Disclosure Details:
For the financial year ended 30 June 2021, PESTCH (Cambodia) PLC (“PCL”) has total revenue of KHR273,628 million representing an increase of KHR70,614 million or 34.78% as compared to KHR203,014 million in the financial year ended 30 June 2020.
At the end of 30 June 2021, PCL has total assets of KHR1,166,882 million representing an increase of KHR150,770 million or 14.84% as compared to KHR1,016,112 million in the financial year ended 30 June 2020 and total equity is KHR93,897 million representing an increase of KHR23,940 million or 34.22% as compared to KHR69,957 million in the financial year ended 30 June 2020.
The significant indicators for the financial year ended 30 June 2021 are as follows:
1. Current Ratio: 0.90%
2. Quick Ratio: 0.88%
3. Return on Assets: 0.51%
4. Return on Equity: 6.37%
5. Gross Profit Margin: 16.34%
6. Profit Margin: 2.19%
7. Earnings per Share: KHR 75.86