HKSE - Delayed Quote HKD
LAM SOON (HK) (0411.HK)
10.200
+0.100
+(0.99%)
As of April 24 at 3:16:14 PM GMT+8. Market Open.
Breakdown
TTM
6/30/2024
6/30/2023
6/30/2022
6/30/2021
Total Revenue
4,837,585
4,837,585
5,118,938
6,106,635
5,761,248
Cost of Revenue
3,824,687
3,824,687
4,242,965
4,963,246
4,476,856
Gross Profit
1,012,898
1,012,898
875,973
1,143,389
1,284,392
Operating Expense
822,322
822,322
826,753
892,275
891,795
Operating Income
190,576
190,576
49,220
251,114
392,597
Net Non Operating Interest Income Expense
44,405
44,405
32,420
24,379
26,481
Pretax Income
244,557
244,557
90,571
285,431
420,753
Tax Provision
43,958
43,958
5,222
28,171
63,055
Net Income Common Stockholders
200,599
200,599
85,349
257,260
357,698
Diluted NI Available to Com Stockholders
200,599
200,599
85,349
257,260
357,698
Basic EPS
0.73
0.85
0.36
1.09
1.51
Diluted EPS
0.73
0.85
0.36
1.09
1.51
Basic Average Shares
234,926
234,854
234,981
235,726
236,875
Diluted Average Shares
234,926
234,854
234,981
235,726
236,875
Total Operating Income as Reported
244,811
244,811
90,779
285,727
421,036
Total Expenses
4,647,009
4,647,009
5,069,718
5,855,521
5,368,651
Net Income from Continuing & Discontinued Operation
200,599
200,599
85,349
257,260
357,698
Normalized Income
199,869.794
199,869.794
84,841.077
256,038.734
365,404.499
Interest Income
44,659
44,659
32,628
24,675
26,764
Interest Expense
254
254
208
296
283
Net Interest Income
44,405
44,405
32,420
24,379
26,481
EBIT
244,811
244,811
90,779
285,727
421,036
EBITDA
317,212
317,212
167,414
351,704
483,950
Reconciled Cost of Revenue
3,824,687
3,824,687
4,242,965
4,963,246
4,476,856
Reconciled Depreciation
72,401
72,401
76,635
65,977
62,914
Net Income from Continuing Operation Net Minority Interest
200,599
200,599
85,349
257,260
357,698
Total Unusual Items Excluding Goodwill
889
889
539
1,355
-9,065
Total Unusual Items
889
889
539
1,355
-9,065
Normalized EBITDA
316,323
316,323
166,875
350,349
493,015
Tax Rate for Calcs
0
0
0
0
0
Tax Effect of Unusual Items
159.794
159.794
31.077
133.734
-1,358.501
6/30/2021 - 1/11/2000
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