Financial Year Ended 31 January 2024 2023 2022
  12 months
Audited
12 months
Audited
12 months
Audited
 
Key Financials      
Revenue (RM'000) 207,713 119,632 31,468
Gross Profit GP/(GL) (RM'000) 63,376 32,956 (4,686)
Earnings Before Interest, Tax, Depreciation & Amortisation (EBITDA) (RM'000) 65,794 36,552 (21,444)
Profit/Loss Before Taxation [PBT/(LBT)] (RM'000) 45,146 22,325 (34,790)
Profit/Loss After Taxation [PAT/(LAT)] (RM'000) 33,172 19,514 (32,045)
Total Assets (RM'000) 230,799 189,404 133,276
Total Equity (RM'000) 70,613 57,019 36,968
 
Key Ratios      
Basic and diluted Earnings Per Share (EPS) (1) (sen) 6.63 3.90 (6.41)
Current Ratio (2) (times) 0.6 0.7 0.4
Gearing Ratio (3) (times) 1.4 1.5 1.6

Notes:

(1) Computed based on PAT/(LAT) attributable to equity holders of HI Mobility over the enlarged issued Shares of 500,000,000 upon Listing.
(2) Computed based on current assets over current liabilities.
(3) Computed based on total borrowings over total equity.

* Please read this section in conjunction with HI Mobility Berhad’s Prospectus dated 7 March 2025.