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Primeserv Group Ltd (PK)

Primeserv Group Ltd (PK) (PVGPF)

0.00
0.00
(0.00%)
Closed 23 November 8:00AM

Income Statement

Balance Sheet

Cash Flow

Year End 31 March 2024 20172018201920202021202220232024
ZAR (R)ZAR (R)ZAR (R)ZAR (R)ZAR (R)ZAR (R)ZAR (R)ZAR (R)
Total Assets 176.07M172.25M214.62M233.09M226.21M235.07M247.38M281.04M
Total Current Assets 132.78M127.31M172.37M189.77M187.34M195.89M206.28M231.67M
Cash and Equivalents 2.06M4.44M7M32.76M45.62M59.59M61.61M66.09M
Total Non-Current Assets 106.17M122.69M141.87M160.55M159.81M169.61M176.51M191.14M
Total Liabilities 69.9M49.56M72.74M72.54M66.39M65.46M70.87M89.91M
Total Current Liabilities 69.9M49.56M72.74M70.46M61.34M62.02M69.23M84.14M
Total Non-Current Liabilities 0002.08M5.18M6.18M3.28M6.03M
Total Equity 106.17M122.69M141.87M160.55M159.81M169.61M176.51M191.14M
Common Equity 1.32M1.32M1.32M1.32M1.23M1.19M1.19M1.17M
Retained Earnings 128.03M144.41M164.59M187.78M188.26M192.83M205.06M219.81M