Tasek Corporation Bhd


Tasek Corporation Bhd, Fast Cash Flow has always been high, due to the current assets and very low borrowings, and that particular assets is cash and cash equivalents, and also contributes a high current ratio.
快速现金流转一直是高的,基于流动资产和低借款,和现金及现金等价物有助于提高流动比率。

GP Margin has remain above 30% and favorable net profit before tax.
毛利率保持30%以上和良好的除税前溢

 Description 描述  Latest 最新财务报表
 Current Assets more than Fixed Assets
 流动资产 超越 固定资产
 Yes 是
 Current Ratio more than 1.50 流动比率超过1.50 
 偿付短期债务能力的一个指标
 Yes 是
 Net Profit before Tax 除税前溢  Yes 是
 Fast Cash Flow Positive 正面快速现金流转 Yes 是
 Cash and bank balances over Current Assets 现金及银行结余占总流动资产 73.90%
 Trade and Other Payables over Current Liabilities  贸易及其他应付款项占总流动负债 85.30%
 Retained Earnings 保留溢利 Yes 是
 Biggest Turnover (Stock)  最长周转时期(库存) 2.89 months 个月



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