%4.06M
285.87%4.72M
-26.96%913K
-31.66%1.22M
Accounts receivable
-32.30%3.2M
-34.12%4.14M
-28.25%4.73M
6.92%6.29M
-31.66%6.59M
-16.94%5.88M
78.26%9.65M
72.82%7.08M
36.42%5.41M
-21.48%4.1M
Cash and equivalents
-29.63%1.6M
-71.21%1.8M
-44.31%2.27M
2.60%6.27M
-6.83%4.08M
75.11%6.11M
26.58%4.38M
-18.92%3.49M
-46.06%3.46M
-44.87%4.3M
Financial assets at fair value-current assets
----
----
--1.39M
----
----
----
----
----
----
----
Special items of current assets
68.00%84K
-6.85%68K
-96.88%50K
-93.99%73K
250.33%1.6M
35.60%1.22M
-28.48%457K
-10.85%896K
1.27%639K
--1.01M
Total current assets
-48.22%5.93M
-41.99%9.17M
-28.17%11.46M
-9.22%15.81M
-14.00%15.95M
7.55%17.41M
77.94%18.55M
52.31%16.19M
-14.98%10.42M
-28.25%10.63M
Non-current assets
Property, plant and equipment
-47.01%842K
9.41%1.34M
20.11%1.59M
-16.42%1.22M
-18.63%1.32M
-14.15%1.46M
-14.65%1.63M
-76.31%1.7M
8.36%1.91M
246.08%7.19M
Intangible assets
----
-33.33%20K
-39.39%20K
-96.10%30K
-95.85%33K
-0.39%769K
1,249.15%796K
1,002.86%772K
-15.71%59K
-13.58%70K
Goodwill
----
----
----
----
----
-1.78%6.85M
--6.85M
--6.97M
----
----
Special items of non-current assets
1.02%3.28M
35.14%4.36M
-9.77%3.25M
-23.53%3.22M
-17.08%3.6M
-11.43%4.22M
-19.61%4.35M
450.93%4.76M
525.58%5.41M
--864K
Total non-current assets
-15.10%4.13M
27.66%5.71M
-2.00%4.86M
-66.33%4.48M
-63.57%4.96M
-6.42%13.29M
84.72%13.61M
74.88%14.2M
148.78%7.37M
175.88%8.12M
Total assets
-38.35%10.06M
-26.62%14.88M
-21.96%16.32M
-33.94%20.28M
-34.98%20.91M
1.02%30.7M
80.75%32.16M
62.09%30.39M
16.88%17.79M
5.59%18.75M
Liabilities
Current liabilities
Accounts payable
-45.53%1.61M
-8.05%2.86M
-5.08%2.95M
-13.36%3.11M
-27.28%3.11M
-6.95%3.59M
49.28%4.27M
20.36%3.85M
66.55%2.86M
40.87%3.2M
Tax payable
-84.31%8K
-78.22%49K
-80.61%51K
-3.02%225K
-7.07%263K
-7.20%232K
2,076.92%283K
190.70%250K
-90.65%13K
-57.84%86K
Bank loans and overdrafts
313.38%1.3M
271.16%798K
-31.29%314K
-66.25%215K
-28.82%457K
-75.59%637K
-22.84%642K
179.44%2.61M
-59.36%832K
-63.54%934K
Provision-current liabilities
--268K
----
----
----
----
----
----
----
----
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Financial lease liabilities-current liabilities
2.82%1.39M
-6.49%1.46M
-21.82%1.35M
-10.98%1.56M
5.00%1.72M
4.42%1.75M
8.39%1.64M
-53.38%1.67M
--1.51M
--3.59M
Special items of current liabilities
----
-92.78%100K
-87.88%206K
-42.15%1.39M
-47.74%1.7M
475.48%2.39M
--3.25M
--416K
----
----
Total current liabilities
-6.20%4.57M
-18.94%5.26M
-32.86%4.87M
-24.53%6.49M
-28.15%7.25M
-2.35%8.6M
93.24%10.09M
12.68%8.8M
33.73%5.22M
55.05%7.81M
Net current assets
-79.25%1.37M
-58.04%3.91M
-24.26%6.59M
5.72%9.32M
2.89%8.7M
19.36%8.82M
62.58%8.46M
162.25%7.39M
-37.75%5.2M
-71.19%2.82M
Total assets less current liabilities
-52.02%5.49M
-30.24%9.62M
-16.18%11.45M
-37.60%13.8M
-38.10%13.66M
2.40%22.11M
75.56%22.07M
97.38%21.59M
11.07%12.57M
-14.00%10.94M
Non-current liabilities
Long-term bank loan
----
----
-92.00%2K
-98.40%14K
-97.16%25K
1,358.33%875K
1,120.83%879K
-28.57%60K
-25.00%72K
-47.50%84K
Financial lease liabilities-non-current liabilities
68.69%1.56M
116.53%1.85M
-30.02%923K
-50.15%853K
-32.39%1.32M
-25.32%1.71M
-35.97%1.95M
67.59%2.29M
--3.05M
--1.37M
Deferred tax liability
-29.22%155K
58.70%219K
57.55%219K
5.34%138K
6.11%139K
-64.59%131K
1,771.43%131K
151.70%370K
-95.24%7K
0.00%147K
Provision-non-current liabilities
-22.71%912K
-17.31%1.18M
-17.31%1.18M
0.00%1.43M
0.00%1.43M
-1.52%1.43M
0.00%1.43M
1.54%1.45M
0.00%1.43M
0.00%1.43M
Total non-current liabilities
12.91%2.62M
33.47%3.25M
-20.14%2.32M
-41.31%2.43M
-33.68%2.91M
-0.62%4.14M
-3.62%4.39M
37.85%4.17M
172.63%4.55M
74.45%3.03M
Total liabilities
-0.03%7.19M
-4.65%8.51M
-29.21%7.19M
-29.99%8.92M
-29.83%10.16M
-1.80%12.74M
48.12%14.48M
19.71%12.97M
75.34%9.78M
60.02%10.84M
Total assets less total liabilities
-68.56%2.87M
-43.87%6.38M
-15.11%9.13M
-36.74%11.36M
-39.20%10.75M
3.12%17.96M
120.53%17.68M
120.13%17.42M
-16.90%8.02M
-27.97%7.91M
Total equity and non-current liabilities
-52.02%5.49M
-30.24%9.62M
-16.18%11.45M
-37.60%13.8M
-38.10%13.66M
2.40%22.11M
75.56%22.07M
97.38%21.59M
11.07%12.57M
-14.00%10.94M
Equity
Share capital
19.61%1.18M
0.00%984K
19.71%984K
24.09%984K
3.66%822K
-0.13%793K
15.09%793K
15.24%794K
0.00%689K
0.00%689K
Share premium
4.22%19.06M
0.00%18.29M
8.67%18.29M
20.91%18.29M
11.26%16.83M
-0.68%15.13M
70.25%15.13M
71.42%15.23M
0.00%8.89M
0.00%8.89M
Capital reserve
0.00%3.12M
0.00%3.12M
0.00%3.12M
0.00%3.12M
0.00%3.12M
0.00%3.12M
0.00%3.12M
0.00%3.12M
0.00%3.12M
0.00%3.12M
Exchange reserve
----
-211.76%-76K
-116.26%-20K
-67.31%68K
-14.58%123K
1,790.91%208K
14,300.00%144K
--11K
--1K
----
Other reserves
----
----
----
-90.97%172K
-90.97%172K
-11.44%1.9M
--1.9M
--2.15M
----
----
Retained profit
-49.16%-20.47M
-37.24%-16.3M
-25.17%-13.73M
-231.47%-11.88M
-180.22%-10.97M
21.35%-3.58M
16.69%-3.91M
4.49%-4.56M
-54.66%-4.7M
-180.98%-4.77M
Shareholders' Equity
-66.65%2.88M
-44.08%6.01M
-14.39%8.65M
-38.79%10.75M
-41.19%10.1M
4.89%17.57M
114.77%17.17M
111.43%16.75M
-17.18%8M
-27.95%7.92M
Non-controlling interest
-103.14%-15K
-40.10%366K
-26.35%478K
53.90%611K
28.01%649K
-40.92%397K
2,314.29%507K
8,500.00%672K
362.50%21K
11.11%-8K
Total equity
-68.56%2.87M
-43.87%6.38M
-15.11%9.13M
-36.74%11.36M
-39.20%10.75M
3.12%17.96M
120.53%17.68M
120.13%17.42M
-16.90%8.02M
-27.97%7.91M
Total equity and total liabilities
-38.35%10.06M
-26.62%14.88M
-21.96%16.32M
-33.94%20.28M
-34.98%20.91M
1.02%30.7M
80.75%32.16M
62.09%30.39M
16.88%17.79M
5.59%18.75M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Auditor
--
--
Zhongzheng Tianheng Accountants Co., Ltd.
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
PriceWaterhouseCoopers LLP
--
(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Jun 30, 2022(FY)Dec 31, 2021(Q6)Jun 30, 2021(FY)Dec 31, 2020(Q6)Jun 30, 2020(FY)Dec 31, 2019(Q6)Jun 30, 2019
Assets
Current assets
Inventory -65.25%1.05M-0.76%3.15M-17.98%3.02M-24.46%3.18M-9.52%3.68M-10.93%4.21M345.13%4.06M285.87%4.72M-26.96%913K-31.66%1.22M
Accounts receivable -32.30%3.2M-34.12%4.14M-28.25%4.73M6.92%6.29M-31.66%6.59M-16.94%5.88M78.26%9.65M72.82%7.08M36.42%5.41M-21.48%4.1M
Cash and equivalents -29.63%1.6M-71.21%1.8M-44.31%2.27M2.60%6.27M-6.83%4.08M75.11%6.11M26.58%4.38M-18.92%3.49M-46.06%3.46M-44.87%4.3M
Financial assets at fair value-current assets ----------1.39M----------------------------
Special items of current assets 68.00%84K-6.85%68K-96.88%50K-93.99%73K250.33%1.6M35.60%1.22M-28.48%457K-10.85%896K1.27%639K--1.01M
Total current assets -48.22%5.93M-41.99%9.17M-28.17%11.46M-9.22%15.81M-14.00%15.95M7.55%17.41M77.94%18.55M52.31%16.19M-14.98%10.42M-28.25%10.63M
Non-current assets
Property, plant and equipment -47.01%842K9.41%1.34M20.11%1.59M-16.42%1.22M-18.63%1.32M-14.15%1.46M-14.65%1.63M-76.31%1.7M8.36%1.91M246.08%7.19M
Intangible assets -----33.33%20K-39.39%20K-96.10%30K-95.85%33K-0.39%769K1,249.15%796K1,002.86%772K-15.71%59K-13.58%70K
Goodwill ---------------------1.78%6.85M--6.85M--6.97M--------
Special items of non-current assets 1.02%3.28M35.14%4.36M-9.77%3.25M-23.53%3.22M-17.08%3.6M-11.43%4.22M-19.61%4.35M450.93%4.76M525.58%5.41M--864K
Total non-current assets -15.10%4.13M27.66%5.71M-2.00%4.86M-66.33%4.48M-63.57%4.96M-6.42%13.29M84.72%13.61M74.88%14.2M148.78%7.37M175.88%8.12M
Total assets -38.35%10.06M-26.62%14.88M-21.96%16.32M-33.94%20.28M-34.98%20.91M1.02%30.7M80.75%32.16M62.09%30.39M16.88%17.79M5.59%18.75M
Liabilities
Current liabilities
Accounts payable -45.53%1.61M-8.05%2.86M-5.08%2.95M-13.36%3.11M-27.28%3.11M-6.95%3.59M49.28%4.27M20.36%3.85M66.55%2.86M40.87%3.2M
Tax payable -84.31%8K-78.22%49K-80.61%51K-3.02%225K-7.07%263K-7.20%232K2,076.92%283K190.70%250K-90.65%13K-57.84%86K
Bank loans and overdrafts 313.38%1.3M271.16%798K-31.29%314K-66.25%215K-28.82%457K-75.59%637K-22.84%642K179.44%2.61M-59.36%832K-63.54%934K
Provision-current liabilities --268K------------------------------------
Financial lease liabilities-current liabilities 2.82%1.39M-6.49%1.46M-21.82%1.35M-10.98%1.56M5.00%1.72M4.42%1.75M8.39%1.64M-53.38%1.67M--1.51M--3.59M
Special items of current liabilities -----92.78%100K-87.88%206K-42.15%1.39M-47.74%1.7M475.48%2.39M--3.25M--416K--------
Total current liabilities -6.20%4.57M-18.94%5.26M-32.86%4.87M-24.53%6.49M-28.15%7.25M-2.35%8.6M93.24%10.09M12.68%8.8M33.73%5.22M55.05%7.81M
Net current assets -79.25%1.37M-58.04%3.91M-24.26%6.59M5.72%9.32M2.89%8.7M19.36%8.82M62.58%8.46M162.25%7.39M-37.75%5.2M-71.19%2.82M
Total assets less current liabilities -52.02%5.49M-30.24%9.62M-16.18%11.45M-37.60%13.8M-38.10%13.66M2.40%22.11M75.56%22.07M97.38%21.59M11.07%12.57M-14.00%10.94M
Non-current liabilities
Long-term bank loan ---------92.00%2K-98.40%14K-97.16%25K1,358.33%875K1,120.83%879K-28.57%60K-25.00%72K-47.50%84K
Financial lease liabilities-non-current liabilities 68.69%1.56M116.53%1.85M-30.02%923K-50.15%853K-32.39%1.32M-25.32%1.71M-35.97%1.95M67.59%2.29M--3.05M--1.37M
Deferred tax liability -29.22%155K58.70%219K57.55%219K5.34%138K6.11%139K-64.59%131K1,771.43%131K151.70%370K-95.24%7K0.00%147K
Provision-non-current liabilities -22.71%912K-17.31%1.18M-17.31%1.18M0.00%1.43M0.00%1.43M-1.52%1.43M0.00%1.43M1.54%1.45M0.00%1.43M0.00%1.43M
Total non-current liabilities 12.91%2.62M33.47%3.25M-20.14%2.32M-41.31%2.43M-33.68%2.91M-0.62%4.14M-3.62%4.39M37.85%4.17M172.63%4.55M74.45%3.03M
Total liabilities -0.03%7.19M-4.65%8.51M-29.21%7.19M-29.99%8.92M-29.83%10.16M-1.80%12.74M48.12%14.48M19.71%12.97M75.34%9.78M60.02%10.84M
Total assets less total liabilities -68.56%2.87M-43.87%6.38M-15.11%9.13M-36.74%11.36M-39.20%10.75M3.12%17.96M120.53%17.68M120.13%17.42M-16.90%8.02M-27.97%7.91M
Total equity and non-current liabilities -52.02%5.49M-30.24%9.62M-16.18%11.45M-37.60%13.8M-38.10%13.66M2.40%22.11M75.56%22.07M97.38%21.59M11.07%12.57M-14.00%10.94M
Equity
Share capital 19.61%1.18M0.00%984K19.71%984K24.09%984K3.66%822K-0.13%793K15.09%793K15.24%794K0.00%689K0.00%689K
Share premium 4.22%19.06M0.00%18.29M8.67%18.29M20.91%18.29M11.26%16.83M-0.68%15.13M70.25%15.13M71.42%15.23M0.00%8.89M0.00%8.89M
Capital reserve 0.00%3.12M0.00%3.12M0.00%3.12M0.00%3.12M0.00%3.12M0.00%3.12M0.00%3.12M0.00%3.12M0.00%3.12M0.00%3.12M
Exchange reserve -----211.76%-76K-116.26%-20K-67.31%68K-14.58%123K1,790.91%208K14,300.00%144K--11K--1K----
Other reserves -------------90.97%172K-90.97%172K-11.44%1.9M--1.9M--2.15M--------
Retained profit -49.16%-20.47M-37.24%-16.3M-25.17%-13.73M-231.47%-11.88M-180.22%-10.97M21.35%-3.58M16.69%-3.91M4.49%-4.56M-54.66%-4.7M-180.98%-4.77M
Shareholders' Equity -66.65%2.88M-44.08%6.01M-14.39%8.65M-38.79%10.75M-41.19%10.1M4.89%17.57M114.77%17.17M111.43%16.75M-17.18%8M-27.95%7.92M
Non-controlling interest -103.14%-15K-40.10%366K-26.35%478K53.90%611K28.01%649K-40.92%397K2,314.29%507K8,500.00%672K362.50%21K11.11%-8K
Total equity -68.56%2.87M-43.87%6.38M-15.11%9.13M-36.74%11.36M-39.20%10.75M3.12%17.96M120.53%17.68M120.13%17.42M-16.90%8.02M-27.97%7.91M
Total equity and total liabilities -38.35%10.06M-26.62%14.88M-21.96%16.32M-33.94%20.28M-34.98%20.91M1.02%30.7M80.75%32.16M62.09%30.39M16.88%17.79M5.59%18.75M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions ----Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor ----Zhongzheng Tianheng Accountants Co., Ltd.--Hong Kong Lixin Dehao Certified Public Accountants Limited--Hong Kong Lixin Dehao Certified Public Accountants Limited--PriceWaterhouseCoopers LLP--

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

No Data

Heat List
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