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GLOBAL UIN (08496)

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Trading May 22 09:20 CST
10.91MMarket Cap-0.41P/E (TTM)

GLOBAL UIN (08496) Balance Sheet

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(Q6)Dec 31, 2025
(FY)Jun 30, 2025
(Q6)Dec 31, 2024
(FY)Jun 30, 2024
(Q6)Dec 31, 2023
(FY)Jun 30, 2023
(Q6)Dec 31, 2022
(FY)Jun 30, 2022
(Q6)Dec 31, 2021
(FY)Jun 30, 2021
Assets
Current assets
Inventory
12.02%234.34K
240.89%226.9K
23.29%209.19K
15.12%66.56K
25.56%169.67K
-54.37%57.82K
-9.68%135.13K
13.84%126.72K
-0.14%149.62K
10.40%111.31K
Accounts receivable
-69.66%1.16M
-22.58%1.35M
179.77%3.82M
88.33%1.74M
-18.55%1.37M
-7.97%924.7K
61.01%1.68M
38.40%1M
-27.76%1.04M
-13.63%725.99K
Cash and equivalents
-25.54%319.78K
244.76%963.51K
-69.67%429.47K
67.63%279.47K
42.13%1.42M
-92.66%166.72K
-72.51%996.16K
-50.15%2.27M
-39.21%3.62M
-35.76%4.55M
Total current assets
-61.58%1.71M
21.61%2.54M
51.11%4.46M
81.64%2.09M
5.10%2.95M
-66.22%1.15M
-41.68%2.81M
-36.91%3.4M
-36.25%4.81M
-33.69%5.39M
Non-current assets
Property, plant and equipment
-22.42%2.16M
307.73%2.2M
2,964.16%2.78M
193.41%540.18K
-95.13%90.79K
-91.60%184.1K
-28.36%1.86M
-13.31%2.19M
-24.20%2.6M
12.54%2.53M
Advance payment
-96.25%21.25K
----
29.94%565.93K
28.87%562.33K
-58.30%435.55K
-57.48%436.35K
-23.65%1.04M
-24.99%1.03M
14.76%1.37M
-4.57%1.37M
Deferred tax assets
----
----
--1.23K
-75.26%88.84K
----
--359.08K
----
----
-9.02%101.71K
-48.28%127.15K
Total non-current assets
-37.27%2.33M
51.33%2.34M
313.68%3.71M
-19.23%1.55M
-84.61%896.19K
-73.99%1.92M
-42.95%5.82M
-37.61%7.36M
-52.21%10.21M
-28.39%11.8M
Total assets
-50.55%4.04M
34.26%4.88M
112.27%8.17M
18.60%3.63M
-55.42%3.85M
-71.53%3.06M
-42.54%8.63M
-37.39%10.77M
-48.04%15.02M
-30.14%17.2M
Liabilities
Current liabilities
Accounts payable
67.10%4.18M
222.00%4.73M
-11.69%2.5M
-21.52%1.47M
-5.88%2.83M
-10.68%1.87M
1.02%3.01M
-32.54%2.09M
82.80%2.98M
66.63%3.11M
Tax payable
-60.18%96.42K
-7.71%96.42K
9.94%242.13K
-19.39%104.47K
29.95%220.25K
290.53%129.6K
400.61%169.48K
-1.98%33.19K
-82.59%33.86K
-80.71%33.86K
Amounts payable to associated parties-current liabilities
-0.50%3.58M
-37.60%3.4M
14.51%3.6M
223.37%5.45M
1,050.07%3.15M
118.80%1.69M
125.79%273.51K
535.85%770.21K
--121.13K
--121.13K
Bank loans and overdrafts
--446.25K
79.52%265.83K
----
-54.68%148.08K
17.36%282.58K
-7.13%326.77K
-9.35%240.79K
1.49%351.86K
22.10%265.61K
30.53%346.69K
Provision-current liabilities
----
----
-4.48%75.58K
-21.47%62.15K
166.39%79.13K
-2.73%79.13K
--29.71K
329.17%81.36K
----
--18.96K
Financial lease liabilities-current liabilities
-88.74%80.42K
-84.93%107.36K
-46.77%714.37K
-59.38%712.45K
-23.00%1.34M
-50.11%1.75M
-57.00%1.74M
-15.62%3.52M
-15.29%4.05M
12.68%4.17M
Total current liabilities
10.29%8.44M
2.18%8.64M
-3.19%7.65M
44.65%8.46M
44.58%7.9M
-14.62%5.85M
-26.66%5.46M
-12.13%6.85M
9.18%7.45M
29.82%7.79M
Net current assets
-110.76%-6.72M
4.19%-6.1M
35.55%-3.19M
-35.59%-6.37M
-86.30%-4.95M
-36.32%-4.7M
-0.76%-2.66M
-43.53%-3.45M
-462.98%-2.64M
-212.74%-2.4M
Total assets less current liabilities
-950.52%-4.4M
22.01%-3.76M
112.76%517.11K
-73.35%-4.82M
-228.05%-4.05M
-170.97%-2.78M
-58.18%3.17M
-58.33%3.92M
-65.72%7.57M
-49.48%9.4M
Non-current liabilities
Long-term bank loan
----
----
----
----
----
----
-66.73%157.52K
-60.24%228.13K
-44.40%473.52K
-37.48%573.79K
Financial lease liabilities-non-current liabilities
-40.60%117.01K
-71.65%55.61K
-67.35%196.96K
-84.54%196.17K
-77.40%603.22K
-54.85%1.27M
-36.45%2.67M
-54.10%2.81M
-67.88%4.2M
-38.70%6.12M
Deferred tax liability
-61.08%34.6K
-61.08%34.6K
321.97%88.88K
-50.66%88.88K
-68.74%21.06K
167.30%180.13K
118.23%67.39K
7.22%67.39K
58.08%30.88K
-59.08%62.85K
Provision-non-current liabilities
----
----
-52.36%100.68K
-81.55%38.53K
-16.61%211.32K
7.16%208.89K
-22.56%253.41K
-38.78%194.94K
-24.76%327.23K
-7.78%318.42K
Total non-current liabilities
-60.78%151.6K
-72.12%90.2K
-53.74%386.52K
-80.48%323.58K
-73.45%835.6K
-49.77%1.66M
-37.44%3.15M
-53.37%3.3M
-65.01%5.03M
-37.94%7.08M
Total liabilities
6.87%8.59M
-0.56%8.73M
-8.02%8.04M
17.00%8.78M
1.45%8.74M
-26.05%7.5M
-31.01%8.61M
-31.76%10.15M
-41.14%12.48M
-14.57%14.87M
Total assets less total liabilities
-3,583.89%-4.55M
25.16%-3.85M
102.67%130.59K
-15.90%-5.14M
-26,477.48%-4.89M
-817.61%-4.44M
-99.27%18.54K
-73.41%618.55K
-67.04%2.54M
-67.73%2.33M
Total equity and non-current liabilities
-950.52%-4.4M
22.01%-3.76M
112.76%517.11K
-73.35%-4.82M
-228.05%-4.05M
-170.97%-2.78M
-58.18%3.17M
-58.33%3.92M
-65.72%7.57M
-49.48%9.4M
Equity
Share capital
0.00%488.56K
0.00%488.56K
10.69%488.56K
10.69%488.56K
0.00%441.36K
0.00%441.36K
0.00%441.36K
0.00%441.36K
0.00%441.36K
0.00%441.36K
Share premium
0.00%8.5M
0.00%8.5M
19.67%8.5M
19.67%8.5M
0.00%7.1M
0.00%7.1M
0.00%7.1M
0.00%7.1M
0.00%7.1M
0.00%7.1M
Exchange reserve
-1,965.73%-179.09K
-816.24%-283.28K
145.74%9.6K
576.63%39.55K
-334.08%-20.99K
-2,373.42%-8.3K
-140.99%-4.84K
-19.25%365
--11.8K
--452
Other reserves
5.86%1.88M
5.86%1.88M
0.00%1.78M
0.00%1.78M
0.00%1.78M
0.00%1.78M
0.00%1.78M
0.00%1.78M
0.00%1.78M
0.00%1.78M
Retained profit
-33.12%-17.87M
-9.67%-17.1M
2.39%-13.42M
-16.76%-15.59M
-49.07%-13.75M
-53.83%-13.36M
-35.82%-9.22M
-24.09%-8.68M
-319.12%-6.79M
-231.13%-7M
Shareholders' Equity
-171.09%-7.18M
-36.04%-6.52M
40.51%-2.65M
-18.48%-4.79M
-4,901.73%-4.45M
-731.88%-4.04M
-96.35%92.68K
-72.48%639.78K
-66.99%2.54M
-67.75%2.33M
Non-controlling interest
-5.44%2.63M
851.14%2.67M
732.28%2.78M
10.40%-354.88K
-492.57%-439.35K
-1,765.20%-396.09K
-2,054.07%-74.14K
-2,249.39%-21.24K
---3.44K
--988
Total equity
-3,583.89%-4.55M
25.16%-3.85M
102.67%130.59K
-15.90%-5.14M
-26,477.48%-4.89M
-817.61%-4.44M
-99.27%18.54K
-73.41%618.55K
-67.04%2.54M
-67.73%2.33M
Total equity and total liabilities
-50.55%4.04M
34.26%4.88M
112.27%8.17M
18.60%3.63M
-55.42%3.85M
-71.53%3.06M
-42.54%8.63M
-37.39%10.77M
-48.04%15.02M
-30.14%17.2M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Auditor
--
National Health Accounting Firm Co., Ltd.
--
National Health Accounting Firm Co., Ltd.
--
ShinWing Certified Public Accountants (Hong Kong) Limited
--
National Health Accounting Firm Co., Ltd.
--
National Health Accounting Firm Co., Ltd.
(Q6)Dec 31, 2025(FY)Jun 30, 2025(Q6)Dec 31, 2024(FY)Jun 30, 2024(Q6)Dec 31, 2023(FY)Jun 30, 2023(Q6)Dec 31, 2022(FY)Jun 30, 2022(Q6)Dec 31, 2021(FY)Jun 30, 2021
Assets
Current assets
Inventory 12.02%234.34K240.89%226.9K23.29%209.19K15.12%66.56K25.56%169.67K-54.37%57.82K-9.68%135.13K13.84%126.72K-0.14%149.62K10.40%111.31K
Accounts receivable -69.66%1.16M-22.58%1.35M179.77%3.82M88.33%1.74M-18.55%1.37M-7.97%924.7K61.01%1.68M38.40%1M-27.76%1.04M-13.63%725.99K
Cash and equivalents -25.54%319.78K244.76%963.51K-69.67%429.47K67.63%279.47K42.13%1.42M-92.66%166.72K-72.51%996.16K-50.15%2.27M-39.21%3.62M-35.76%4.55M
Total current assets -61.58%1.71M21.61%2.54M51.11%4.46M81.64%2.09M5.10%2.95M-66.22%1.15M-41.68%2.81M-36.91%3.4M-36.25%4.81M-33.69%5.39M
Non-current assets
Property, plant and equipment -22.42%2.16M307.73%2.2M2,964.16%2.78M193.41%540.18K-95.13%90.79K-91.60%184.1K-28.36%1.86M-13.31%2.19M-24.20%2.6M12.54%2.53M
Advance payment -96.25%21.25K----29.94%565.93K28.87%562.33K-58.30%435.55K-57.48%436.35K-23.65%1.04M-24.99%1.03M14.76%1.37M-4.57%1.37M
Deferred tax assets ----------1.23K-75.26%88.84K------359.08K---------9.02%101.71K-48.28%127.15K
Total non-current assets -37.27%2.33M51.33%2.34M313.68%3.71M-19.23%1.55M-84.61%896.19K-73.99%1.92M-42.95%5.82M-37.61%7.36M-52.21%10.21M-28.39%11.8M
Total assets -50.55%4.04M34.26%4.88M112.27%8.17M18.60%3.63M-55.42%3.85M-71.53%3.06M-42.54%8.63M-37.39%10.77M-48.04%15.02M-30.14%17.2M
Liabilities
Current liabilities
Accounts payable 67.10%4.18M222.00%4.73M-11.69%2.5M-21.52%1.47M-5.88%2.83M-10.68%1.87M1.02%3.01M-32.54%2.09M82.80%2.98M66.63%3.11M
Tax payable -60.18%96.42K-7.71%96.42K9.94%242.13K-19.39%104.47K29.95%220.25K290.53%129.6K400.61%169.48K-1.98%33.19K-82.59%33.86K-80.71%33.86K
Amounts payable to associated parties-current liabilities -0.50%3.58M-37.60%3.4M14.51%3.6M223.37%5.45M1,050.07%3.15M118.80%1.69M125.79%273.51K535.85%770.21K--121.13K--121.13K
Bank loans and overdrafts --446.25K79.52%265.83K-----54.68%148.08K17.36%282.58K-7.13%326.77K-9.35%240.79K1.49%351.86K22.10%265.61K30.53%346.69K
Provision-current liabilities ---------4.48%75.58K-21.47%62.15K166.39%79.13K-2.73%79.13K--29.71K329.17%81.36K------18.96K
Financial lease liabilities-current liabilities -88.74%80.42K-84.93%107.36K-46.77%714.37K-59.38%712.45K-23.00%1.34M-50.11%1.75M-57.00%1.74M-15.62%3.52M-15.29%4.05M12.68%4.17M
Total current liabilities 10.29%8.44M2.18%8.64M-3.19%7.65M44.65%8.46M44.58%7.9M-14.62%5.85M-26.66%5.46M-12.13%6.85M9.18%7.45M29.82%7.79M
Net current assets -110.76%-6.72M4.19%-6.1M35.55%-3.19M-35.59%-6.37M-86.30%-4.95M-36.32%-4.7M-0.76%-2.66M-43.53%-3.45M-462.98%-2.64M-212.74%-2.4M
Total assets less current liabilities -950.52%-4.4M22.01%-3.76M112.76%517.11K-73.35%-4.82M-228.05%-4.05M-170.97%-2.78M-58.18%3.17M-58.33%3.92M-65.72%7.57M-49.48%9.4M
Non-current liabilities
Long-term bank loan -------------------------66.73%157.52K-60.24%228.13K-44.40%473.52K-37.48%573.79K
Financial lease liabilities-non-current liabilities -40.60%117.01K-71.65%55.61K-67.35%196.96K-84.54%196.17K-77.40%603.22K-54.85%1.27M-36.45%2.67M-54.10%2.81M-67.88%4.2M-38.70%6.12M
Deferred tax liability -61.08%34.6K-61.08%34.6K321.97%88.88K-50.66%88.88K-68.74%21.06K167.30%180.13K118.23%67.39K7.22%67.39K58.08%30.88K-59.08%62.85K
Provision-non-current liabilities ---------52.36%100.68K-81.55%38.53K-16.61%211.32K7.16%208.89K-22.56%253.41K-38.78%194.94K-24.76%327.23K-7.78%318.42K
Total non-current liabilities -60.78%151.6K-72.12%90.2K-53.74%386.52K-80.48%323.58K-73.45%835.6K-49.77%1.66M-37.44%3.15M-53.37%3.3M-65.01%5.03M-37.94%7.08M
Total liabilities 6.87%8.59M-0.56%8.73M-8.02%8.04M17.00%8.78M1.45%8.74M-26.05%7.5M-31.01%8.61M-31.76%10.15M-41.14%12.48M-14.57%14.87M
Total assets less total liabilities -3,583.89%-4.55M25.16%-3.85M102.67%130.59K-15.90%-5.14M-26,477.48%-4.89M-817.61%-4.44M-99.27%18.54K-73.41%618.55K-67.04%2.54M-67.73%2.33M
Total equity and non-current liabilities -950.52%-4.4M22.01%-3.76M112.76%517.11K-73.35%-4.82M-228.05%-4.05M-170.97%-2.78M-58.18%3.17M-58.33%3.92M-65.72%7.57M-49.48%9.4M
Equity
Share capital 0.00%488.56K0.00%488.56K10.69%488.56K10.69%488.56K0.00%441.36K0.00%441.36K0.00%441.36K0.00%441.36K0.00%441.36K0.00%441.36K
Share premium 0.00%8.5M0.00%8.5M19.67%8.5M19.67%8.5M0.00%7.1M0.00%7.1M0.00%7.1M0.00%7.1M0.00%7.1M0.00%7.1M
Exchange reserve -1,965.73%-179.09K-816.24%-283.28K145.74%9.6K576.63%39.55K-334.08%-20.99K-2,373.42%-8.3K-140.99%-4.84K-19.25%365--11.8K--452
Other reserves 5.86%1.88M5.86%1.88M0.00%1.78M0.00%1.78M0.00%1.78M0.00%1.78M0.00%1.78M0.00%1.78M0.00%1.78M0.00%1.78M
Retained profit -33.12%-17.87M-9.67%-17.1M2.39%-13.42M-16.76%-15.59M-49.07%-13.75M-53.83%-13.36M-35.82%-9.22M-24.09%-8.68M-319.12%-6.79M-231.13%-7M
Shareholders' Equity -171.09%-7.18M-36.04%-6.52M40.51%-2.65M-18.48%-4.79M-4,901.73%-4.45M-731.88%-4.04M-96.35%92.68K-72.48%639.78K-66.99%2.54M-67.75%2.33M
Non-controlling interest -5.44%2.63M851.14%2.67M732.28%2.78M10.40%-354.88K-492.57%-439.35K-1,765.20%-396.09K-2,054.07%-74.14K-2,249.39%-21.24K---3.44K--988
Total equity -3,583.89%-4.55M25.16%-3.85M102.67%130.59K-15.90%-5.14M-26,477.48%-4.89M-817.61%-4.44M-99.27%18.54K-73.41%618.55K-67.04%2.54M-67.73%2.33M
Total equity and total liabilities -50.55%4.04M34.26%4.88M112.27%8.17M18.60%3.63M-55.42%3.85M-71.53%3.06M-42.54%8.63M-37.39%10.77M-48.04%15.02M-30.14%17.2M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Auditor --National Health Accounting Firm Co., Ltd.--National Health Accounting Firm Co., Ltd.--ShinWing Certified Public Accountants (Hong Kong) Limited--National Health Accounting Firm Co., Ltd.--National Health Accounting Firm 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.

Market Insights
China and the US begin implementing the Kuala Lumpur economic and trade consultation consensus.
China and the United States have successively adjusted multiple tariff and non-tariff measures, beginning to implement the consensus outcome Show More