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Multi-dimentional Analyses
Company Valuation Capital Tracking Short Selling Data
OILFF NEXTLEAF SOLUTIONS LTD
0.059
-0.001-2.08%
YOY
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(Q3)2022/06/30(Q2)2022/03/31(Q1)2021/12/31(FY)2021/09/30
Financial Ratios
Efficiency Ratios TTM
Receivable Turnover(T)
20.76% 6.6527 25.63% 8.7074 -6.7% 7.9516 15.41% 5.8006
Inventory Turnover(T)
38.39% 2.4545 -18.3% 2.6173 -- 3.006 291.33% 3.0618
Fixed Assets Turnover(T)
147.63% 1.0686 196.82% 0.9073 116.86% 0.6618 356.97% 0.6599
Total Asset Rate(T)
143.85% 0.5276 162.44% 0.4456 99.86% 0.3708 409.54% 0.3562
ROIC
6.16% -58.000% 17.57% -54.409% 7.36% -66.885% -0.22% -69.699%
ROE
-29.07% -101.291% -10.74% -90.271% -19.32% -90.131% -37.21% -100.758%
ROA
8.76% -49.331% 11.95% -49.665% 5.09% -61.127% 5.79% -56.767%
Efficiency Ratios
Profitability Ratios TTM
Gross Margin
114.05% 6.032% 114.06% 7.684% -- -17.457% -278.52% -25.303%
Operating Margin
66.15% -75.648% 71.69% -89.196% 57.95% -139.027% 82.91% -141.912%
Net Margin
62.58% -93.496% 66.45% -111.461% 52.51% -164.848% 81.51% -159.368%
EBITDA Margin
66.63% -0.5882% 75.78% -0.6333% 59.14% -1.1063% 83.86% -1.1227%
R & D Expense Ratio
-9.93% 1.360% -90.39% 1.050% -94.86% 0.890% -96.95% 1.110%
Sales Expense Ratio
-- 0.000% -- 0.000% -- 0.000% -- 0.000%
Administration Expense Rate
-57.46% 73.220% -63.85% 86.680% -55.32% 116.220% -84.44% 108.630%
Financial Health Ratios
Long-Term Debt to Equity Ratio
-60.27% 8.470% -52.95% 7.162% 13.58% 6.559% 92.91% 10.464%
Total Assets to Common Equity
-2.18% 202.775% 4.68% 186.362% 49.64% 180.637% 99.16% 268.225%
Debt to Asset Ratio
-42.66% 34.837% -36.7% 30.379% 453.47% 34.518% 1526.39% 94.713%
Current Ratio
-11.89% 0.9071 -5.98% 1.083 -8.09% 1.1821 -42.09% 0.7325
Quick Ratio
-35.06% 0.3902 -48.72% 0.4764 68.27% 0.713 -51.32% 0.3654
GrowthRatios
Growth Ratios
Revenue CAGR(3Y)
-- -- -- -- -- -- -- 422.564%
Currency Unit
CADCADCADCAD

FY: Financial Year Annual Report, which is equivalent to the 10-K file disclosed by the listed company to the SEC.

Q: Quarterly report, which is equivalent to the 10-Q file disclosed by the listed company to the SEC, where Q1, Q2, Q3, and Q4 are single quarterly reports with a span of 3 months; Q6 and Q9 are cumulative quarterly reports, and Q6 is 6 months , Q9 is 9 months.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%

Company Overview More
CEO: --
Market: Pink Market
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