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MATERIAL PARTLY-OWNED SUBSIDIARIES - Summarized Financial Information of Subsidiaries (Detail) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Summarized statements of comprehensive income      
Revenue $ 433,893 $ 476,659 $ 313,564
Profit/(loss) before tax 7,565 (9,857) 7,725
Income tax (expense)/benefit (2,808) 1,345 (4,016)
Profit/(loss) for the year 4,757 (8,512) 3,709
Other comprehensive income/(loss) (10,003) (13,994) 3,939
Total comprehensive (loss)/income for the year, net of tax (5,246) (22,506) 7,648
Profit/(loss) attributable to non-controlling interests 883 (5,870) 4,261
Summarized balance sheets      
Current assets 299,525 312,003  
Non-current assets 71,494 77,425  
Current liabilities (133,599) (162,193)  
Non-current liabilities (25,992) (17,918)  
Equity attributable to:      
Equity holders of the parent 151,595 147,500  
Non-controlling interests 59,833 61,817  
Summarized cash flow information      
Operating 6,566 (41,612) 16,375
Investing (2,655) (6,153) (20,296)
Financing 9,630 42,412 2,061
Effect of changes in exchange rate on cash (2,036) (4,372) 424
Net increase (decrease) in cash and cash equivalents 11,505 (9,725) (1,436)
CTW consolidated      
Summarized statements of comprehensive income      
Revenue 171,846 197,786 143,647
Profit/(loss) before tax 2,063 (16,038) 11,793
Income tax (expense)/benefit (420) 4,223 (2,344)
Profit/(loss) for the year 1,643 (11,815) 9,449
Other comprehensive income/(loss) (3,696) (12,699) (1,406)
Total comprehensive (loss)/income for the year, net of tax (2,053) (24,514) 8,043
Profit/(loss) attributable to non-controlling interests 806 (5,815) 4,631
Dividends paid to non-controlling interests 563 2,815 1,228
Summarized balance sheets      
Current assets 127,855 141,282  
Non-current assets 54,899 59,547  
Current liabilities (45,909) (68,142)  
Non-current liabilities (16,677) (8,477)  
Total equity 120,168 124,210  
Equity attributable to:      
Equity holders of the parent 61,202 63,260  
Non-controlling interests 58,966 60,950  
Summarized cash flow information      
Operating 7,657 (37,392) 19,713
Investing (951) (2,496) (10,952)
Financing (7,726) 42,981 (5,118)
Effect of changes in exchange rate on cash (1,008) (3,333) (87)
Net increase (decrease) in cash and cash equivalents (2,028) (240) 3,556
SYE      
Summarized statements of comprehensive income      
Revenue 0 530 6,291
Profit/(loss) before tax 90 (497) (1,161)
Income tax (expense)/benefit 0 0 0
Profit/(loss) for the year 90 (497) (1,161)
Other comprehensive income/(loss) (56) 17 84
Total comprehensive (loss)/income for the year, net of tax 34 (480) (1,077)
Profit/(loss) attributable to non-controlling interests 28 (155) (363)
Dividends paid to non-controlling interests 0 0 0
Summarized balance sheets      
Current assets 375 565  
Non-current assets 1,058 1,266  
Current liabilities (772) (1,204)  
Non-current liabilities 0 0  
Total equity 661 627  
Equity attributable to:      
Equity holders of the parent 454 431  
Non-controlling interests 207 196  
Summarized cash flow information      
Operating (265) 318 (1,844)
Investing 230 65 278
Financing 0 (1,226) (769)
Effect of changes in exchange rate on cash (36) 16 98
Net increase (decrease) in cash and cash equivalents $ (71) $ (827) $ (2,237)