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EFT SOLUTIONS (08062)

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Market Closed Apr 30 09:01 CST
122.40MMarket Cap-85.00P/E (TTM)

EFT SOLUTIONS (08062) Balance Sheet

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(Q6)Sep 30, 2025
(FY)Mar 31, 2025
(Q6)Sep 30, 2024
(FY)Mar 31, 2024
(Q6)Sep 30, 2023
(FY)Mar 31, 2023
(Q6)Sep 30, 2022
(FY)Mar 31, 2022
(Q6)Sep 30, 2021
(FY)Mar 31, 2021
Assets
Current assets
Inventory
-37.93%4.11M
-19.81%3.14M
-20.83%6.62M
-29.03%3.91M
-47.86%8.36M
-59.85%5.51M
52.13%16.02M
120.32%13.73M
4.45%10.53M
-40.25%6.23M
Accounts receivable
-40.17%25.84M
-51.29%29.61M
12.74%43.19M
90.15%60.8M
-1.27%38.31M
-24.38%31.97M
-24.52%38.8M
10.53%42.28M
-14.65%51.41M
-34.55%38.25M
Withholding and tax receivable
--176K
--146K
----
----
-59.43%114K
-30.96%194K
-75.78%281K
-83.60%281K
--1.16M
--1.71M
Cash and equivalents
4.02%85.1M
35.63%84.8M
12.76%81.81M
-14.49%62.53M
23.84%72.55M
29.58%73.12M
54.10%58.59M
2.91%56.43M
-6.99%38.02M
57.37%54.83M
Total current assets
-12.46%115.22M
-7.50%117.7M
10.29%131.62M
14.83%127.24M
4.96%119.33M
-1.70%110.8M
12.43%113.7M
11.57%112.72M
-9.06%101.12M
-2.60%101.03M
Non-current assets
Property, plant and equipment
-16.73%7.35M
-18.96%8.66M
-25.17%8.82M
-12.11%10.69M
-6.47%11.79M
-19.66%12.16M
-43.35%12.61M
25.12%15.13M
150.71%22.25M
172.62%12.1M
Advance payment
-86.01%47K
-80.29%69K
83.61%336K
-66.09%350K
-91.92%183K
306.30%1.03M
-68.55%2.27M
-98.08%254K
1,791.34%7.21M
207.42%13.23M
Associated company interest
--6.84M
--7.43M
----
----
----
----
----
----
----
----
Intangible assets
-77.17%189K
-87.91%203K
-68.06%828K
-53.70%1.68M
-44.75%2.59M
-38.82%3.63M
-23.65%4.69M
251.75%5.93M
235.01%6.14M
15.57%1.69M
Goodwill
-33.68%7.02M
-33.68%7.02M
0.00%10.58M
0.00%10.58M
0.00%10.58M
0.00%10.58M
87.99%10.58M
4,559.91%10.58M
2,378.85%5.63M
0.00%227K
Deferred tax assets
39.02%1.08M
321.05%1.12M
--774K
--266K
----
----
----
----
----
----
Total non-current assets
4.99%29.21M
2.02%30.83M
-13.13%27.82M
-12.42%30.22M
-13.97%32.03M
-11.82%34.5M
-9.71%37.23M
43.68%39.13M
187.90%41.23M
83.52%27.23M
Total assets
-9.41%144.43M
-5.67%148.53M
5.34%159.44M
8.36%157.45M
0.29%151.36M
-4.31%145.3M
6.02%150.92M
18.39%151.85M
13.42%142.35M
8.18%128.26M
Liabilities
Current liabilities
Accounts payable
-13.45%11.28M
25.14%14.32M
-32.15%13.03M
-21.90%11.44M
-27.17%19.2M
-50.02%14.65M
16.12%26.36M
133.56%29.32M
91.50%22.7M
-16.24%12.55M
Tax payable
-67.57%1.29M
-77.19%798K
-31.84%3.96M
-25.94%3.5M
71.78%5.81M
260.26%4.72M
405.07%3.38M
325.65%1.31M
-83.94%670K
-86.64%308K
Financial lease liabilities-current liabilities
--289K
----
----
-82.12%27K
--103K
--151K
----
----
----
----
Total current liabilities
-24.37%12.85M
1.00%15.12M
-32.36%16.99M
-23.34%14.97M
-15.57%25.12M
-36.24%19.53M
27.27%29.75M
138.16%30.63M
38.99%23.37M
-31.99%12.86M
Net current assets
-10.69%102.37M
-8.63%102.58M
21.66%114.63M
23.00%112.27M
12.23%94.22M
11.18%91.27M
7.97%83.95M
-6.89%82.09M
-17.62%77.75M
3.96%88.17M
Total assets less current liabilities
-7.63%131.58M
-6.37%133.41M
12.84%142.45M
13.28%142.49M
4.18%126.24M
3.76%125.78M
1.84%121.18M
5.04%121.22M
9.46%118.98M
15.81%115.4M
Non-current liabilities
Financial lease liabilities-non-current liabilities
--199K
----
----
----
----
--27K
----
----
----
----
Deferred tax liability
----
----
----
----
-78.55%252K
-9.95%796K
-2.65%1.18M
-7.14%884K
25.34%1.21M
328.83%952K
Total non-current liabilities
--199K
----
----
----
-78.55%252K
-6.90%823K
-2.65%1.18M
-7.14%884K
25.34%1.21M
328.83%952K
Total liabilities
-23.20%13.05M
1.00%15.12M
-33.03%16.99M
-26.44%14.97M
-17.96%25.37M
-35.42%20.35M
25.80%30.92M
128.14%31.51M
38.26%24.58M
-27.80%13.81M
Total assets less total liabilities
-7.77%131.38M
-6.37%133.41M
13.06%142.45M
14.03%142.49M
4.99%125.99M
3.84%124.95M
1.89%120M
5.14%120.34M
9.32%117.77M
15.11%114.45M
Total equity and non-current liabilities
--131.58M
----
----
----
4.18%126.24M
3.76%125.78M
1.84%121.18M
5.04%121.22M
9.46%118.98M
15.81%115.4M
Equity
Share capital
0.00%4.8M
0.00%4.8M
0.00%4.8M
0.00%4.8M
0.00%4.8M
0.00%4.8M
0.00%4.8M
0.00%4.8M
0.00%4.8M
0.00%4.8M
Reserve
----
-6.58%127.55M
----
14.32%136.54M
----
3.79%119.44M
----
5.13%115.08M
----
15.65%109.46M
Share premium
-8.03%125.35M
----
13.30%136.31M
----
4.72%120.31M
----
1.96%114.89M
----
9.60%112.68M
----
Shareholders' Equity
-7.76%130.15M
-6.36%132.35M
12.79%141.11M
13.76%141.34M
4.53%125.11M
3.64%124.24M
1.88%119.69M
4.92%119.88M
9.17%117.48M
14.89%114.26M
Non-controlling interest
-8.41%1.23M
-8.35%1.05M
52.55%1.34M
60.17%1.15M
185.11%881K
56.09%718K
4.04%309K
137.11%460K
126.72%297K
1,241.18%194K
Total equity
-7.77%131.38M
-6.37%133.41M
13.06%142.45M
14.03%142.49M
4.99%125.99M
3.84%124.95M
1.89%120M
5.14%120.34M
9.32%117.77M
15.11%114.45M
Total equity and total liabilities
-9.41%144.43M
-5.67%148.53M
5.34%159.44M
8.36%157.45M
0.29%151.36M
-4.31%145.3M
6.02%150.92M
18.39%151.85M
13.42%142.35M
8.18%128.26M
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
KPMG Limited
--
KPMG Limited
--
Kaiyuan Xinde Certified Public Accountants Co., Ltd.
--
Kaiyuan Xinde Certified Public Accountants Co., Ltd.
--
Kaiyuan Xinde Certified Public Accountants Co., Ltd.
(Q6)Sep 30, 2025(FY)Mar 31, 2025(Q6)Sep 30, 2024(FY)Mar 31, 2024(Q6)Sep 30, 2023(FY)Mar 31, 2023(Q6)Sep 30, 2022(FY)Mar 31, 2022(Q6)Sep 30, 2021(FY)Mar 31, 2021
Assets
Current assets
Inventory -37.93%4.11M-19.81%3.14M-20.83%6.62M-29.03%3.91M-47.86%8.36M-59.85%5.51M52.13%16.02M120.32%13.73M4.45%10.53M-40.25%6.23M
Accounts receivable -40.17%25.84M-51.29%29.61M12.74%43.19M90.15%60.8M-1.27%38.31M-24.38%31.97M-24.52%38.8M10.53%42.28M-14.65%51.41M-34.55%38.25M
Withholding and tax receivable --176K--146K---------59.43%114K-30.96%194K-75.78%281K-83.60%281K--1.16M--1.71M
Cash and equivalents 4.02%85.1M35.63%84.8M12.76%81.81M-14.49%62.53M23.84%72.55M29.58%73.12M54.10%58.59M2.91%56.43M-6.99%38.02M57.37%54.83M
Total current assets -12.46%115.22M-7.50%117.7M10.29%131.62M14.83%127.24M4.96%119.33M-1.70%110.8M12.43%113.7M11.57%112.72M-9.06%101.12M-2.60%101.03M
Non-current assets
Property, plant and equipment -16.73%7.35M-18.96%8.66M-25.17%8.82M-12.11%10.69M-6.47%11.79M-19.66%12.16M-43.35%12.61M25.12%15.13M150.71%22.25M172.62%12.1M
Advance payment -86.01%47K-80.29%69K83.61%336K-66.09%350K-91.92%183K306.30%1.03M-68.55%2.27M-98.08%254K1,791.34%7.21M207.42%13.23M
Associated company interest --6.84M--7.43M--------------------------------
Intangible assets -77.17%189K-87.91%203K-68.06%828K-53.70%1.68M-44.75%2.59M-38.82%3.63M-23.65%4.69M251.75%5.93M235.01%6.14M15.57%1.69M
Goodwill -33.68%7.02M-33.68%7.02M0.00%10.58M0.00%10.58M0.00%10.58M0.00%10.58M87.99%10.58M4,559.91%10.58M2,378.85%5.63M0.00%227K
Deferred tax assets 39.02%1.08M321.05%1.12M--774K--266K------------------------
Total non-current assets 4.99%29.21M2.02%30.83M-13.13%27.82M-12.42%30.22M-13.97%32.03M-11.82%34.5M-9.71%37.23M43.68%39.13M187.90%41.23M83.52%27.23M
Total assets -9.41%144.43M-5.67%148.53M5.34%159.44M8.36%157.45M0.29%151.36M-4.31%145.3M6.02%150.92M18.39%151.85M13.42%142.35M8.18%128.26M
Liabilities
Current liabilities
Accounts payable -13.45%11.28M25.14%14.32M-32.15%13.03M-21.90%11.44M-27.17%19.2M-50.02%14.65M16.12%26.36M133.56%29.32M91.50%22.7M-16.24%12.55M
Tax payable -67.57%1.29M-77.19%798K-31.84%3.96M-25.94%3.5M71.78%5.81M260.26%4.72M405.07%3.38M325.65%1.31M-83.94%670K-86.64%308K
Financial lease liabilities-current liabilities --289K---------82.12%27K--103K--151K----------------
Total current liabilities -24.37%12.85M1.00%15.12M-32.36%16.99M-23.34%14.97M-15.57%25.12M-36.24%19.53M27.27%29.75M138.16%30.63M38.99%23.37M-31.99%12.86M
Net current assets -10.69%102.37M-8.63%102.58M21.66%114.63M23.00%112.27M12.23%94.22M11.18%91.27M7.97%83.95M-6.89%82.09M-17.62%77.75M3.96%88.17M
Total assets less current liabilities -7.63%131.58M-6.37%133.41M12.84%142.45M13.28%142.49M4.18%126.24M3.76%125.78M1.84%121.18M5.04%121.22M9.46%118.98M15.81%115.4M
Non-current liabilities
Financial lease liabilities-non-current liabilities --199K------------------27K----------------
Deferred tax liability -----------------78.55%252K-9.95%796K-2.65%1.18M-7.14%884K25.34%1.21M328.83%952K
Total non-current liabilities --199K-------------78.55%252K-6.90%823K-2.65%1.18M-7.14%884K25.34%1.21M328.83%952K
Total liabilities -23.20%13.05M1.00%15.12M-33.03%16.99M-26.44%14.97M-17.96%25.37M-35.42%20.35M25.80%30.92M128.14%31.51M38.26%24.58M-27.80%13.81M
Total assets less total liabilities -7.77%131.38M-6.37%133.41M13.06%142.45M14.03%142.49M4.99%125.99M3.84%124.95M1.89%120M5.14%120.34M9.32%117.77M15.11%114.45M
Total equity and non-current liabilities --131.58M------------4.18%126.24M3.76%125.78M1.84%121.18M5.04%121.22M9.46%118.98M15.81%115.4M
Equity
Share capital 0.00%4.8M0.00%4.8M0.00%4.8M0.00%4.8M0.00%4.8M0.00%4.8M0.00%4.8M0.00%4.8M0.00%4.8M0.00%4.8M
Reserve -----6.58%127.55M----14.32%136.54M----3.79%119.44M----5.13%115.08M----15.65%109.46M
Share premium -8.03%125.35M----13.30%136.31M----4.72%120.31M----1.96%114.89M----9.60%112.68M----
Shareholders' Equity -7.76%130.15M-6.36%132.35M12.79%141.11M13.76%141.34M4.53%125.11M3.64%124.24M1.88%119.69M4.92%119.88M9.17%117.48M14.89%114.26M
Non-controlling interest -8.41%1.23M-8.35%1.05M52.55%1.34M60.17%1.15M185.11%881K56.09%718K4.04%309K137.11%460K126.72%297K1,241.18%194K
Total equity -7.77%131.38M-6.37%133.41M13.06%142.45M14.03%142.49M4.99%125.99M3.84%124.95M1.89%120M5.14%120.34M9.32%117.77M15.11%114.45M
Total equity and total liabilities -9.41%144.43M-5.67%148.53M5.34%159.44M8.36%157.45M0.29%151.36M-4.31%145.3M6.02%150.92M18.39%151.85M13.42%142.35M8.18%128.26M
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --KPMG Limited--KPMG Limited--Kaiyuan Xinde Certified Public Accountants Co., Ltd.--Kaiyuan Xinde Certified Public Accountants Co., Ltd.--Kaiyuan Xinde Certified Public Accountants Co., Ltd.

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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