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INDIGO STAR (08373)

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  • 0.650
  • 0.0000.00%
Market Closed Jan 23 09:20 CST
26.00MMarket Cap1.59P/E (TTM)

INDIGO STAR (08373) Balance Sheet

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(Q6)Jun 30, 2024
(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
Assets
Current assets
Inventory
555.15%3.56M
11.17%896K
-48.19%544K
--806K
--1.05M
----
----
----
----
----
Accounts receivable
53.48%3.5M
35.07%7.36M
-59.70%2.28M
152.25%5.45M
188.74%5.67M
-34.95%2.16M
-34.84%1.96M
-19.71%3.32M
330.14%3.01M
53.40%4.13M
Advance deposits and other receivables
-27.74%2.37M
-42.25%1.93M
1.80%3.28M
-17.83%3.34M
-27.48%3.22M
149.60%4.06M
146.61%4.44M
-58.68%1.63M
-31.92%1.8M
286.46%3.94M
Cash and equivalents
26.44%8.84M
77.56%10.32M
78.19%6.99M
18.69%5.81M
-43.34%3.92M
-5.36%4.9M
-6.00%6.93M
-16.13%5.17M
-22.56%7.37M
-52.26%6.17M
Secured deposit
0.29%345K
0.00%344K
0.00%344K
0.00%344K
2.99%344K
2.99%344K
--334K
--334K
----
----
Financial assets at fair value-current assets
-41.42%471K
-36.84%648K
-38.20%804K
-30.68%1.03M
-22.93%1.3M
-15.19%1.48M
--1.69M
--1.75M
----
----
Total current assets
34.31%27.59M
27.84%26.74M
1.29%20.55M
9.60%20.91M
-0.01%20.28M
0.02%19.08M
-1.15%20.29M
-20.51%19.08M
-10.49%20.52M
-10.00%24M
Non-current assets
Property, plant and equipment
-5.92%5.85M
-6.72%6.03M
-2.31%6.21M
-2.23%6.46M
-5.40%6.36M
-2.29%6.61M
2.31%6.72M
285.90%6.76M
274.42%6.57M
-14.99%1.75M
Investment property
-2.18%224K
-2.59%226K
-2.14%229K
-2.11%232K
-2.09%234K
-2.07%237K
-2.45%239K
-2.42%242K
-2.00%245K
-1.98%248K
Deferred tax assets
-79.64%45K
-79.64%45K
--221K
--221K
----
----
----
----
----
----
Total non-current assets
-12.40%6.65M
-8.71%7.19M
-0.01%7.6M
-0.71%7.88M
-6.80%7.6M
-3.55%7.93M
16.63%8.15M
278.55%8.23M
248.53%6.99M
-6.09%2.17M
Total assets
21.70%34.25M
17.84%33.93M
0.94%28.14M
6.57%28.79M
-1.96%27.88M
-1.05%27.02M
3.37%28.44M
4.31%27.3M
10.34%27.51M
-9.69%26.18M
Liabilities
Current liabilities
Accounts payable
33.70%1.33M
65.41%1.89M
-11.96%994K
44.57%1.15M
68.51%1.13M
-16.37%792K
-39.42%670K
-3.96%947K
-2.12%1.11M
-46.06%986K
Tax payable
600.00%763K
122.36%527K
-18.05%109K
--237K
--133K
----
----
1,100.00%192K
-95.72%16K
-97.86%16K
Other payables and accrued expenses
8.10%6.78M
24.24%7.92M
25.11%6.27M
31.31%6.37M
-5.97%5.01M
-4.18%4.85M
30.33%5.33M
0.82%5.07M
24.37%4.09M
11.42%5.03M
Bank loans and overdrafts
-45.60%1.35M
-36.89%1.92M
-30.96%2.49M
-26.61%3.05M
-23.28%3.6M
98.76%4.15M
100.98%4.7M
--2.09M
--2.34M
----
Financial lease liabilities-current liabilities
33.33%80K
37.93%80K
5.26%60K
-46.30%58K
-41.84%57K
-28.48%108K
60.66%98K
147.54%151K
90.63%61K
41.86%61K
Total current liabilities
26.50%16.92M
30.09%18.64M
4.18%13.38M
11.24%14.33M
16.67%12.84M
37.01%12.88M
22.41%11.01M
31.40%9.4M
29.65%8.99M
-29.84%7.15M
Net current assets
48.89%10.67M
22.95%8.1M
-3.70%7.17M
6.19%6.59M
-19.81%7.44M
-35.91%6.2M
-19.51%9.28M
-42.56%9.68M
-27.90%11.53M
2.29%16.85M
Total assets less current liabilities
17.36%17.32M
5.71%15.29M
-1.84%14.76M
2.32%14.47M
-13.72%15.04M
-21.04%14.14M
-5.88%17.43M
-5.87%17.9M
2.90%18.52M
1.26%19.02M
Non-current liabilities
Financial lease liabilities-non-current liabilities
-34.53%601K
-5.64%903K
-6.99%918K
-5.71%957K
-11.48%987K
-6.80%1.02M
784.92%1.12M
764.29%1.09M
129.09%126K
103.23%126K
Deferred tax liability
----
----
0.00%25K
0.00%25K
0.00%25K
0.00%25K
-16.67%25K
-16.67%25K
0.00%30K
0.00%30K
Total non-current liabilities
-36.27%601K
-8.04%903K
-6.82%943K
-5.58%982K
-11.23%1.01M
-6.64%1.04M
630.77%1.14M
614.10%1.11M
83.53%156K
69.57%156K
Total liabilities
22.37%17.52M
27.64%19.54M
3.38%14.32M
9.99%15.31M
14.05%13.85M
32.39%13.92M
32.79%12.15M
43.83%10.51M
30.30%9.15M
-28.95%7.31M
Total assets less total liabilities
21.01%16.72M
6.71%14.39M
-1.48%13.82M
2.95%13.48M
-13.90%14.03M
-22.00%13.1M
-11.28%16.29M
-11.00%16.79M
2.52%18.36M
0.92%18.87M
Total equity and non-current liabilities
17.36%17.32M
5.71%15.29M
-1.84%14.76M
2.32%14.47M
-13.72%15.04M
-21.04%14.14M
-5.88%17.43M
-5.87%17.9M
2.90%18.52M
1.26%19.02M
Equity
Share capital
0.00%695K
0.00%695K
0.00%695K
0.00%695K
0.00%695K
0.00%695K
0.00%695K
0.00%695K
0.00%695K
0.00%695K
Reserve
22.13%16.03M
7.08%13.69M
-1.55%13.12M
3.11%12.79M
-14.52%13.33M
-22.95%12.4M
-11.73%15.6M
-11.42%16.1M
2.62%17.67M
0.96%18.17M
Shareholders' Equity
21.01%16.72M
6.71%14.39M
-1.48%13.82M
2.95%13.48M
-13.90%14.03M
-22.00%13.1M
-11.28%16.29M
-11.00%16.79M
2.52%18.36M
0.92%18.87M
Total equity
21.01%16.72M
6.71%14.39M
-1.48%13.82M
2.95%13.48M
-13.90%14.03M
-22.00%13.1M
-11.28%16.29M
-11.00%16.79M
2.52%18.36M
0.92%18.87M
Total equity and total liabilities
21.70%34.25M
17.84%33.93M
0.94%28.14M
6.57%28.79M
-1.96%27.88M
-1.05%27.02M
3.37%28.44M
4.31%27.3M
10.34%27.51M
-9.69%26.18M
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
--
Unqualified Opinion
Auditor
--
Bai Chun Accounting Firm Limited
--
Bai Chun Accounting Firm Limited
--
Unitai Pak Chun (Hong Kong) Certified Public Accountants Limited
--
Guowei Certified Public Accountants Co., Ltd.
--
Guowei Certified Public Accountants Co., Ltd.
(Q6)Jun 30, 2024(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
Assets
Current assets
Inventory 555.15%3.56M11.17%896K-48.19%544K--806K--1.05M--------------------
Accounts receivable 53.48%3.5M35.07%7.36M-59.70%2.28M152.25%5.45M188.74%5.67M-34.95%2.16M-34.84%1.96M-19.71%3.32M330.14%3.01M53.40%4.13M
Advance deposits and other receivables -27.74%2.37M-42.25%1.93M1.80%3.28M-17.83%3.34M-27.48%3.22M149.60%4.06M146.61%4.44M-58.68%1.63M-31.92%1.8M286.46%3.94M
Cash and equivalents 26.44%8.84M77.56%10.32M78.19%6.99M18.69%5.81M-43.34%3.92M-5.36%4.9M-6.00%6.93M-16.13%5.17M-22.56%7.37M-52.26%6.17M
Secured deposit 0.29%345K0.00%344K0.00%344K0.00%344K2.99%344K2.99%344K--334K--334K--------
Financial assets at fair value-current assets -41.42%471K-36.84%648K-38.20%804K-30.68%1.03M-22.93%1.3M-15.19%1.48M--1.69M--1.75M--------
Total current assets 34.31%27.59M27.84%26.74M1.29%20.55M9.60%20.91M-0.01%20.28M0.02%19.08M-1.15%20.29M-20.51%19.08M-10.49%20.52M-10.00%24M
Non-current assets
Property, plant and equipment -5.92%5.85M-6.72%6.03M-2.31%6.21M-2.23%6.46M-5.40%6.36M-2.29%6.61M2.31%6.72M285.90%6.76M274.42%6.57M-14.99%1.75M
Investment property -2.18%224K-2.59%226K-2.14%229K-2.11%232K-2.09%234K-2.07%237K-2.45%239K-2.42%242K-2.00%245K-1.98%248K
Deferred tax assets -79.64%45K-79.64%45K--221K--221K------------------------
Total non-current assets -12.40%6.65M-8.71%7.19M-0.01%7.6M-0.71%7.88M-6.80%7.6M-3.55%7.93M16.63%8.15M278.55%8.23M248.53%6.99M-6.09%2.17M
Total assets 21.70%34.25M17.84%33.93M0.94%28.14M6.57%28.79M-1.96%27.88M-1.05%27.02M3.37%28.44M4.31%27.3M10.34%27.51M-9.69%26.18M
Liabilities
Current liabilities
Accounts payable 33.70%1.33M65.41%1.89M-11.96%994K44.57%1.15M68.51%1.13M-16.37%792K-39.42%670K-3.96%947K-2.12%1.11M-46.06%986K
Tax payable 600.00%763K122.36%527K-18.05%109K--237K--133K--------1,100.00%192K-95.72%16K-97.86%16K
Other payables and accrued expenses 8.10%6.78M24.24%7.92M25.11%6.27M31.31%6.37M-5.97%5.01M-4.18%4.85M30.33%5.33M0.82%5.07M24.37%4.09M11.42%5.03M
Bank loans and overdrafts -45.60%1.35M-36.89%1.92M-30.96%2.49M-26.61%3.05M-23.28%3.6M98.76%4.15M100.98%4.7M--2.09M--2.34M----
Financial lease liabilities-current liabilities 33.33%80K37.93%80K5.26%60K-46.30%58K-41.84%57K-28.48%108K60.66%98K147.54%151K90.63%61K41.86%61K
Total current liabilities 26.50%16.92M30.09%18.64M4.18%13.38M11.24%14.33M16.67%12.84M37.01%12.88M22.41%11.01M31.40%9.4M29.65%8.99M-29.84%7.15M
Net current assets 48.89%10.67M22.95%8.1M-3.70%7.17M6.19%6.59M-19.81%7.44M-35.91%6.2M-19.51%9.28M-42.56%9.68M-27.90%11.53M2.29%16.85M
Total assets less current liabilities 17.36%17.32M5.71%15.29M-1.84%14.76M2.32%14.47M-13.72%15.04M-21.04%14.14M-5.88%17.43M-5.87%17.9M2.90%18.52M1.26%19.02M
Non-current liabilities
Financial lease liabilities-non-current liabilities -34.53%601K-5.64%903K-6.99%918K-5.71%957K-11.48%987K-6.80%1.02M784.92%1.12M764.29%1.09M129.09%126K103.23%126K
Deferred tax liability --------0.00%25K0.00%25K0.00%25K0.00%25K-16.67%25K-16.67%25K0.00%30K0.00%30K
Total non-current liabilities -36.27%601K-8.04%903K-6.82%943K-5.58%982K-11.23%1.01M-6.64%1.04M630.77%1.14M614.10%1.11M83.53%156K69.57%156K
Total liabilities 22.37%17.52M27.64%19.54M3.38%14.32M9.99%15.31M14.05%13.85M32.39%13.92M32.79%12.15M43.83%10.51M30.30%9.15M-28.95%7.31M
Total assets less total liabilities 21.01%16.72M6.71%14.39M-1.48%13.82M2.95%13.48M-13.90%14.03M-22.00%13.1M-11.28%16.29M-11.00%16.79M2.52%18.36M0.92%18.87M
Total equity and non-current liabilities 17.36%17.32M5.71%15.29M-1.84%14.76M2.32%14.47M-13.72%15.04M-21.04%14.14M-5.88%17.43M-5.87%17.9M2.90%18.52M1.26%19.02M
Equity
Share capital 0.00%695K0.00%695K0.00%695K0.00%695K0.00%695K0.00%695K0.00%695K0.00%695K0.00%695K0.00%695K
Reserve 22.13%16.03M7.08%13.69M-1.55%13.12M3.11%12.79M-14.52%13.33M-22.95%12.4M-11.73%15.6M-11.42%16.1M2.62%17.67M0.96%18.17M
Shareholders' Equity 21.01%16.72M6.71%14.39M-1.48%13.82M2.95%13.48M-13.90%14.03M-22.00%13.1M-11.28%16.29M-11.00%16.79M2.52%18.36M0.92%18.87M
Total equity 21.01%16.72M6.71%14.39M-1.48%13.82M2.95%13.48M-13.90%14.03M-22.00%13.1M-11.28%16.29M-11.00%16.79M2.52%18.36M0.92%18.87M
Total equity and total liabilities 21.70%34.25M17.84%33.93M0.94%28.14M6.57%28.79M-1.96%27.88M-1.05%27.02M3.37%28.44M4.31%27.3M10.34%27.51M-9.69%26.18M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Bai Chun Accounting Firm Limited--Bai Chun Accounting Firm Limited--Unitai Pak Chun (Hong Kong) Certified Public Accountants Limited--Guowei Certified Public Accountants Co., Ltd.--Guowei 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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