(FY)Dec 31, 2023 | (Q6)Jun 30, 2023 | (FY)Dec 31, 2022 | (Q6)Jun 30, 2022 | (FY)Dec 31, 2021 | (Q6)Jun 30, 2021 | (FY)Dec 31, 2020 | (Q6)Jun 30, 2020 | (FY)Dec 31, 2019 | (Q6)Jun 30, 2019 | |
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Cash flow from operating activities | ||||||||||
Earning before tax | -3.15%123.29B | -4.98%69.26B | 5.08%127.29B | 5.44%72.9B | 23.97%121.14B | 48.54%69.14B | 1.77%97.72B | -18.62%46.54B | 2.18%96.02B | 1.05%57.19B |
Profit adjustment | ||||||||||
Interest (income) - adjustment | -30.21%-1.83B | -53.32%-739M | 30.89%-1.41B | 66.15%-482M | -60.82%-2.04B | ---1.42B | 44.08%-1.27B | ---- | 17.04%-2.26B | ---1.36B |
Interest expense - adjustment | -2.22%29.75B | -1.90%14.61B | -3.25%30.43B | -0.23%14.89B | 34.09%31.45B | 29.97%14.93B | -4.55%23.46B | -11.54%11.48B | -7.85%24.57B | -7.09%12.98B |
Investment loss (gain) | 4.13%-41.39B | -42.86%-23.38B | -121.30%-43.17B | -45.94%-16.36B | -45.40%-19.51B | -21.67%-11.21B | -28.09%-13.42B | -110.94%-9.22B | 17.71%-10.48B | -125.55%-4.37B |
Attributable subsidiary (profit) loss | 15.79%-9.4B | 21.61%-4.64B | 36.42%-11.17B | 26.13%-5.92B | -21.18%-17.56B | -50.25%-8.02B | -6.90%-14.49B | 18.88%-5.34B | -26.70%-13.56B | -23.16%-6.58B |
Impairment and provisions: | -18.92%70.21B | -24.09%34.52B | -17.38%86.59B | -23.60%45.47B | 4.20%104.8B | 9.52%59.51B | 5.04%100.58B | 35.22%54.34B | 26.70%95.75B | 25.80%40.19B |
-Other impairments and provisions | -18.92%70.21B | -24.09%34.52B | -17.38%86.59B | -23.60%45.47B | 4.20%104.8B | 9.52%59.51B | 5.04%100.58B | 35.22%54.34B | 26.70%95.75B | 25.80%40.19B |
Revaluation surplus: | -138.20%-5.71B | -42.86%84M | 6,569.70%14.95B | -34.38%147M | -118.41%-231M | -49.21%224M | 1,773.33%1.26B | 124.66%441M | -101.18%-75M | -131.11%-1.79B |
-Fair value of investment properties (increase) | -72.85%177M | -42.86%84M | 887.88%652M | -34.38%147M | -90.22%66M | 103.64%224M | -10.71%675M | 132.16%110M | 179.25%756M | 37.02%-342M |
-Other fair value changes | -141.18%-5.89B | ---- | 4,912.46%14.29B | ---- | -151.21%-297M | ---- | 169.80%580M | 122.89%331M | -111.38%-831M | -122.99%-1.45B |
Asset sale loss (gain): | 99.33%-74M | 99.41%-63M | -688.01%-10.98B | -2,834.81%-10.62B | 70.47%-1.39B | ---362M | -25.78%-4.72B | ---- | -16.78%-3.75B | ---86M |
-Loss (gain) from sale of subsidiary company | 99.33%-74M | 99.41%-63M | -688.01%-10.98B | -2,834.81%-10.62B | ---1.39B | ---362M | ---- | ---- | ---- | ---- |
-Loss (gain) from selling other assets | ---- | ---- | ---- | ---- | ---- | ---- | -25.78%-4.72B | ---- | -16.78%-3.75B | ---86M |
Depreciation and amortization: | 13.93%23.06B | 18.64%11.16B | -4.62%20.24B | -8.82%9.4B | 7.32%21.22B | 2.09%10.31B | -9.33%19.77B | -2.75%10.1B | 44.50%21.81B | 39.31%10.39B |
-Depreciation | 13.93%23.06B | 18.64%11.16B | -4.62%20.24B | -8.82%9.4B | 7.32%21.22B | 2.09%10.31B | -9.33%19.77B | -2.75%10.1B | 44.50%21.81B | 39.31%10.39B |
Financial expense | 43.67%12.17B | 44.70%5.69B | -10.19%8.47B | -17.75%3.94B | -15.40%9.43B | -22.20%4.78B | -12.23%11.15B | -6.04%6.15B | 3.33%12.7B | 6.35%6.54B |
Special items | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---5.34B | ---- | ---- |
Operating profit before the change of operating capital | -9.57%200.08B | -6.04%106.5B | -10.54%221.25B | -17.79%113.35B | 12.40%247.31B | 26.30%137.88B | -0.31%220.03B | -3.49%109.17B | 10.05%220.72B | 0.92%113.12B |
Change of operating capital | ||||||||||
Inventory (increase) decrease | -94.39%-14.35B | 51.84%-7.49B | 77.77%-7.38B | 23.83%-15.56B | -29.67%-33.21B | -304.30%-20.43B | -449.24%-25.61B | -35.12%-5.05B | 405.80%7.33B | -118.40%-3.74B |
Accounts receivable (increase)decrease | 54.30%-19.32B | 9.59%-72.74B | -750.94%-42.27B | -255.34%-80.45B | -257.98%-4.97B | -740.84%-22.64B | 105.53%3.14B | 105.50%3.53B | -571.22%-56.9B | -120.81%-64.22B |
Accounts payable increase (decrease) | -502.45%-24.12B | -4.89%7.44B | -75.36%5.99B | 839.70%7.83B | 478.31%24.32B | 95.79%-1.06B | 124.01%4.21B | -246.34%-25.14B | -284.44%-17.51B | -154.46%-7.26B |
Financial liabilities at fair value (increase)decrease | -99.96%5M | -78.75%3.76B | 242.78%12.7B | 288.27%17.67B | -204.33%-8.9B | -281.83%-9.39B | 3,189.13%8.53B | 565.46%5.16B | -124.34%-276M | -147.23%-1.11B |
Buy and sell back financial assets (increase) decrease | -214.63%-88.49B | -188.62%-45.31B | 124.30%77.2B | 99.80%51.13B | 127.77%34.42B | 181.84%25.59B | -8,237.43%-123.93B | 24.94%-31.27B | -97.03%1.52B | -147.33%-41.67B |
Special items for working capital changes | 35.44%-46.7B | -75.17%-103.86B | 73.86%-72.33B | 81.45%-59.29B | -307.73%-276.72B | -936.05%-319.6B | 362.45%133.21B | 20.84%38.23B | 135.75%28.81B | 158.50%31.63B |
Cash from business operations | -96.36%7.11B | -422.12%-111.7B | 1,200.24%195.16B | 116.54%34.68B | -108.08%-17.74B | -321.54%-209.64B | 19.53%219.58B | 253.64%94.63B | 7.44%183.69B | 2.73%26.76B |
Other taxs | -3.26%-29.91B | 5.79%-20.61B | -26.18%-28.97B | -28.00%-21.88B | 12.88%-22.96B | 19.28%-17.09B | -11.60%-26.35B | -41.26%-21.17B | -23.76%-23.61B | -2.52%-14.99B |
Net cash from operations | -113.72%-22.8B | -1,133.45%-132.31B | 508.40%166.19B | 105.65%12.8B | -121.06%-40.69B | -408.66%-226.73B | 20.70%193.23B | 524.11%73.46B | 5.39%160.08B | 3.00%11.77B |
Cash flow from investment activities | ||||||||||
Dividend received - investment | 19.12%7.42B | 21.30%2.8B | -12.30%6.23B | 11.25%2.31B | 33.59%7.1B | -15.91%2.07B | -19.60%5.32B | 41.53%2.46B | 32.55%6.61B | -25.18%1.74B |
Restricted cash (increase) decrease | ---- | -1,201.82%-606M | ---- | 103.28%55M | ---- | -11.07%-1.68B | ---- | -140.29%-1.51B | ---- | ---628M |
Sale of fixed assets | 53.64%1.63B | -50.29%346M | -51.95%1.06B | 0.14%696M | 113.57%2.2B | 103.22%695M | -38.90%1.03B | -69.81%342M | -41.78%1.69B | 12.40%1.13B |
Purchase of fixed assets | -19.92%-24.3B | -89.92%-8.99B | 17.26%-20.27B | 53.13%-4.73B | -17.28%-24.49B | -28.17%-10.1B | -6.41%-20.89B | -12.48%-7.88B | -19.52%-19.63B | 6.20%-7B |
Sale of subsidiaries | -86.61%181M | -113.50%-22M | -36.02%1.35B | -59.85%163M | -75.44%2.11B | -92.08%406M | 254.03%8.6B | 10,802.13%5.12B | -62.11%2.43B | -98.65%47M |
Acquisition of subsidiaries | -101.01%-1.61B | -101.03%-1.55B | 4,828.21%158.58B | 2,017.28%150.01B | -140.09%-3.35B | -88.99%-7.82B | 80.18%-1.4B | -441.18%-4.14B | 67.16%-7.05B | 89.36%-765M |
Recovery of cash from investments | 7.74%2.81T | -2.89%1.32T | -31.22%2.61T | -33.02%1.36T | 24.50%3.79T | 58.41%2.03T | 35.91%3.04T | 9.01%1.28T | 32.35%2.24T | 168.76%1.18T |
Cash on investment | -4.61%-2.83T | 3.97%-1.29T | 33.09%-2.7T | 38.08%-1.34T | -22.77%-4.04T | -54.21%-2.16T | -30.65%-3.29T | -0.97%-1.4T | -36.50%-2.52T | -128.39%-1.39T |
Net cash from investment operations | -179.18%-38.28B | -84.21%26.74B | 117.95%48.35B | 213.94%169.39B | -5.16%-269.39B | -17.78%-148.67B | 13.61%-256.17B | 42.24%-126.22B | -66.87%-296.51B | -22.45%-218.54B |
Net cash before financing | -128.47%-61.08B | -157.95%-105.58B | 169.19%214.54B | 148.53%182.19B | -392.65%-310.08B | -611.50%-375.4B | 53.86%-62.94B | 74.48%-52.76B | -428.96%-136.43B | -23.78%-206.77B |
Cash flow from financing activities | ||||||||||
New borrowing | 68.92%289.2B | 61.12%150.96B | 1.76%171.2B | 16.17%93.7B | 38.14%168.25B | 56.92%80.65B | -4.20%121.8B | 10.23%51.4B | 4.46%127.13B | -19.04%46.63B |
Refund | -42.07%-1.56T | -39.74%-725.9B | -6.61%-1.1T | -6.95%-519.45B | -8.11%-1.03T | -33.42%-485.7B | -38.79%-951.03B | -19.63%-364.03B | 37.04%-685.25B | 50.98%-304.29B |
Issuance of bonds | 47.53%1.34T | 62.81%626.86B | -16.79%908.97B | -36.24%385.04B | 17.36%1.09T | 92.21%603.85B | 40.74%930.72B | 6.14%314.16B | -40.32%661.28B | -58.22%296B |
Interest paid - financing | -4.47%-43.74B | -13.64%-19.3B | -1.90%-41.87B | 13.13%-16.99B | -12.36%-41.08B | -4.26%-19.55B | 1.29%-36.57B | -0.78%-18.75B | 2.78%-37.04B | 6.77%-18.61B |
Dividends paid - financing | -10.16%-38.92B | 56.17%-1.4B | -31.09%-35.33B | -129.11%-3.2B | -27.21%-26.95B | -15.54%-1.4B | -0.09%-21.19B | 85.73%-1.21B | -2.25%-21.17B | -37.43%-8.48B |
Absorb investment income | 116.51%236M | ---- | -34.73%109M | 50.00%105M | -75.15%167M | -73.58%70M | -1.03%672M | -41.37%265M | 12.05%679M | 123.76%452M |
Issuance expenses and redemption of securities expenses | ---- | ---- | ---- | ---- | -209.11%-4B | ---- | 37.62%-1.3B | ---- | 80.21%-2.08B | ---- |
Other items of the financing business | -101.34%-1.5B | -83.23%305M | -101.57%-747M | -95.97%1.82B | 771.69%47.64B | 767.60%45.13B | -117.50%-7.09B | -130.95%-6.76B | 547.21%40.52B | -216.89%-2.93B |
Net cash from financing operations | 88.21%-11.06B | 153.45%31.52B | -145.06%-93.8B | -126.44%-58.98B | 477.92%208.16B | 994.75%223.05B | -57.16%36.02B | -384.19%-24.93B | 6.41%84.08B | -92.81%8.77B |
Effect of rate | -67.03%3.71B | -44.99%2.62B | 129.44%11.25B | 146.76%4.77B | -70.43%4.91B | 136.50%1.93B | 323.53%16.59B | -417.34%-5.29B | 65.92%-7.42B | 674.83%1.67B |
Net Cash | -159.75%-72.14B | -160.10%-74.05B | 218.45%120.73B | 180.88%123.21B | -278.57%-101.93B | -96.09%-152.35B | 48.57%-26.92B | 60.76%-77.69B | -198.36%-52.35B | -339.01%-198B |
Begining period cash | 44.62%427.81B | 46.20%427.46B | -35.41%295.82B | -35.41%292.39B | -1.09%457.98B | -2.23%452.7B | -11.43%463.04B | -11.43%463.04B | 6.40%522.81B | 6.40%522.81B |
Cash at the end | -15.99%359.38B | -15.30%356.03B | 18.52%427.81B | 39.06%420.36B | -20.27%360.95B | -20.46%302.29B | -2.23%452.7B | 16.41%380.06B | -11.43%463.04B | -26.79%326.48B |
Cash balance analysis | ||||||||||
Currency Unit | CNY | CNY | CNY | CNY | HKD | HKD | HKD | HKD | HKD | HKD |
Accounting Standards | HKAS | HKAS | HKAS | HKAS | HKAS | HKAS | HKAS | HKAS | HKAS | HKAS |
Audit Opinions | Unqualified Opinion | -- | Unqualified Opinion | -- | Unqualified Opinion | -- | Unqualified Opinion | -- | Unqualified Opinion | -- |
Auditor | KPMG | -- | PricewaterhouseCoopers | -- | PricewaterhouseCoopers | -- | PricewaterhouseCoopers | -- | PricewaterhouseCoopers | -- |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.
No Data