Reitar Logtech Holdings Ltd (RITR)

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CIK 0001951229 · Nasdaq · Real Estate Operators (No Developers) & Lessors

  • Sector Finance & Real Estate
  • Incorporated E9
  • Fiscal year ends Mar 31

In fiscal 2026, Reitar Logtech Holdings Ltd reported revenue of 222.02M HKD, down 41.3% from the prior year. The company ran a net loss, with a net margin of -68.9% and a gross margin of 7.0%. It held 649.75M HKD in total assets against 412.59M HKD in total liabilities.

Key ratios (FY2026)

7.0%
Gross margin
-49.0%
Operating margin
-68.9%
Net margin
-64.5%
Return on equity
-41.3%
Revenue growth (YoY)
Metric (FY)202620252024202320222021
Revenue222.02M HKD378.17M HKD251.98M HKD84.49M HKD144.15M HKD
Cost of Revenue206.51M HKD318.11M HKD187.92M HKD60.08M HKD107.22M HKD
Gross Profit15.51M HKD60.06M HKD64.06M HKD24.41M HKD36.93M HKD
Operating Income-108.83M HKD9.77M HKD28.19M HKD9.41M HKD23.48M HKD
Net Income-153.07M HKD7.87M HKD19.76M HKD63.71M HKD19.16M HKD
EPS (Diluted)-2.49 HKD0.13 HKD0.33 HKD1.52 HKD0.64 HKD
Total Assets649.75M HKD333.82M HKD242.82M HKD203.68M HKD
Total Liabilities412.59M HKD176.43M HKD144.77M HKD125.25M HKD
Shareholders' Equity237.16M HKD157.38M HKD98.06M HKD78.43M HKD7.50M HKD2.30M HKD
Cash & Equivalents8.63M HKD20.40M HKD6.39M HKD46.61M HKD
Operating Cash Flow-75.17M HKD-62.35M HKD-18.74M HKD49.77M HKD2.93M HKD
Capital Expenditures2.67M HKD3.92M HKD517.7K HKD473.8K HKD142.1K HKD
Shares Outstanding61.46M61.46M60.00M41.75M30.00M