MASK Chart
About

3 E Network Technology Group Limited, through its subsidiaries, engages in the provision of business-to-business information technology (IT) solutions for companies in the People's Republic of China. It offers smart property and restaurant management software systems; and clean energy related software. The company also provides software solutions to exhibition and conferencing partners in the design, planning, execution, and delivery of exhibitions and conferences; and software support for entrance gates, ticketing machines, and ticket readers. In addition, it offers online exhibition system; exhibition and conference services; and equipment to exhibition or conference organizers. Further, the company provides sales and marketing services; and IT consulting and solution services. Additionally, the company offers hardware, such as gates, facial recognition gate control units, and card readers, as well as offers installation services. The company serves various industries and sectors, such as food establishments, real estate, exhibition and conferencing, and clean energy utilities. 3 E Network Technology Group Limited was incorporated in 2021 and is based in Hong Kong.

Fundamentals
Scroll to Statements
Sector Technology Industry Software - Application Market Cap 87.86M
Enterprise Value 552.54K Income 1.48M Sales 4.84M
Book/sh 11.90 Cash/sh 4.00 Dividend Yield
Payout 0.00% Employees 13 IPO
P/E 0.92 Forward P/E PEG
P/S 18.17 P/B 0.27 P/C
EV/EBITDA 0.28 EV/Sales 0.11 Quick Ratio 2.39
Current Ratio 2.46 Debt/Eq 20.18 LT Debt/Eq
EPS (ttm) 3.50 EPS next Y EPS Growth
Revenue Growth Earnings ROA 18.26%
ROE 36.53% ROIC Gross Margin 49.82%
Oper. Margin 39.93% Profit Margin 15.82% Shs Outstand 1.09M
Shs Float 426.93K Short Float 2.17% Short Ratio 0.22
Short Interest 52W High 8.38 52W Low 0.21
Beta Avg Volume 3.32M Volume 548.62K
Target Price Recom None Prev Close $3.22
Price $3.22 Change -0.00%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
Mean price target
2. Current target
$2.93
Latest analyst target
3. DCF / Fair value
$12.27
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$2.93
Low
High
Mean
Insider Transactions

No recent insider transactions.

Financials
Line Item2025-06-302024-06-302023-06-302022-06-30
TaxEffectOfUnusualItems0.000.000.00-107.75
TaxRateForCalcs0.230.140.110.10
NormalizedEBITDA1.93M817.56K18.03K517.02K
TotalUnusualItems12.87K51.06K-1.07K
TotalUnusualItemsExcludingGoodwill12.87K51.06K-1.07K
NetIncomeFromContinuingOperationNetMinorityInterest1.48M702.60K14.02K439.40K
ReconciledDepreciation6.57K7.03K27.66K
ReconciledCostOfRevenue2.43M30.90K7.34K423.62K
EBITDA1.93M817.56K18.03K515.96K
EBIT1.93M817.56K18.03K488.30K
NormalizedIncome1.48M702.60K14.02K440.36K
NetIncomeFromContinuingAndDiscontinuedOperation764.92K1.55M996.16K439.40K
TotalExpenses2.90M41.78K19.10K808.08K
TotalOperatingIncomeAsReported1.93M817.56K18.03K487.23K
DilutedAverageShares14.80M10.00M13.00M
BasicAverageShares10.00M10.00M13.00M
DilutedEPS0.150.100.03
BasicEPS0.150.100.03
DilutedNIAvailtoComStockholders764.92K1.55M996.16K439.40K
NetIncomeCommonStockholders764.92K1.55M996.16K439.40K
NetIncome764.92K1.55M996.16K439.40K
NetIncomeIncludingNoncontrollingInterests764.92K1.55M996.16K439.40K
NetIncomeDiscontinuousOperations-712.89K845.74K982.13K
NetIncomeContinuousOperations1.48M702.60K14.02K439.40K
TaxProvision431.14K114.96K1.77K49.31K
PretaxIncome1.91M817.56K15.79K488.71K
OtherIncomeExpense-21.59K23.05K-2.24K415.00
OtherNonOperatingIncomeExpenses-21.59K10.18K-2.24K1.48K
GainOnSaleOfSecurity12.87K51.06K-1.07K
OperatingIncome1.93M817.56K18.03K488.30K
OperatingExpense478.42K10.89K11.76K384.46K
ResearchAndDevelopment191.50K86.39K112.55K
SellingGeneralAndAdministration478.42K10.89K11.76K271.91K
SellingAndMarketingExpense69.002.14K11.85K
GeneralAndAdministrativeExpense303.40K171.01K260.06K
OtherGandA303.40K171.01K260.06K
GrossProfit2.41M828.45K29.79K872.75K
CostOfRevenue2.43M30.90K7.34K423.62K
TotalRevenue4.84M859.34K37.13K1.30M
OperatingRevenue4.84M859.34K37.13K1.29M
Line Item2025-06-302024-06-302023-06-302022-06-30
OrdinarySharesNumber12.50M11.25M11.25M11.25M
ShareIssued12.50M11.25M11.25M11.25M
NetDebt766.70K350.39K532.47K358.21K
TotalDebt1.08M402.20K551.87K404.98K
TangibleBookValue5.35M2.74M1.20M298.31K
InvestedCapital6.43M2.74M1.75M703.29K
WorkingCapital4.27M1.10M685.71K-108.12K
NetTangibleAssets5.35M2.74M1.20M298.31K
CommonStockEquity5.35M2.74M1.20M298.31K
TotalCapitalization6.43M2.74M1.75M703.29K
TotalEquityGrossMinorityInterest5.35M2.74M1.20M298.31K
StockholdersEquity5.35M2.74M1.20M298.31K
OtherEquityInterest-1.00K-1.00K
GainsLossesNotAffectingRetainedEarnings-33.88K-103.20K-111.33K-60.38K
OtherEquityAdjustments-33.88K-103.20K-111.33K-60.38K
RetainedEarnings3.34M2.84M1.31M358.69K
AdditionalPaidInCapital2.05M0.00
CapitalStock1.18K1.00K1.00K1.00K
CommonStock1.18K1.00K1.00K1.00K
TotalLiabilitiesNetMinorityInterest4.00M1.12M812.87K1.50M
TotalNonCurrentLiabilitiesNetMinorityInterest1.08M0.00551.87K404.98K
DuetoRelatedPartiesNonCurrent551.87K404.98K
TradeandOtherPayablesNonCurrent0.000.00
LongTermDebtAndCapitalLeaseObligation1.08M402.20K551.87K404.98K
LongTermDebt1.08M402.20K551.87K404.98K
CurrentLiabilities2.92M1.12M261.00K1.09M
OtherCurrentLiabilities1.01M
CurrentDeferredLiabilities1.01K1.52K57.11K
CurrentDeferredRevenue1.01K1.52K57.11K
PayablesAndAccruedExpenses2.92M116.89K259.48K1.03M
CurrentAccruedExpenses66.25K0.002.21K92.29K
Payables2.86M116.89K257.27K941.84K
OtherPayable625.05K269.36K191.62K191.16K
DuetoRelatedPartiesCurrent1.68M0.000.00743.06K
TotalTaxPayable544.08K116.89K55.31K3.66K
AccountsPayable3.00K0.0010.34K3.96K
TotalAssets9.36M3.86M2.01M1.79M
TotalNonCurrentAssets2.16M1.64M1.06M811.41K
OtherNonCurrentAssets1.54M116.07K
NonCurrentDeferredAssets0.001.52M1.04M790.27K
NonCurrentDeferredTaxesAssets104.86K264.74K336.39K
DuefromRelatedPartiesNonCurrent0.006.47K
NonCurrentAccountsReceivable6.47K
InvestmentsAndAdvances625.50K0.00
NetPPE11.22K17.79K14.67K
AccumulatedDepreciation-124.81K-118.53K-121.53K
GrossPPE136.02K136.32K136.20K
Leases11.04K11.06K11.97K
OtherProperties122.94K123.22K122.01K
MachineryFurnitureEquipment2.04K2.05K2.21K
Properties0.000.000.00
CurrentAssets7.19M2.22M946.71K983.12K
OtherCurrentAssets156.51K821.006.50K749.00
AssetsHeldForSaleCurrent0.001.62M
CurrentDeferredAssets0.006.60K
PrepaidAssets1.06M25.36K38.23K39.22K
Receivables3.28M565.61K882.58K889.78K
DuefromRelatedPartiesCurrent58.33K25.61K7.30K3.46K
AccountsReceivable3.22M540.00K875.28K886.32K
AllowanceForDoubtfulAccountsReceivable-189.31K0.000.000.00
GrossAccountsReceivable3.41M540.00K875.28K886.32K
CashCashEquivalentsAndShortTermInvestments2.70M11.12K19.40K46.77K
OtherShortTermInvestments2.38M0.00
CashAndCashEquivalents313.57K11.12K19.40K46.77K
Line Item2025-06-302024-06-302023-06-302022-06-30
FreeCashFlow13.83K929.20K901.29K938.18K
RepaymentOfDebt0.00-191.70K0.00-2.31M
IssuanceOfDebt1.12M0.000.001.40M
IssuanceOfCapitalStock1.70M1.00K0.00
CapitalExpenditure-11.48K-35.41K
IncomeTaxPaidSupplementalData0.000.0039.000.00
EndCashPosition313.57K51.81K19.40K46.77K
BeginningCashPosition51.81K19.40K46.77K16.16K
EffectOfExchangeRateChanges29.21K-7.86K-45.69K3.34K
ChangesInCash232.55K40.27K18.32K27.26K
FinancingCashFlow3.17M-888.93K-871.49K-910.92K
CashFromDiscontinuedFinancingActivities0.0042.42K-542.08K
CashFlowFromContinuingFinancingActivities3.17M-931.35K-329.40K-910.92K
NetOtherFinancingCharges-740.64K-329.40K
ProceedsFromStockOptionExercised354.59K0.000.00
NetCommonStockIssuance1.70M1.00K0.00
CommonStockIssuance1.70M1.00K0.00
NetIssuancePaymentsOfDebt1.12M-191.70K0.00-910.92K
NetLongTermDebtIssuance1.12M-191.70K0.00-910.92K
LongTermDebtPayments0.00-191.70K0.00-2.31M
LongTermDebtIssuance1.12M0.000.001.40M
InvestingCashFlow-2.95M0.00-11.48K-35.41K
CashFromDiscontinuedInvestingActivities0.000.00-11.48K
CashFlowFromContinuingInvestingActivities-2.95M0.000.00-35.41K
NetOtherInvestingChanges25.56K
NetInvestmentPurchaseAndSale-2.98M0.000.00
PurchaseOfInvestment-2.98M0.000.00
NetPPEPurchaseAndSale0.00-11.48K-35.41K
PurchaseOfPPE0.00-11.48K-35.41K
OperatingCashFlow13.83K929.20K901.29K973.59K
CashFromDiscontinuedOperatingActivities389.90K678.43K973.81K
CashFlowFromContinuingOperatingActivities-376.06K250.78K-72.53K973.59K
ChangeInWorkingCapital-2.73M-451.83K-86.55K402.96K
ChangeInOtherWorkingCapital-511.00-384.86K-413.69K
ChangeInOtherCurrentLiabilities582.90K-2.21K-90.20K
ChangeInPayablesAndAccruedExpense538.60K114.96K1.77K78.82K
ChangeInAccruedExpense108.41K0.000.0089.51K
ChangeInPayable430.19K114.96K1.77K-10.69K
ChangeInAccountPayable3.00K0.000.00-5.03K
ChangeInTaxPayable427.19K114.96K1.77K-5.66K
ChangeInIncomeTaxPayable427.19K114.96K1.77K-5.66K
ChangeInPrepaidAssets-1.17M0.000.0020.04K
ChangeInReceivables-2.68M-564.58K1.89K717.79K
ChangesInAccountReceivables-2.68M-539.26K0.00718.34K
OtherNonCashItems21.84K
ProvisionandWriteOffofAssets46.98K0.0053.54K
DeferredTax160.24K47.96K49.31K
DeferredIncomeTax160.24K47.96K49.31K
DepreciationAmortizationDepletion6.57K7.03K27.66K
DepreciationAndAmortization6.57K7.03K27.66K
Depreciation6.57K7.03K27.66K
OperatingGainsLosses849.46K30.00726.00
GainLossOnInvestmentSecurities-31.25K
GainLossOnSaleOfBusiness880.71K0.000.00
NetIncomeFromContinuingOperations1.48M702.60K14.02K439.40K
SEC Filings

No SEC filings found for this symbol (may be non-US or ticker not in SEC index).

Public Trades for MASK
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