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A-Sonic Aero (BTJ)

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  • 0.565
  • +0.010+1.80%
10min DelayMarket Closed Apr 30 15:24 CST
57.46MMarket Cap15.27P/E (TTM)

BTJ A-Sonic Aero

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q2)Jun 30, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
0.95%45.86M
0.95%45.86M
6.27%46.49M
-4.50%45.43M
-4.50%45.43M
2.71%43.75M
-4.51%47.57M
--47.57M
-13.06%42.59M
26.33%49.82M
-Cash and cash equivalents
0.95%45.86M
0.95%45.86M
6.27%46.49M
-4.50%45.43M
-4.50%45.43M
2.71%43.75M
-4.51%47.57M
--47.57M
-13.06%42.59M
26.33%49.82M
-Accounts receivable
-3.20%25.77M
-3.20%25.77M
-17.41%30.25M
4.05%26.62M
4.05%26.62M
0.31%36.63M
-1.14%25.59M
--25.59M
-36.34%36.52M
-46.66%25.88M
-Gross accounts receivable
-4.43%26.74M
-4.43%26.74M
----
3.43%27.98M
3.43%27.98M
----
0.33%27.05M
--27.05M
----
--26.96M
-Bad debt provision
28.45%-971K
28.45%-971K
----
7.44%-1.36M
7.44%-1.36M
----
-35.62%-1.47M
---1.47M
----
---1.08M
-Other receivables
-13.93%2.52M
-13.93%2.52M
-35.43%709K
31.52%2.93M
31.52%2.93M
-61.30%1.1M
-69.30%2.23M
--2.23M
-51.69%2.84M
78.27%7.25M
Prepaid assets
-4.15%4.67M
-4.15%4.67M
----
4.26%4.87M
4.26%4.87M
----
15.77%4.67M
--4.67M
----
-36.68%4.03M
Total current assets
-1.53%80.16M
-1.53%80.16M
-4.51%77.81M
0.67%81.41M
0.67%81.41M
-1.33%81.48M
-9.25%80.87M
--80.87M
-26.65%82.58M
-11.07%89.11M
Non current assets
Net PPE
34.94%7.21M
34.94%7.21M
40.72%6.89M
-4.11%5.34M
-4.11%5.34M
-17.40%4.9M
-9.45%5.57M
--5.57M
-14.13%5.93M
-5.22%6.15M
-Gross PP&E
17.82%21.51M
17.82%21.51M
----
0.82%18.26M
0.82%18.26M
-17.40%4.9M
-0.24%18.11M
--18.11M
-14.13%5.93M
-0.53%18.15M
-Accumulated depreciation
-10.75%-14.31M
-10.75%-14.31M
----
-3.01%-12.92M
-3.01%-12.92M
----
-4.48%-12.54M
---12.54M
----
-2.07%-12M
Total investment
14.75%638K
14.75%638K
16.43%574K
23.56%556K
23.56%556K
7.88%493K
15.09%450K
--450K
30.95%457K
32.09%391K
-Long-term equity investment
17.94%539K
17.94%539K
20.56%475K
30.20%457K
30.20%457K
10.06%394K
20.21%351K
--351K
43.20%358K
48.22%292K
-Including:Available-for-sale securities
0.00%99K
0.00%99K
0.00%99K
0.00%99K
0.00%99K
0.00%99K
0.00%99K
--99K
0.00%99K
0.00%99K
Goodwill and other intangible assets
----
----
----
----
----
--24K
----
----
----
----
-Goodwill
----
----
----
----
----
--24K
----
----
----
----
Total non current assets
28.51%8.47M
28.51%8.47M
37.07%8.16M
0.35%6.59M
0.35%6.59M
-14.24%5.95M
-7.61%6.57M
--6.57M
-4.39%6.94M
4.62%7.11M
Total assets
0.72%88.63M
0.72%88.63M
-1.68%85.97M
0.65%88M
0.65%88M
-2.33%87.44M
-9.13%87.43M
--87.43M
-25.30%89.52M
-10.07%96.22M
Liabilities
Current liabilities
-Current debt and capital lease obligation
40.28%1.49M
40.28%1.49M
31.39%1.15M
30.38%1.06M
30.38%1.06M
-22.67%873K
2.39%813K
--813K
18.10%1.13M
-22.23%794K
-Including:Current capital Lease obligation
40.28%1.49M
40.28%1.49M
31.39%1.15M
30.38%1.06M
30.38%1.06M
-22.67%873K
2.39%813K
--813K
18.10%1.13M
-16.16%794K
Payables
-11.83%25.81M
-11.83%25.81M
-15.11%34.67M
-4.21%29.27M
-4.21%29.27M
-1.86%40.84M
-14.97%30.55M
--30.55M
-41.94%41.61M
-23.75%35.93M
-accounts payable
-11.20%22.77M
-11.20%22.77M
-16.54%33.7M
-4.94%25.64M
-4.94%25.64M
0.21%40.38M
-7.52%26.97M
--26.97M
-42.88%40.29M
-27.00%29.16M
-Total tax payable
29.85%622K
29.85%622K
2,355.00%491K
199.38%479K
199.38%479K
-97.74%20K
-85.10%160K
--160K
-17.66%886K
15.24%1.07M
-Other payable
-23.32%2.42M
-23.32%2.42M
8.64%478K
-7.94%3.15M
-7.94%3.15M
1.15%440K
-39.91%3.42M
--3.42M
736.54%435K
-8.79%5.7M
Current provisions
----
----
----
----
----
----
0.00%160K
--160K
-39.62%160K
-39.62%160K
Current liabilities
-7.30%35.96M
-7.30%35.96M
-14.18%35.82M
-4.83%38.79M
-4.83%38.79M
-2.94%41.74M
-16.53%40.75M
--40.75M
-41.09%43M
-22.87%48.82M
Non current liabilities
-Long term debt and capital lease obligation
-23.50%664K
-23.50%664K
32.81%846K
-2.91%868K
-2.91%868K
-43.48%637K
-36.32%894K
--894K
-6.16%1.13M
203.90%1.4M
-Including:Long term capital lease obligation
-23.50%664K
-23.50%664K
32.81%846K
-2.91%868K
-2.91%868K
-43.48%637K
-36.32%894K
--894K
-6.16%1.13M
203.90%1.4M
Total non current liabilities
-23.50%664K
-23.50%664K
32.81%846K
-4.09%868K
-4.09%868K
-43.73%637K
-35.54%905K
--905K
-5.75%1.13M
203.90%1.4M
Total liabilities
-7.65%36.62M
-7.65%36.62M
-13.48%36.66M
-4.81%39.65M
-4.81%39.65M
-3.98%42.37M
-17.06%41.66M
--41.66M
-40.52%44.13M
-21.23%50.23M
Shareholders'equity
Share capital
0.00%52.51M
0.00%52.51M
0.00%52.51M
0.00%52.51M
0.00%52.51M
0.00%52.51M
0.00%52.51M
--52.51M
0.00%52.51M
1.45%52.51M
-common stock
0.00%52.51M
0.00%52.51M
0.00%52.51M
0.00%52.51M
0.00%52.51M
0.00%52.51M
0.00%52.51M
--52.51M
0.00%52.51M
1.45%52.51M
Retained earnings
66.17%4.81M
66.17%4.81M
299.11%2.68M
1,266.51%2.9M
1,266.51%2.9M
1,716.22%672K
223.98%212K
--212K
103.76%37K
92.61%-171K
Total stockholders'equity
7.04%50.59M
7.04%50.59M
7.43%48.34M
4.95%47.26M
4.95%47.26M
1.39%44.99M
0.94%45.03M
--45.03M
2.03%44.38M
5.52%44.61M
Noncontrolling interests
31.09%1.43M
31.09%1.43M
1,308.70%972K
46.30%1.09M
46.30%1.09M
-93.21%69K
-46.28%743K
--743K
-53.05%1.02M
44.51%1.38M
Total equity
7.59%52.01M
7.59%52.01M
9.42%49.31M
5.62%48.34M
5.62%48.34M
-0.73%45.06M
-0.48%45.77M
--45.77M
-0.58%45.39M
6.38%45.99M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q2)Jun 30, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 0.95%45.86M0.95%45.86M6.27%46.49M-4.50%45.43M-4.50%45.43M2.71%43.75M-4.51%47.57M--47.57M-13.06%42.59M26.33%49.82M
-Cash and cash equivalents 0.95%45.86M0.95%45.86M6.27%46.49M-4.50%45.43M-4.50%45.43M2.71%43.75M-4.51%47.57M--47.57M-13.06%42.59M26.33%49.82M
-Accounts receivable -3.20%25.77M-3.20%25.77M-17.41%30.25M4.05%26.62M4.05%26.62M0.31%36.63M-1.14%25.59M--25.59M-36.34%36.52M-46.66%25.88M
-Gross accounts receivable -4.43%26.74M-4.43%26.74M----3.43%27.98M3.43%27.98M----0.33%27.05M--27.05M------26.96M
-Bad debt provision 28.45%-971K28.45%-971K----7.44%-1.36M7.44%-1.36M-----35.62%-1.47M---1.47M-------1.08M
-Other receivables -13.93%2.52M-13.93%2.52M-35.43%709K31.52%2.93M31.52%2.93M-61.30%1.1M-69.30%2.23M--2.23M-51.69%2.84M78.27%7.25M
Prepaid assets -4.15%4.67M-4.15%4.67M----4.26%4.87M4.26%4.87M----15.77%4.67M--4.67M-----36.68%4.03M
Total current assets -1.53%80.16M-1.53%80.16M-4.51%77.81M0.67%81.41M0.67%81.41M-1.33%81.48M-9.25%80.87M--80.87M-26.65%82.58M-11.07%89.11M
Non current assets
Net PPE 34.94%7.21M34.94%7.21M40.72%6.89M-4.11%5.34M-4.11%5.34M-17.40%4.9M-9.45%5.57M--5.57M-14.13%5.93M-5.22%6.15M
-Gross PP&E 17.82%21.51M17.82%21.51M----0.82%18.26M0.82%18.26M-17.40%4.9M-0.24%18.11M--18.11M-14.13%5.93M-0.53%18.15M
-Accumulated depreciation -10.75%-14.31M-10.75%-14.31M-----3.01%-12.92M-3.01%-12.92M-----4.48%-12.54M---12.54M-----2.07%-12M
Total investment 14.75%638K14.75%638K16.43%574K23.56%556K23.56%556K7.88%493K15.09%450K--450K30.95%457K32.09%391K
-Long-term equity investment 17.94%539K17.94%539K20.56%475K30.20%457K30.20%457K10.06%394K20.21%351K--351K43.20%358K48.22%292K
-Including:Available-for-sale securities 0.00%99K0.00%99K0.00%99K0.00%99K0.00%99K0.00%99K0.00%99K--99K0.00%99K0.00%99K
Goodwill and other intangible assets ----------------------24K----------------
-Goodwill ----------------------24K----------------
Total non current assets 28.51%8.47M28.51%8.47M37.07%8.16M0.35%6.59M0.35%6.59M-14.24%5.95M-7.61%6.57M--6.57M-4.39%6.94M4.62%7.11M
Total assets 0.72%88.63M0.72%88.63M-1.68%85.97M0.65%88M0.65%88M-2.33%87.44M-9.13%87.43M--87.43M-25.30%89.52M-10.07%96.22M
Liabilities
Current liabilities
-Current debt and capital lease obligation 40.28%1.49M40.28%1.49M31.39%1.15M30.38%1.06M30.38%1.06M-22.67%873K2.39%813K--813K18.10%1.13M-22.23%794K
-Including:Current capital Lease obligation 40.28%1.49M40.28%1.49M31.39%1.15M30.38%1.06M30.38%1.06M-22.67%873K2.39%813K--813K18.10%1.13M-16.16%794K
Payables -11.83%25.81M-11.83%25.81M-15.11%34.67M-4.21%29.27M-4.21%29.27M-1.86%40.84M-14.97%30.55M--30.55M-41.94%41.61M-23.75%35.93M
-accounts payable -11.20%22.77M-11.20%22.77M-16.54%33.7M-4.94%25.64M-4.94%25.64M0.21%40.38M-7.52%26.97M--26.97M-42.88%40.29M-27.00%29.16M
-Total tax payable 29.85%622K29.85%622K2,355.00%491K199.38%479K199.38%479K-97.74%20K-85.10%160K--160K-17.66%886K15.24%1.07M
-Other payable -23.32%2.42M-23.32%2.42M8.64%478K-7.94%3.15M-7.94%3.15M1.15%440K-39.91%3.42M--3.42M736.54%435K-8.79%5.7M
Current provisions ------------------------0.00%160K--160K-39.62%160K-39.62%160K
Current liabilities -7.30%35.96M-7.30%35.96M-14.18%35.82M-4.83%38.79M-4.83%38.79M-2.94%41.74M-16.53%40.75M--40.75M-41.09%43M-22.87%48.82M
Non current liabilities
-Long term debt and capital lease obligation -23.50%664K-23.50%664K32.81%846K-2.91%868K-2.91%868K-43.48%637K-36.32%894K--894K-6.16%1.13M203.90%1.4M
-Including:Long term capital lease obligation -23.50%664K-23.50%664K32.81%846K-2.91%868K-2.91%868K-43.48%637K-36.32%894K--894K-6.16%1.13M203.90%1.4M
Total non current liabilities -23.50%664K-23.50%664K32.81%846K-4.09%868K-4.09%868K-43.73%637K-35.54%905K--905K-5.75%1.13M203.90%1.4M
Total liabilities -7.65%36.62M-7.65%36.62M-13.48%36.66M-4.81%39.65M-4.81%39.65M-3.98%42.37M-17.06%41.66M--41.66M-40.52%44.13M-21.23%50.23M
Shareholders'equity
Share capital 0.00%52.51M0.00%52.51M0.00%52.51M0.00%52.51M0.00%52.51M0.00%52.51M0.00%52.51M--52.51M0.00%52.51M1.45%52.51M
-common stock 0.00%52.51M0.00%52.51M0.00%52.51M0.00%52.51M0.00%52.51M0.00%52.51M0.00%52.51M--52.51M0.00%52.51M1.45%52.51M
Retained earnings 66.17%4.81M66.17%4.81M299.11%2.68M1,266.51%2.9M1,266.51%2.9M1,716.22%672K223.98%212K--212K103.76%37K92.61%-171K
Total stockholders'equity 7.04%50.59M7.04%50.59M7.43%48.34M4.95%47.26M4.95%47.26M1.39%44.99M0.94%45.03M--45.03M2.03%44.38M5.52%44.61M
Noncontrolling interests 31.09%1.43M31.09%1.43M1,308.70%972K46.30%1.09M46.30%1.09M-93.21%69K-46.28%743K--743K-53.05%1.02M44.51%1.38M
Total equity 7.59%52.01M7.59%52.01M9.42%49.31M5.62%48.34M5.62%48.34M-0.73%45.06M-0.48%45.77M--45.77M-0.58%45.39M6.38%45.99M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
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