SMIT Holdings Ltd. | Balance Sheet

Fiscal year is January-December. All values HKD Millions.
2013
2014
2015
2016
2017
2018
Cash & Short Term Investments
420
431
263
540
685
469
Total Accounts Receivable
295
335
199
171
84
91
Inventories
56
75
58
53
131
78
Other Current Assets
7
9
7
12
20
82
Total Current Assets
778
850
528
777
920
720
Net Property, Plant & Equipment
14
22
18
16
16
14
Total Investments and Advances
11
9
-
-
30
143
Intangible Assets
57
58
55
49
52
213
Other Assets
3
2
2
2
4
-
Total Assets
867
945
612
849
1,029
1,103
Accounts Payable
11
30
61
18
59
Income Tax Payable
2
3
12
5
9
Other Current Liabilities
396
408
57
57
68
Total Current Liabilities
409
441
130
80
136
Deferred Taxes
4
5
9
5
8
Total Liabilities
409
442
130
80
136
Common Equity (Total)
458
503
482
768
894
Total Shareholders' Equity
458
503
482
768
894
Total Equity
458
503
482
768
894
Liabilities & Shareholders' Equity
867
945
612
849
1,029

About SMIT Holdings

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Address
1/F, Harbour View 2
Shatin
Hong Kong
Employees -
Website http://www.smit.com.cn
Updated 07/08/2019
SMIT Holdings Ltd. engages in the development, manufacture, and sale of security products. It operates through the following segments: Conditional Access Modules (CAM) and Mobile Point-of-Sales (mPOS), Blockchain Servers, and Online-to-Offline Smart Terminals (O2O). The CAM and mPOS segment refers to the development and sale of security products that enable secure distribution and delivery of digital content to television and secure mobile payment transaction respectively.